On January 1, Year 1, Vaughan Company purchased equipment for $276,000. Freight charges amounted to $12,000 and there was a cost of $24,000 for building a foundation and installing the equipment. It is estimated that the equipment will have a $60,000 salvage value at the end of its 12-year useful life. Depreciation expense each year using the straight-line method will be:_______.a. $19,700.
b. $16,700.
c. $14,300.
d. $14,000.

Answers

Answer 1

Answer:

Depreciation expense each year will be $21,000

Explanation:

As the capitalized cost of an asset is the cost incurred to make the asset usable for the operations of the business.

Cost of Asset = Purchase price + Freight charges + Installation cost

Cost of Asset = $276,000 + $12,000 + $24,000

Cost of Asset = $312,000

Now $312,000 is the cost that is used for the depreciation purpose.

First we need to calculate the depreciable value

Depreciable value = Cost of Asset - Salvage value

Depreciable value = $312,000 - $60,000

Depreciable value = $252,000

Now Use follow formula to calculate the straight line depreciation expense for the year

Depreciation for theyear = Depreciable value / Useful life

Depreciation for theyear = $252,000 / 12 years

Depreciation for theyear = $21,000

As the given options are not correct as per given data. The solution made according to the given data.


Related Questions

Which is a monetary policy that would be useful in stopping deflation?
A)
decreasing taxation
B)
increasing the discount rate
C)
increasing government spending
D)
decreasing the reserve requirement

Answers

The correct answer is:

B) increasing the discount rate

An investor owns $8,000 of Adobe Systems stock, $9,000 of Dow Chemical, and $9,000 of Office Depot. What are the portfolio weights of each stock?

Answers

Answer:

Adobe System

0.3077 ± 0.001

Dow Chemical

0.3462 ± 0.001

Office Depot

0.3462 ± 0.001

Explanation:

Calculation for the portfolio weights of each stock

First step is to calculate the Total portfolio

Total portfolio = $8,000 + $9,000 + $9,000

Total portfolio == $26,000

Last step is to calculate the portfolio weights of each stock

Adobe System weight = $8,000 / $26,000

Adobe System weight = 0.3077

Dow Chemical weight = $9,000 / $26,000

Dow Chemical weight = 0.3462

Office Depot weight = $9,000 / $26,000

Office Depot weight= 0.3462

Therefore the portfolio weights of each stock will be :

Adobe System

0.3077 ± 0.001

Dow Chemical

0.3462 ± 0.001

Office Depot

0.3462 ± 0.001

In 1998, the construction cost of each room for Godvin Inn was $150,000. After fifteen years, the management of the hotel wishes to have improvements in all of the rooms to catch the recent trends. The total cost of the project is estimated as $10 million for 50 rooms in 2013. Based on the information given, calculate the percentage in price of each room from 1998 to 2012.

a. 0.33%
b. 50.50%
c. 45.00%
d. 33.33%

Answers

Answer:

d. 33.33%

Explanation:

The computation of the percentage in the price of each from the year 1998 to the year 2012 is shown below:

= (Renovation cost in 2012- construction cost in 1998 ) ÷ (construction cost in 1998)

= ($10 million ÷ 50 rooms - $150,000) ÷ ($150,000)

= ($200,000 - $150,000) ÷ ($150,000)

= ($50,000) ÷ ($150,000)

= 33.33%

Hence, the correct option is d. 33.33%

Maria Miller, a lottery winner, will receive the following payments over the next seven years. She has been approached by an investor who will pay Maria a lump sum today for the rights to those future cash flows. If she can invest her cash flows in a fund that will earn 9.8 percent annually, how much should Maria require the investor to pay for the cash flows? (Round answer to 2 decimal places, e.g. 15.25. Do not round factor values.)

Answers

Question Completion:

Year   1             2          3              4               5                 6            7              

$241,000 $291,000 $316,000 $341,000 $391,000 $441,000 $591,000

Present value of investment$

Answer:

Maria Miller

The lump sum collection by Maria Miller should be:

= $1,738,016.85

Explanation:

a) Data and Calculations:

Cash flows from year 1 to year 7:

          Future Value    Present Value

Year 1    $241,000        $219,490.04

Year 2   $291,000          241,372.92

Year 3   $316,000          238,715.06

Year 4   $341,000          234,609.12

Year 5  $391,000          244,999.21

Year 6  $441,000          251,665.93

Year 7  $591,000           307,164.57

Total $2,612,000      $1,738,016.85

b) The amount that Maria Miller should request today for her annual cash flows at 9.8% interest annually should be $1,738,016.85.  This is the present value of the future cash flows.  The above present values of the cash flows were obtained using an online calculator.

Suppose you want to realize a future value of $150,000 in 30 years on an investment you make. The average annual rate of return is 8.75%. What will be the present value of your investment? A. $163,125 B. $1,857,673 C. $12,112 D. $150,000

Answers

Answer:

PV= $12,111.93 = $12,112

Explanation:

Giving the following information:

Future Value (FV)= $150,000

Interest rate (i)= 8.75% = 0.0875

Number of periods (n)= 30

To calculate the present value (PV), we need to use the following formula:

PV= FV/(1+i)^n

PV= 150,000 / (1.0875^30)

PV= $12,111.93

If a bank has a reserve ratio of 8 percent, then Group of answer choices the bank keeps 8 percent of its assets as reserves and loans out the rest. the bank keeps 8 percent of its deposits as reserves and loans out the rest. the bank's ratio of loans to deposits is 8 percent. government regulation requires the bank to use at least 8 percent of its deposits to make loans.

Answers

Answer:

the bank keeps 8 percent of its deposits as reserves and loans out the rest.

Explanation:

Since it is mentioned in the question that there is a reserve ratio of 8% so now the reserve requirement means the requirement with respect to the fund value that bank should hold on to in reserve against deposits that made by their clients. The money must be either at the vaults of the bank or at the closing of the federal reserve bank

Therefore the second option is correct

Suppose you will receive a payment of $300 one year from now. True or False: If during the year the interest rate rises, this increases the present value of your future payment.

Answers

Answer: False

Explanation:

When interest rates rise, the present value of a payment will be reduced because it will be discounted by a higher rate.

For instance; assume the interest rate was originally 10%. The present value of the $300 would be;

= 300 / ( 1 + 10%)

= $273

Now assume the interest rate went up to 11%. Present value would be;

= 300 / ( 1 + 11%)

= $270

Notice that the present value fell when the interest rate rose.

disadvantage of activities that focus on generating publicity is _____________________________________. the limited control over the exact content of the message that reach is very limited that the sender will receive too much feedback the high cost the need for a standardized message

Answers

Answer:

the need for standardized message

Explanation:

In simple words, publicity refers to the process under which the same message is transmitted to a large volume of population. This results to a chaos as every individual might not interpret the message in the same manner as it was intended to be. Hence the effort to interact with the target audience may go into vain.

Thus, from the above we can conclude that the correct option is D.

During the year, Next Tec Corp. had the following cash flows: receipt from customers, $14,000; receipt from the bank for long-term borrowing, $6,500; payment to suppliers, $5,200; payment of dividends; $1,700, payment to workers, $2,400; and payment for machinery, $12,500. What amount would be reported for net financing cash flows in the statement of cash flows?

Answers

Answer:

The amount that will be reported for net financing cash flows in the statement of cash flows is $4,800.

Explanation:

Cash Flows from financing activities are all cash flows which is incurred for the purpose of financing the business.

For example

Dividend PaymentIssuance of BondsIssuance of shareetc.

Determine the category of each cash flow

Receipt from customers, $14,000; Operating

Receipt from the bank for long-term borrowing, $6,500; Financing

Payment to suppliers, $5,200; Operating

Payment of dividends; $1,700, Financing

Payment to workers, $2,400; operating

Payment for machinery, $12,500. Investing

Now calculate the Financing cash flows

Receipt from the bank for long-term borrowing _____ $6,500

Payment of dividends ________________________( $1,700 )

Net cash flows from Financing activites ___________ $4,800

The problem with fiscal policy that is created because of the recognition, legislative, implementation, effectiveness, and the evaluation and adjustment lags is called:

Answers

Answer:

A matter of timing

Explanation:

The problem with fiscal policy that is created because of the recognition, legislative, implementation, effectiveness, and the evaluation and adjustment lags is called a matter of timing. The reason being that it can be difficult to time fiscal policy to shift the AD curve at the right moments.

A firm is a natural monopoly if:_________

a. any entrant would have the same costs.
b. its profit does not increase with output.
c. one firm can produce the total output of the market at lower cost than two or more firms could.
d. it has no fixed costs.
e. its marginal revenue is increasing faster than average costs.

Answers

Answer:

c. one firm can produce the total output of the market at lower cost than two or more firms could.

Explanation:

A monopoly is a market structure which is typically characterized by a single-seller who sells a unique product in the market by dominance. Thus, it is a market structure wherein the seller has no competitor because he is solely responsible for the sale of unique products without close substitutes. Any individual that deals with the sales of unique products in a monopolistic market is generally referred to as a monopolist.

For example, a public power company is a monopolistic business firm because they serve as the only power utility provider to the public. Also, a public power company refers to a company that provides power (electricity) utility to the general public of a society.

Hence, a firm is a natural monopoly if one firm can produce the total output of the market at lower cost than two or more firms could.

'Modigliani Manufacturing has a target debt-equity ratio of .50. Its cost of equity is 18 percent and its cost of debt is 11 percent. If the tax rate is 35 percent, what is Modigliani's WACC

Answers

Answer:

the Weighted average cost of capital is 14.38%

Explanation:

The computation of the weighted average cost of capital is shown below:

Weight of equity is

= 1 ÷ (1 + Debt equity Ratio)

= 1 ÷ 1.5

And, Weight of Debt is

= 0.5 ÷ 1.5

Now

WACC = Weight of Equity × Cost of Equity + Weight of Debt × Cost of Debt × (1 - Tax rate)

= 1 ÷ 1.5 × 18% + 0.5 ÷ 1.5 × 11% × (1 - 35%)

= 14.38%

hence, the Weighted average cost of capital is 14.38%

Which of the following is likely to help an organization expand collaborative
involvement?

Answers

Complete Question:

Which of the following is likely to help an organization expand collaborative involvement?

Group of answer choices

A. Hosting training sessions with customers.

B. Minimizing critical encounters with customers.

C. Developing service resilience.

D. Applying the practices of traditional selling.

E. Using cold canvassing for customer prospecting

Answer:

A. Hosting training sessions with customers.

Explanation:

Collaborative involvement can be defined as the process in which two or more people and an organization have a mutual understanding or agreement to share knowledge, ideas and skills in order to help the organization achieve its aim, goals and objectives successfully.

For example, a restaurant such as McDonald's may decide to train its cashier on proper customer relationship management and effective sales and marketing techniques by inviting consenting customers to partake in the training sessions.

Hence, hosting training sessions with customers is likely to help an organization expand collaborative

involvement.

Equipment was purchased for $50,000. At that time, the equipment was expected to be used eight years and have a residual value of $10,000. The company uses straight-line depreciation. At the beginning of the third year, the company changed its estimated useful life to a total of six years (four years remaining) and the residual value to $8,000. What is depreciation expense in the third year?

a. $8,000.

b. $5,000.

c. $7,000.

d. $5,500.

Answers

Answer:

Annual depreciation= $8,000

Explanation:

First, we need to calculate the accumulated depreciation for the first two years:

Annual depreciation= (original cost - salvage value)/estimated life (years)

Annual depreciation= (50,000 - 10,000) / 8

Annual depreciation= $5,000

Accumulated depreciation= 5,000*2= $10,000

Now, we can calculate the new depreciation expense:

Annual depreciation= [(50,000 - 10,000) - 8,000]/4

Annual depreciation= $8,000

Explain how each of the following changes quantity of money (money supply) in the economy.

a. the Fed buys bonds
b. the Fed auctions credit
c. the Fed raises the discount rate
d. the Fed raises the reserve requirement

Answers

Answer:

a. the Fed buys bonds  ⇒ increases the money supply because it buys bonds and pays in cash

b. the Fed auctions credit  ⇒ decreases the money supply because it sells bonds and receives cash

c. the Fed raises the discount rate  ⇒ decreases the money supply because an increase in the discount rate will affect interest rates in all the economy. Higher interest rates decrease the amount of money that households want to hold and increases household spending.

d. the Fed raises the reserve requirement ⇒ decreases the money supply since banks have less money to lend and interest rates will increase.

When using a supply-and-demand model to illustrate how land rents are set, economists typically draw the supply curve as a vertical line because: __________

a. the supply of land is fixed.
b. the supply of land is perfectly inelastic.
c. the quantity supplied of land does not increase when rents go up.
d. All of these are correct.

Answers

Answer:

d. All of these are correct.

Explanation:

In the case when the supply and demand model is used so the rent of the land set, and the economist draw the supply curve in a vertical line as the land supply is in fixed in nature, also it is perfectly inelastic, the quantity supplied does not rise in the case when the rent increased

These all reasons should be there as it is correlated with the price and the amount of the land

Hence, the correct option is d.

Last year, Rec Room Sports reported earnings per share of $8.40 when its stock price was $201.60. This year, its earnings increased by 25 percent. If the P/E ratio remains constant, what is likely to be the price of the Stock?

Answers

Answer:

The price of the Stock to be $252

Explanation:

As per available data

Earnings per share = $8.40

Stock price = $201.60

Calculate the P/E ratio

P/E ratio = Price / Earnings per share = $201.60 / $8.40 = 24

First calculate the increased earings per share

Increased earnings per share = $8.40 x ( 1 + 25% ) = $10.5 per share

By taking the P/E ratio constant we can calculate the price of stock using increased eanring per share

P/E ratio = Price / Increased Earnings per share

24 = Price  / $10.5

Price = $10.5 x 24

Price = $252

A stock is a broad term that refers to any company's ownership certificates. A share, on the other hand, refers to a certain company's stock certificate.

The price of the Stock to be $252  

As per available data:-

Earnings per share = $8.40

Stock price = $201.60

Calculate the P/E ratio:-

P/E ratio = Price / Earnings per share = $201.60 / $8.40 = 24

First calculate the increased earrings per share:-

Increased earnings per share = $8.40 x ( 1 + 25% ) = $10.5 per share

By taking the P/E ratio constant we can calculate the price of stock using increased earning per share:-

P/E ratio = Price / Increased Earnings per share

24 = Price  / $10.5

Price = $10.5 x 24

Price = $252

To know more about price of stock, refer to the link:

https://brainly.com/question/14952624

The market price of a security is $32. Its expected rate of return is 17%. The risk-free rate is 6%, and the market risk premium is 9.0%. What will be the market price of the security if its correlation coefficient with the market portfolio doubles (and all other variables remain unchanged)? Assume that the stock is expected to pay a constant dividend in perpetuity.

Answers

Answer:

im sorry

Explanation:

For Bonita Industries at a sales level of 4000 units, sales is $69000, variable expenses total $46000, and fixed expenses are $21000. What is the contribution margin per unit

Answers

Answer:

the contribution margin per unit is $5.75 per unit

Explanation:

The computation of the contribution margin per unit is shown below:

The Contribution margin per unit is

Contribution margin per unit= Contribution margin ÷ Sales units

= ($69,000 - $46,000 ) ÷ 4,000

= $5.75 per unit

Hence, the contribution margin per unit is $5.75 per unit

We simply applied the above formula so that the correct value could come

And, the same is to be considered

Advantages to free-trade agreements (FTAs) are that they increase trade barriers (both tariff and non-tariff barriers), open up market to exporters, and increase jobs domestically. True orFalse

Answers

Answer:

False

Explanation:

Free trade agreements are economic cooperation deals between two or more countries.  In the agreement, the countries agree to put in measures that will promote trade between them. Free trade agreements are mostly about tariffs and duties that countries impose on each other imports and exports.

The purpose of the free trade agreement is for participating countries to review the tariffs to increase trade among participating countries. In most cases, a free trade agreement resorts to reduced tariffs and duties.

Classify each of the following based on the macroeconomic definitions of saving and investment.

a. Megan purchases stock in Pherk, a pharmaceutical company.
b. Larry purchases a new condominium in Denver.
c. Janet purchases new ovens for her cupcake-baking business.
d. Felix purchases a corporate bond issued by a car company.

Answers

Answer:

A)savings

B) investment

C) investment

D)savings

Explanation:

In macroeconomics, Savings could be regarded as the amount that remains when the spending by consumer has been deducted from amount of disposable income that was earned by the consumer at that particular period.

Investment can be regarded as the amount of goods that are been accumulated which has not been consumed at that particular time.

From the question, The stock purchased by Megan in the question means that she has extral money which is savings to her. Government bonds purchase by Felix means he secured a savings.

Jasper makes a $31,000, 90-day, 6.5% cash loan to Clayborn Co. The amount of interest that Jasper will collect on the loan is:______(Use 360 days a year).A. $243.75.
B. $2925.
C. $1462.50.
D. $32.50.
E. $731.25.

Answers

Answer:

the amount of interest that is collected is $503.75

Explanation:

The computation of the amount of interest that is collected is shown below:

= Cash loan × number of days ÷ total number of days × rate of interest

= $31,000 × 90 days ÷ 360 days × 6.5%

= $503.75

Hence, the amount of interest that is collected is $503.75

This is the answer but the same is not provided in the given options

We simply applied the above formula so that the correct value could come

And, the same is to be considered

The current price of the futures contract is $30. A six-month call option on the futures contract with a strike price of $30 is trading at a price of $4. What is the price of a six-month put option on this futures contract with the same strike price?

Answers

Answer:

Put Price = $4

Explanation:

We are applying Put Call Parity Theorem. Future Price + Put Price = Call Price + Strike Price

$30 + Put Price = $4 + $30

Put Price = $4 + $30 - $30

Put Price = $4

Thus, the price of six month put option = $4

The initial cost of machinery for producing a certain item is $50,000. The machinery will have a five-year life with no salvage value. The manufacturing process has a fixed cost of $5,000 per year and a variable cost of $16 per unit. At an interest rate of 8% per year, the number of units that must be sold at $20 per unit for breakdown is nearest to:______________

Answers

Answer:

4,381 units per year

Explanation:

fixed costs per year (other than depreciation) = $5,000

contribution margin per unit = $20 - $16 = $4

in order for the project to break even, the NPV must be $0

this means that our discounted annual cash flow must be equal to $50,000

discounted annual cash flow = present value / PV annuity factor

PV annuity factor, 8%, 5 periods = 3.9927

annual cash flow = $50,000 / 3.9927 = $12,523

each annual cash flow = $4X - $5,000 = $12,523

$4X = $17,523

X = $17,523 / $4 = 4,380.75 ≈ 4,381 units

ardner Electric has a beta of 0.88 and an expected dividend growth rate of 4.00% per year. The T-bill rate is 4.00%, and the T-bond rate is 5.25%. The annual return on the stock market during the past 4 years was 10.25%. Investors expect the average annual future return on the market to be 14.75%. Using the SML, what is the firm's required rate of return

Answers

Answer: 13.61%

Explanation:

The Security Market Line is the Capital Asset Pricing model graphed the required return can be found using CAPM.

= Risk free rate + beta ( Market return - risk free rate)

Use the longer term rates for CAPM so use the T bond rate of 5.25% for risk free rate and use the 14.75% for the market return.

= 5.25% + 0.88 * ( 14.75 - 5.25%)

= 13.61%

The cash conversion cycle (CCC) combines three factors: The inventory conversion period, the receivables collection period, and the payables deferral period, and its purpose is to show how long a firm must finance its working capital. Other things held constant, the shorter the CCC, the more effective the firm's working capital management.

a. True
b. False

Answers

Answer:

a. True

Explanation:

A cash conversion cycle can be defined as a measure of the time or how long (in days) it would take a business firm or company to transform or convert its investments that are in inventory, as well as other tangible resources into cash-flow from the sales it make.

The cash conversion cycle (CCC) combines three factors: The inventory conversion period, the receivables collection period, and the payables deferral period, and its purpose is to show how long a firm must finance its working capital. Other things held constant, the shorter the CCC, the more effective the firm's working capital management.

The DCF value of the firm using the FCFF information above, a discount rate of 6%, and an expected terminal growth rate of 2%, is:__________.

Answers

Answer:

$176,900 million

Explanation:

Calculation for the DCF value of the firm

DCF value of the firm=$6,527/1.06 + $6,853/1.062 + $7,196/1.063 + $7,556/1.064 + ($7,707/(0.06 - 0.02))/1.064

DCF value of the firm= $176,900 million

Therefore the DCF value of the firm will be $176,900 million

A company that reports segment information had average total assets of $1,548,450 and total net income of $629,700. Segment A had average total assets of $940,800 and segment operating income of $317,800. Segment B had average assets of $607,650 and segment operating income of $311,900. The segment return on assets for Segment B is:

Answers

Answer:

the segment return on assets for segment B is 51.33%

Explanation:

The computation of the segment return on assets for segment B is shown below:

For segment B

= Segment operating income ÷ average assets

= $311,900 ÷ $607,650

= 51.33%

Hence, the segment return on assets for segment B is 51.33%

We simply applied the above formula so that the correct value could come

And, the same is to be considered

If the number of unemployed workers is 19 million, the number in the working-age population is 500 million, and the unemployment rate is 4%, what is the labor force participation rate?
A. 7.8%
B. 96.2%
C. 95%
D. 4.75%

Answers

Answer:

labor force participation rate= 96.2%

Explanation:

Giving the following information:

Unemployed people= 19 million

Labor force= 500 million

First, we need to calculate the employed people:

Employed population = 500 - 19= 481 million

Now, to calculate the labor force participation rate, we need to use the following formula:

labor force participation rate= (employed people/labor force)*100

labor force participation rate= (481/500)*100

labor force participation rate= 96.2%

For a given level of inflation, if a rise in the stock market makes consumers more willing to spend (the wealth effect), then the _____ shifts _____.

Answers

Answer:

aggregate demand curve; right

Explanation:

Inflation can be regarded as

when the level of price of goods/service increases for consumer to buy, it can be measured as a result of change in price. There are four types of level of inflation which are creeping, walking as well as galloping, and hyperinflation, which are measured base on speed. It should be noted that For a given level of inflation, if a rise in the stock market makes consumers more willing to spend (the wealth effect), then the aggregate demand curve shift right

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