The first year of operations for Grayton Company is 2017. Given this information for 2017:_______. Pretax book income $90,000Estimated litigation expense 100,000Excess of tax over book depreciation 300,000Interest Income on municipal bonds 200,000 No other permanent or temporary differences exist. The litigation item will be paid in 2020 and is appropriately considered a noncurrent liability. The depreciation will reverse evenly over the next three years. Tax rate is 30%. Future net income is probable. Indicate the proper deferred tax amount (s) to appear on the 12/31/17 balance sheet a. A noncurrent liability of $90,000 b. A noncurrent liability of $60,000 c. A noncurrent asset of $30,000 and a noncurrent liability of $90,000 d. A current liability of $30,000 and a noncurrent liability of $10,000 e. A noncurrent asset of $90,000 and a noncurrent liability of $30,000

Answers

Answer 1

Answer:

b. A noncurrent liability of $60,000

Explanation:

Calculation to Indicate the proper deferred tax amount (s) to appear on the 12/31/17 balance sheet

First step is to calculate the Estimated litigation expense by multiplying it with the Tax rate percentage

($100,000 × 30%)

= $30,000

Second step is to calculate the Excess of tax over book depreciation by multiplying it with the Tax rate rate percentage

($300,000 × 30%)

= $90,000

The last step is to calculate for the proper deferred tax amount (s) to appear on the 12/31/17 balance sheet

$90,000-$30,000

=$60,000 noncurrent liability

Therefore the proper deferred tax amount (s) to appear on the 12/31/17 balance sheet will be A noncurrent liability of $60,000


Related Questions

The account balances and income statement of Winniford Towing Service at June 30​, 2018​, ​follow: LOADING...​(Click the icon to view the account​ balances.)LOADING...​(Click the icon to view the income statement for the​ month.) Requirements 1. Prepare the statement of retained earnings for Winniford Towing Service for the month ending June 30​, 2018. 2. What does the statement of retained earnings​ report? Requirement 1. Prepare the statement of retained earnings for Winniford Towing Service for the month ending June 30​, 2018.

Answers

Answer:

A.Retained earnings June 30 $8,200

B.Income statement June 30$7,800

C.The statement of retained earnings will​ report Changes that occured in the retained earnings for a business entity during a period of time.

Explanation:

A. Preparation of statement of retained earnings

Retained earnings

for the month ending June 30​, 2018.

Retained Earning June 1 $3,400

Add Net income for the month $7,800

=$11,200

Less Dividend $3,000

Retained earnings June 30 $8,200

Therefore the Retained earnings for June 30 will be $8,200

2.Preparation of Income statement

Income statement

for the month ending June 30​, 2018.

Revenue:

Service Revenue $10,800

Less :Expenses

Salary expenses ($2,200)

Rent expenses ($800)

Net income $7,800

($10,800-$3,000)

Therefore Winniford Towing Service Income statementfor the month ending June 30​, 2018 Net income will be $7,800.

C. Based on the above calculation the statement of retained earnings will​ report

Changes that occured in the retained earnings for a business entity during a period of time.

The balance account

A balance account is one that shows the balance amount of the bookkeeping records. It the sum of balance of debt entries into the account at the time of financial year. The account balance and income statement of Winniford services at june 30 2018.

Thus shows us the answer retained earnings of june 30 are $8, 200. The income statements June  30 $7, 800 and retained earnings in point of time.

The account balances of the income statements for the months of june are given. As per the question the statement for the retained earnings of the winniford Towings services of june 30 2018 end are $8,200 while the Income statement is $7,800.The statement for the retained earnings will​ report Changes that occured in the retained earnings for a business entity during a period of time.

Learn more about the account balances.

brainly.com/question/17350392.

1. A Letter of Credit (or LC) is one of the major pillars on which International Trade stands. a) What is a Letter of Credit? b) With the aid of a diagram, explain the LC procedure. c) Explain to the CEO of Mbo Limited (a company in Ghana) which wants to buy large quantities of White Refined Granulated Sugar from Tiffany Anderson Group Ltd (a company in Brazil) why the LC is the most acceptable method to both the exporter and importer in a transaction such as he is about to undertake.

Answers

Answer:

A Letter of Credit (or LC)

There are various types of letter of credit (LC) that prevail in export/import trade transactions. These include Commercial, Export / Import, Transferable and Non-Transferable, Revocable and Irrevocable, Stand-by, Confirmed, and Unconfirmed, Revolving, Back to Back, Red Clause, Green Clause, Sight, Deferred Payment, and Direct Pay LC.  We can explain it by using the following illustrated examples:

a) Mbo Limited's bank can issue a letter of credit to Tiffany Anderson Group Ltd.'s bank a credit guarantee by which Mbo's bank guarantees that Mbo Limited will settle Tiffany Anderson Group Ltd in full for the amount involved in their trade relationship.  It is usually used by importers and exporters to settle trade credit.  It is the most acceptable means of settling debts across national boundaries.

b) A diagram is attached to show how a letter of credit works.  The procedures are detailed below:

A. A Sales Contract is established between the seller (exporter) and the buyer(importer).

B. The importer makes a request to its bank for issuance of letter of credit.

C. The importer’s bank issues a letter of credit to the exporter’s bank.

D. The exporter’s bank advises on the letter of credit to the exporter.

E. The exporter presents export documents (bill of lading and invoice) to its bank.

F. The exporter’s bank delivers the documents to the importer’s bank.

G. The importer’s bank debits the account of the importer for the stated amount after confirming that the documents are in order.

H. The importer’s bank pays the purchase price to the exporter’s bank.

I. The exporter’s bank credits the exporter’s bank to show payment.  This ends the transaction.

c. The letter of credit guarantees both the Mbo Limited and Tiffany Anderson Group Ltd.  It guarantees and ensures that payment for goods are not paid to Tiffany Anderson Group Ltd until there is evidence that the correct goods and quantity have been shipped by Tiffany Anderson Group Ltd (through the bill of lading).  It also assures Tiffany Anderson Group Ltd of payment for shipped goods since the documents cannot be released to Mbo Limited unless Mbo Limited's account had been debited and the money transmitted to Tiffany Anderson Group Ltd through its bank.

Explanation:

As explained above.

What is the mean 2019E EV/Revenue multiple in the Online Direct Sales comps group in 2019?
a) 1.1x
b) 1.2x
c) 0.8x
d) 0.6x

Answers

Answer:

The question is not clear and complete.

Let me explain how you can calculate Enterprise Value (EV) to Revenue Multiple

Explanation:

A Enterprise Value (EV) to Revenue Multiple is used to value a business by dividing its enterprise value by its annual revenue. The formula to calculate the Enterprise Value (EV) to Revenue Multiple is EV/Revenue

EV = Enterprise Value

EV can be denoted as (Equity Value + All Debt + Preferred Shares) – (Cash and Equivalents)

While Revenue = Total Annual Revenue

This can be calculated when we have a share price, shares outstanding, debt, and cash or its equivalence.

Brazilian Juice, a manufacturer of healthy fruit juices in Brazil, sells juice in six different countries including United States. Brazilian juice is engaging in a. economic development in United States. b. exercising nontariff barriers in Brazil. c. unfair trade practices. d. globalization. e. the World Trade Bank Group.

Answers

Answer:

d. globalization.

Explanation:

In this scenario, Brazilian Juice, a manufacturer of healthy fruit juices in Brazil, sells juice in six different countries including United States. Hence, we can safely conclude that Brazilian juice is engaging in globalization.

Globalization can be defined as a strategic marketing process which involves rapidly, effectively and efficiently providing finished goods and services to meet the needs of potential customers across the world or in various countries across the globe.

Simply stated, it involves the spread of products, technology, and significant investments across many countries in the world.

What is the rationale for governments to issue monopoly-promoting licenses to firms providing services such as trash collection

Answers

Answer:   d. economies of scale

Explanation:

Trash Collection can be a costly business because it includes going around the city, paying workers, high vehicle input costs and the like. These costs would need to be recovered and have less chances of doing so if the firms had to compete amongst themselves for customers.

A monopoly-promoting license giving a firm significant control would lead to Economies of scale that would ensure that they had enough customers for their costs to reduce as they offer services to the people as their costs would then reduce as they service more people without having to worry about competition.

Suppose you are about to buy a car and ask to see a vehicle history report to check previous accidents or problems reported for that car. When you are told that this information is not​ available, you decide not to buy the car.
A) Do ypu think this illustrates an adverse selection or moral hazard problem?
B) What is the connection between the lack of information and the probability that a transaction will occur?

Answers

Answer:

A) Do you think this illustrates an adverse selection or moral hazard problem?

This situation represents an adverse selection problem since the seller probably has access to more information about the car than you. Since the seller is hiding the information, it might mean that it is negative and would certainly affect your purchase decision. A moral hazard problem happens when someone takes unusually high risks because he/she has nothing to lose with the transaction.

B) What is the connection between the lack of information and the probability that a transaction will occur?

In perfect markets, information is perfect and therefore, the number of transactions maximizes. It is just common sense, imagine you want to buy a house, you will at least want to see the house and check all the documents. No one will buy a house just because a real estate agent tells them it is a nice house and it is located on a nice neighborhood.

Dave says that most brands of eyeglasses are owned by the same company. This illustrates which type of competition?

Answers

Answer:

The correct approach will be "monopoly ".

Explanation:

Monopolistic competition seems to be a real economy discipline that organizes monopoly components as well as market mechanisms. In essence, a competitive monopoly market would be one with individual liberty of entering and exiting, but companies can promote their business. Even though they have artificially cheap curvature of capital investment as well as and then they can fix prices.

Crockin Corporation is considering a machine that will save $9,000 a year in cash operating costs each year for the next six years. At the end of six years it would have no salvage value. If this machine costs $33,165 now, the machine's internal rate of return is closest to:_______.a. 16%.b. 17%.c. 18%.d. 19%.

Answers

Answer:

IRR = 16.5%

Explanation:

The IRR is the discount rate that equates the present value of cash inflows to that of cash outflows. At the IRR, the Net Present Value (NPV) of a project is equal to zero  

If the IRR greater than the required rate of return , we accept the project for implementation  

If the IRR is less than that the required rate , we reject the project for implementation  

IRR = a% + ( NPVa/(NPVa + NPVb)× (b-a)%

NPV = PV of annual savings - initial cost

PV of annual savings = A× (1- (1+r)^(-n) )/r

A- annual savings in operating cost , r- rate of return, n- number of years

NPVa  at 10% discount rate

PV of cash inflow = (9,000×  1-1.1^-6)/0.1 =   39,197.35  

NPV =    65,328.91 - 33,165 =  6,032.35  

NPVb at 20% discount rate

PV of cash inflow = (9,000×  1-1.2^-6)/0.2=  (3,235.41)

NPV = 29,929.59  -33,165 = (3,235.41)

IRR = a% + ( NPVa/(NPVa + NPVb)× (b-a)%

IRR = 10% + ( (6,032.35/(6,032.35 +3,235.41) )× (20-10)%= 16.51%

IRR = 16.5%

The Cash account in the ledger of Clear Windows shows a balance of $12,596 at September 30. The bank statement, however, shows a balance of $16,253 at the same date. The only reconciling items consist of a bank service charge of $16, a large number of outstanding checks totaling $6,740, and a deposit in transit.
-Cardinal Company's bank statement showed a balance at May 31 of $180,974. The only reconciling items consisted of a large number of outstanding checks totaling $51,847. At May 31, what balance should Cardinal's Cash account show?
A) $232,821.
B) $129,127.
C) $77,280.
D) Some other amount.

Answers

Answer:

1. $3,067

2. B) $129,127.

Explanation:

a. The computation of amount deposit in transit is shown below:

The amount of deposit in Transit =  Balance as per Cash Book as on 30th Sept - Cheque outstanding realized - Bank charges -  Balance as per Bank Book

= $12,596 + $6740 - $16 - $16,253

= $3,067

Deposit in Transit inflates the general ledger initially till it is credited in the bank book.

b. The computation of balance should Cardinal's Cash account show

Cash Account should show a balance =  Bank Statement Balance as on May 31 - Outstanding Cheque on May 31

= $180,974 - $51,847

= $129,127  

As we can see that the cash account balance is less because there is an outstanding

Jurvin Enterprises recorded the following transactions for the just completed month. The company had no beginning inventories. a. $94,000 in raw materials were purchased for cash.b. $89,000 in raw materials were requisitioned for use in production. Of this amount, $78,000 was for direct materials and the remainder was for indirect materials.c. Total labor wages of $132,000 were incurred and paid. Of this amount, $112,000 was for direct labor and the remainder was for indirect labor.d. Additional manufacturing overhead costs of $143,000 were incurred and paid.e. Manufacturing overhead costs of $152,000 were applied to jobs using the company’s predetermined overhead rate.f. All of the jobs in progress at the end of the month were completed and shipped to customers.g. Any underapplied or overapplied overhead for the period was closed out to Cost of Goods Sold.

Answers

Question Completion:

1. Post the above transactions to T-Accounts

2. Determine the adjusted costs of good sold for the period.

Answer:

Jurvin Enterprises

1.  T- Accounts:

Date  Description                                     Debit            Credit

         Raw Materials Account

a.       Cash                                             $94,000

b.       Work in Process Account                              $89,000

         Balance                                                               5,000

        Cash Account

a.       Raw Materials Account                                 $94,000

c.       Wages Account                                              132,000

d.       Manufacturing Overhead Account               143,000

        Work in Process Account

b.      Raw Materials                             $89,000

c.       Wages Account                          132,000

e.      Manufacturing Overhead           152,000

f.       Cost of Goods Sold                                     $373,000

        Wages Account

c.      Cash Account                           $132,000

c.      Work in Process Account                            $132,000

        Manufacturing Overhead Account

d.      Cash Account                          $143,000

e.      Work in Process Account                           $152,000

g.       Cost of Goods Sold                     11,000

       Cost of Goods Sold Account

f.       Work in Process Account      $373,000

g.      Overapplied Overhead                                 $11,000

Explanation:

a) Data is as given in the question.

b) The Cost of Goods Sold totals $373,000 being the value of Work in Process that is transferred when all the jobs in progress at the end of the month were completed and shipped to customers.

c) The overapplied overhead arises from the difference between the overhead applied to work in process and the actual manufacturing overhead incurred.

Any put additional that holds securities, cash, or other commodities serves as a brokerage account. A day dealer's principal fund is commonly referred to as a trading account.

Assets stored in a trading account are kept distinct from all those maintained in a long-term purchase and hold plan.

The T-Account has been attached below.

b) The overall cost of goods sold equals $373,000, which shows the value of Work in Process that is transferred when all tasks in progress at the end of the month are finished and sent to customers.

c) The discrepancy between both the excess applied to work in progress and the actual manufacturing overhead incurred is the basis of the overapplied overhead.

To know more about the calculation of the cost of goods sold or T-Accounts, refer to the link below:

https://brainly.com/question/13296920

A U.S. citizen works for a U.S. company in Germany. The income earned by the citizen increases U.S. GDP.
A. True
B. False

Answers

it's false fudujdjjxuxidj

The holders of ZZZ Corporation's bonds with a face value of $1,000 can exchange that bond for 35 shares of stock. The stock is selling for $25.00. What is the conversion price

Answers

Answer:

$28.57

Explanation:

The holders of ZZZ corporation bonds with a face value of $1000

It can be exchanged for 35 share of the stock

The stock is being sold for $25.00

Therefore, the conversion price can be calculated as follows

= $1000/35

= $28.57

Hence the conversion price is $28.57

During 2019, Jerry is a self-employed therapist, and his net earned income is $121,000 from his practice. Jerry's SEP Plan, a defined contribution plan, states that he will contribute the maximum amount allowable. Calculate Jerry's contribution.

Answers

Answer:

Jerry's SEP Plan

Maximum Allowable Contribution

= $30,250.

Explanation:

a) Data and Calculation:

Net earned income = $121,000

SEP IRA Plan = 25% of $121,000 = $30,250

The value of the above calculation is less than the $57,000 maximum.

b) Jerry, as a self-employed therapist, can make contributions to his SEP-IRA each year.  These contributions cannot exceed the lesser of 25% of compensation or $57,000 for 2020 ($56,000 for 2019 and subject to annual cost-of-living adjustments for later years), according to the information published by the Internal Revenue Service.

c) Jerry's simplified employee pension (SEP or SEP IRA) is a retirement plan that Jerry can establish as a self-employed therapist or individual.

The common stock of Southern Airlines currently sells for $33, and its 8% convertible debentures (issued at par, or $1,000) sell for $850. Each debenture can be converted into 25 shares of common stock at any time before 2025. What is the conversion value of the bond?

Answers

Answer: $825

Explanation:

Convertible bonds or debentures can be converted into stock in a company by the holders.

The Conversion Value of the bond is given by;

Conversion Value of the Bond = Stock Price * Conversion Ratio

Conversion Ratio = 25 shares for one debenture.

= 25/1

= 25

Conversion Value of the Bond = Stock Price * Conversion Ratio

= 33 * 25

= $825

A_____is a course of study that prepares students for careers in specific trades and occupations that need skilled workers

Answers

Answer:

Skilled Trades Education

Explanation:

These skilled trades education equips students with highly demanded skills which the companies requires its job applicant to posses so that he least guided and more productive than an newly trained employee. The students are trained at school and college level to get skilled so that they get better jobs or pays in coming future. There are many industry specific skills that a student can learn that are associated with manufacturing, construction, telecommunication, transportation, automobile, etc.

How does context influence your communication? Consider the language and culture people grew up with, and the role these play in communication styles.

Answers

Answer with Explanation:

The context of communication adds value in the communication as now the listener would be more engaged and attentive to what the person is conveying in his message. It also helps listener to interpret communication.

Something might be funny in one culture and not in another. This means if you are adding something that is culturally correct then it is more probable that the message conveyed was effective. Hence contexts must be according to the culture, norms, stories of people whom they know, etc. Hence cultural differences are of immense importance when we are setting up contexts for our communication.Level of Formality. The communication must be as per the occasion and level of formality of the occasion. In simple words, I would say that "When in Rome, do as the Romans do". If you are in a Formal occasion then your presentation must reflect use of formal language and when you aren't attending a formal occasions then you must be very relaxed and easy with the people (Usually friends) and of-course the dressing would be very casual.

TYR just announced yesterday that its fourth-quarter earnings will be 35% lower than last year's fourth quarter. You observe that TYR had an abnormal return of 3.7% yesterday. This suggests that

Answers

Answer: Investors expected the earnings increase to be smaller than what was actually announced.

Explanation:

Abnormal return on an asset such as stock refers to the difference between actual returns and expected returns. As such, if it is positive, that would mean that the actual returns are/ will be higher than the expected/anticipated returns.

TYR had an abnormal return of 3.7% which would mean that the the 35% lower fourth-quarter earnings was higher than investors expected from TYR.

The following data applies to a particular item of merchandise: On hand at start of period 300 $5.10 1st purchase 500 5.20 2nd purchase 700 5.30 3rd purchase 600 5.50 Number of units available for sale 2,100 On hand at end of period 500 Number of units sold during period 1,600 Of the 1,600 units sold during the period, 300 were from the beginning inventory; 500 from the first purchase; 600 from the second purchase; and 200 from the last purchase. Using the weighted-average costing method and rounding the average unit cost to the nearest whole cent, the value of the inventory on hand at the end of the period would be

Answers

Answer:

$2,650

Explanation:

beginning inventory 300 units at $5.10 = $1,530

1st purchase 500 units at $5.20 = $2,600

2nd purchase 700 units at $5.30 = $3,710

3rd purchase 600 units at $5.50 = $3,300

total number of units 2,100

total cost = $11,140

average cost per unit = $5.30

ending inventory = 500

value of ending inventory using average cost = 500 x $5.30 = $2,650

What is the present value of a perpetuity of $100 per year if the appropriate discount rate is 7%? If interest rates in general were to double and the appropriate discount rate rose to 14%, what would happen to the present value of the perpetuity? Ehrhardt, Michael C.. Corporate Finance: A Focused Approach (p. 187). Cengage Learning. Kindle Edition.

Answers

Answer:

As the interest rate doubles, the present value is the half.

Explanation:

Giving the following information:

Cf= $100

i= 0.07

i= 0.14

To calculate the present value of a perpetuity, we need to use the following formula:

PV= Cf/i

PV= present value

Cf= cash flow

i= interest rate

First perpetuity:

PV= 100/0.07

PV= $1,428.57

Second perpetuity:

PV= 100/0.14

PV= $714.286

As the interest rate doubles, the present value is the half.


Young people need about
hours of sleep every night.
A. six to eight
B. seven to nine
C. eight to ten
D. nine to eleven

Answers

Answer:

B

I think seven to nine is the answer.

In which of the following statements are the terms "demand" and "quantity demanded" used correctly?
A) When the price of ice cream rose, the demand for both ice cream and ice cream toppings fell.
B) When the price of ice cream rose, the quantity demanded of ice cream fell and the demand for ice cream topping fell.
C) When the price of ice cream rose, the demand for ice cream fell and the quantity demanded of ice cream toppings fell.
D) None of these statements uses the terms correctly.

Answers

Answer:

B) When the price of ice cream rose, the quantity demanded of ice cream fell and the demand for ice cream topping fell.

Explanation:

A rise in the price of a good would lead to a fall in the quantity demanded of the good.

So, a rise in the price of ice-cream would lead to fall in the quantity demanded of ice cream.

A rise in the price of ice-cream would lead to a fall in the demand for ice cream toppings.

From a cash receipts standpoint, mandating that a single designated employee is authorized to handle cash receipts (at the counter or via the mail) is an example of the control activity:___________
A) Human resource controls
B) Independent internal verification
C) Establishment of responsibility
D) Segregation of Duties

Answers

Answer: C) Establishment of responsibility

Explanation:

Establishment of responsibility is an internal control method that works by assigning one person the role and responsibility of mangling an activity.

This way it is easier to monitor the way that activity is done and the resources attached to it because with only one person having access, any unexplained events can be queried from the person who's sole responsibility it was to look after the activity the event occurred in.

In this scenario for instance, if the cash receipts are found to be missing in any way, the first person that will be questioned is the employee who was solely authorized to handle cash receipts (at the counter or via the mail).

Suppose that the election of a popular presidential candidate suddenly increases people’s confidence in the future. Use the model of aggregate demand and aggregate supply to analyze the effect on the economy

Answers

Answer:

The aggregate demand will increase.

Explanation:

The increase in people’s confidence that the future return will be good or higher then the people will increase their current spending. Thus, an increase in the current spending will result in the rise of aggregate demand. consequently, the aggregate demand curve will shift rightwards, and this forms a new equilibrium at a higher position. Resulting in increased price and increased quantity. Thus, in future, people will see faster economic growth.

The Jackson-Timberlake Wardrobe Co. just paid a dividend of $1.75 per share on its stock. The dividends are expected to grow at a constant rate of 4 percent per year indefinitely. Investors require a return of 11 percent on the company's stock.

Required:
a. What is the current stock price?
b. What will the stock price be in 18 years?

Answers

Answer:

(A) $26

(B) $52.67

Explanation:

The Jackson Timberlake wardrobe corporation paid a dividend of $1.75 per share

The growth rate is 4%

= 4/100

= 0.04

The rate of return is 11%

= 11/100

= 0.11

(A) The current stock price can be calculated as follows

Current price= dividend ×(1+growth rate)/required return-growth rate

= $1.75×(1+0.04)/(0.11-0.04)

= 1.75× 1.04/0.07

= 1.82/0.07

= $26

(B) The amount of stock price in 18 years can be calculated as follows

= Current price × (1+growth rate)^18

= $26 × (1+0.04)^18

= $26 × 1.04^18

= $26 × 2.0258

= $52.67

Wayne Enterprises declared annual cash dividends of $10 million, $12 million, and $50 Million in its first three years of operation-2017, 2018, and 2019 respectively. Wayne also had $200 million of outstanding, cumulative and nonparticipating, preferred shares that yield 10%. How much in dividends did the common stock shareholders receive in 2019

Answers

Answer:

the dividend to be paid to the common stock shareholder is $30 million

Explanation:

The computation of the dividend to be paid for the common stock shareholder received is shown below:

= Total dividend for the year 2019 - (Number of outsanding cumulative shares × yield percentage)

= ($50 million - $200 million × 10%)

= $50 million - $20 million

= $30 million

hence, the dividend to be paid to the common stock shareholder is $30 million

Which of the following is true regarding the payback method: 18 8 01:02:53 a. When a company is 'cash poor', a project with a short payback period but a low rate of return may be preferable to a project with a long payback period and a high rate of return b. The computation of the payback period is the project's initial investment divided by the present value of its net cash flows. c. A payback period of 35 means a company will earn 35 times its initial investment, d. The payback period increases as the cost of capital increases

Answers

Answer:

b. The computation of the payback period is the project's initial investment divided by the present value of its net cash flows.

Explanation:

Payback calculates the amount of time it takes to recover the amount invested in a project from it cumulative cash flows

Payback period = Amount invested / cash flow

Discounted payback calculates the amount of time it takes to recover the amount invested in a project from it cumulative discounted cash flows

payback period decreases as cost of capital increases

A payback period of 35 means a company will recover the amount invested in a project in 35 years

Jackson company recorded the following cash transactions for the year:
Paid 135,000 for salaries
Paid $60,000 to purchase office equipment.
Paid $15,000 for utilities.
Paid $6,000 in dividends.
Collected $245,000 from customers.
What was Jackson’s net cash provided by operating activities?

Answers

Answer:

$95,000

Explanation:

Jackson's net cash provided by operating activities is calculated below;

Cash collected from customers

$245,000

Less : Salaries paid. ($135,000)

Less utilities ($15,000)

Net cash provided. $95,000

The following calculations help you see how the ratio of debt to GDP changes from one year to the next. Suppose that in a hypothetical country with a currency called the ducat, debt is equal to 140 trillion ducats and GDP is equal to 100 trillion ducats. This means that the ratio of debt to GDP is 1.4, or 140%. Also, suppose that the deficit is 7 trillion ducats, which is 7% of GDP.
When the government runs a deficit, it spends more than it collects in tax revenue. To make up the difference, it borrows. So if t runs a deficit of 7 trillion ducats, debt increase by 7 trillion ducats. So debt next year is 147 trillion ducats. Suppose that there is no growth in real GDP and inflation is equal to -2% per year. Negative inflation is the same as deflation. Next year's GDP will be equal to _____ trillion ducats.
if the ratio of debt to GDP is 1.4 this year, the ratio of debt to GDP next year when inflation is equal to -2% year will be _____
Suppose that the deficit remains constant at 7% of GDP and that inflation persists at -2%. The debt to GDP ratio the year after next will be _____

Answers

Answer:

Ratio of debt to GDP changes

When the government runs a deficit, it spends more than it collects in tax revenue. To make up the difference, it borrows.  So if t runs a deficit of 7 trillion ducats, debt increase by 7 trillion ducats. So debt next year is 147 trillion ducats. Suppose that there is no growth in real GDP and inflation is equal to -2% per year. Negative inflation is the same as deflation. Next year's GDP will be equal to _98____ trillion ducats.

If the ratio of debt to GDP is 1.4 this year, the ratio of debt to GDP next year when inflation is equal to -2% year will be __1.5___

Suppose that the deficit remains constant at 7% of GDP and that inflation persists at -2%. The debt to GDP ratio the year after next will be __1.6___

Explanation:

Data and Calculations:

1. Debt equals 140 trillion ducats

GDP is equal to 100 trillion ducats

Ratio of debt to GDP = 1.4 or 140%

Deficit = 7 trillion ducats = 7% of GDP

2. Now debt increases by 7 trillion ducats to 147 trillion ducats

Deflation = -2%

Therefore, next year's GDP will be equal to 98 (100 x 0.98) trillion ducats

Ratio of debt will change to 147/98 = 1.5

3. With deficit constant at 7% of GDP or 6.86 trillion (7% of 98 trillion) and inflation at -2%,

Debt will be equal to 147 + 6.86 trillion = 153.86 trillion

and GDP will be equal to 96 (98 - 1.96) trillion; 1.96 = 2% of 98 trillion

Then Debt to GDP = 153.86/96 = 1.6

A relational database can be defined as a self-describing collection of non-integrated relations.
a) true
b) false

Answers

Answer:

False

Explanation:

The definition above for a relational database is false. The relational database is majorly based on the relational model of data. The data item collected are organized and arranged in a set of tables with rows and columns.

This type of database provides access to data points which are related. The tables in which these data are arranged and organized can be knowm as "relations". They are divided into rows (records) and columns (fields).

Children in poor neighborhoods often have bleak outlooks on life and see little gain from studying. In a recent experiment, children in poor neighborhoods were paid $100 for each A they earned during a six-week grade reporting cycle. Suppose a participant in this experiment was expending $0 worth of effort in studying for each class before the experiment. Over the next 6 weeks, the student has a math class and an English class, where getting an A in math would require the student to exert $98 worth of effort, while getting an A in English would require the student to exert $84 worth of effort. In this experiment, the student (would or would not) increase time studying for math, and the student (would or would not) increase time studying for English.

Answers

Answer:

For maths; the student would not increase time studying

For English; the student would increase time studying

Explanation:

We can make this assertion because we are told that the children are from poor neighborhoods, so they have desire to ease their financial lack.

Further, because they do not see the importance of studying, they likely would avoid the extra effort of $98 for maths when they can exert $84 worth of effort for English which is lower.

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