A delivery car had a first cost of $34,000, an annual operating cost of $13,000, and an estimated $3500 salvage value after its 6-year life. Due to an economic slowdown, the car will be retained for only 4 years and must be sold now as a used vehicle. At an interest rate of 12% per year, what must the market value of the used vehicle be in order for its AW value to be the same as the AW if it had been kept for its full life cycle

Answers

Answer 1

To calculate the market value of the used vehicle, we need to determine the equivalent annual worth (AW) of both scenarios: keeping the car for the full 6-year life cycle and selling it after 4 years.

For the full 6-year life cycle:

Annual Worth (AW) = First Cost + Annual Operating Cost + Salvage Value / AW Factor

AW Factor = (1 - (1 + i)^(-n)) / i

Where:

i = Interest rate per year

n = Number of years

Using these formulas, we can calculate the AW for the full 6-year life cycle as follows:

AW Factor = (1 - (1 + 0.12)^(-6)) / 0.12 = 3.5771

AW = 34000 + 13000 + 3500 / 3.5771 = $17,616.70

Now, let's calculate the AW for the scenario where the car is sold after 4 years:

AW Factor = (1 - (1 + 0.12)^(-4)) / 0.12 = 2.7133

AW = 34000 + 13000 + Market Value / 2.7133

To make the AW of the used vehicle equal to the AW for the full life cycle, we can set the two AW equations equal to each other:

34000 + 13000 + 3500 / 3.5771 = 34000 + 13000 + Market Value / 2.7133

Simplifying the equation:

Market Value / 2.7133 = 17616.70

Market Value = 17616.70 * 2.7133 = $47,797.89

Therefore, the market value of the used vehicle should be approximately $47,797.89 in order for its AW value to be the same as if it had been kept for the full 6-year life cycle.

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Related Questions

Write up a two-column cash book for a second hand bookshop from the following during the month of November 2020. 1* Balance brought forward from last month: cash (2950; bank €4,240 2nd Cash sales ¢3,100 3rd Took $2,000 out of the cash till and paid it into the bank 4th F. Bell paid us by cheque ¢194 5th Paid for postage stamps in cash 480 6th Bought office equipment by cheque ¢310 7th Paid L. Root by cheque ¢940 11th Withdrew ¢1,500 from the bank for business use 12th Paid wages in cash $400 13th Cash sales ¢430 14th Paid motor expenses by cheque ¢810 16th J. Bull lent us ¢1,500 in cash 20th K. Brown paid us by cheque ¢174 28th Paid general expenses in cash ¢350 30th Paid insurance by cheque ¢320

Answers

In the two-column Cash Book, the first column is for the date of the transaction, the second column is for the particulars of the transaction, the third column is for cash transactions, and the fourth column is for bank transactions. Positive numbers indicate inflow while negative numbers indicate outflow.

Cash Book for Second Hand Bookshop for November 2020

| Date | Particulars | Cash | Bank |
|------|------------|------|------|
| 1st | Balance brought forward | 2950 | 4240 |
| 2nd | Cash sales | 3100 | - |
| 3rd | Cash deposited into bank | - | 2000 |
| 4th | F. Bell paid by cheque | - | 194 |
| 5th | Paid for postage stamps | 480 | - |
| 6th | Bought office equipment by cheque | - | 310 |
| 7th | Paid L. Root by cheque | - | 940 |
| 11th | Withdrew from bank | 1500 | - |
| 12th | Paid wages in cash | 400 | - |
| 13th | Cash sales | 430 | - |
| 14th | Paid motor expenses by cheque | - | 810 |
| 16th | Cash lent by J. Bull | 1500 | - |
| 20th | K. Brown paid by cheque | - | 174 |
| 28th | Paid general expenses in cash | 350 | - |
| 30th | Paid insurance by cheque | - | 320 |
| Total | | 10760 | 7888 |

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a company budgets production of 4,870 units for june. each unit uses 2 hours of direct labor at $40 per hour. prepare a direct labor budget for june.

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The company wants to budget their direct labor for June and they plan to produce 4,870 units. The direct labor budget for June is $394,400.  

Each unit takes 2 hours of direct labor, which costs $40 per hour.

The total direct labor cost for the month of June, we need to multiply the number of units by the number of hours of direct labor per unit.

Total direct labor cost for June = Number of units * Hours of direct labor per unit

Total direct labor cost for June = 4,870 units * 2 hours per unit

Total direct labor cost for June = 9,740 hours of direct labor

To convert this to a budget format, we can express the total direct labor cost as a dollar amount.

Total direct labor cost for June =  9,740 hours of direct labor *40 per hour

Total direct labor cost for June = $394,400

Therefore, the direct labor budget for June is $394,400.  

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an unlicensed person owns an option to purchase real property for a $190,000. he advertises the option for sale for $20,000. this action is:

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The action of an unlicensed person advertising the option to purchase real property for $20,000 when they own the option for $190,000 is potentially illegal and may violate real estate regulations.

In most jurisdictions, the buying and selling of real estate options without a proper license or authorization is prohibited. Real estate transactions are typically regulated to protect consumers and ensure fair practices. The action of an unlicensed person advertising the option for sale at a significantly lower price than their own purchase option raises concerns and may be considered fraudulent or deceptive.

When someone owns an option to purchase real property, they typically have a contractual right to buy the property at a predetermined price. Advertising the option for sale at a substantially lower price may be seen as an attempt to deceive potential buyers or lure them into an unfair transaction. It could also indicate an attempt to make an illegal profit by misleading buyers about the true value of the option.

Engaging in such activities without the necessary licensing or authorization can lead to legal consequences, including fines and penalties. It is important for individuals involved in real estate transactions to adhere to applicable laws and regulations to ensure transparency and protect the interests of all parties involved.

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Which of the following mechanisms will increase the rate of return that can be earned by inventors of new technology?

A. intellectual property rights
B. government research and development grants
C. cooperative research ventures between companies
D. patents, copyrights, and each of the above

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The mechanism that is likely to increase the rate of return that can be earned by inventors of new technology is intellectual property rights. Intellectual property rights give inventors the legal protection to profit from their innovations by preventing others from copying or stealing their ideas.

This mechanism encourages inventors to continue creating new technology because they know they will be able to profit from their efforts. Government research and development grants and cooperative research ventures between companies can also be helpful in providing financial support and collaboration opportunities, but they may not necessarily increase the rate of return for individual inventors. Patents and copyrights, when used in conjunction with intellectual property rights, can further protect inventors and their creations. Overall, a combination of these mechanisms can support innovation and technological advancement. It can be said that the protection of intellectual property rights is essential for promoting innovation in the technology sector. Without such protection, there would be little incentive for inventors to create new technology, as there would be no guarantee that they could profit from their creations. By providing legal protection for intellectual property, inventors can feel secure in their ability to earn returns on their investments of time and resources. Government research and development grants and cooperative research ventures between companies can also be helpful in promoting innovation, as they can provide funding and collaboration opportunities that can support the development of new technology. However, intellectual property rights remain the most critical mechanism for increasing the rate of return for inventors of new technology.

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From the perspective of a U.S. local investor, what is the danger with home country bias? (Select all that apply) a. The U.S. has a lower CAGR than the global average b. Investors might miss some profitable investment opportunities c. They might miss some diversification opportunities with high correlations to existing holdings d. Actually it is best to invest only in your local market

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From the perspective of a U.S. local investor, the danger with home country bias includes both missing out on profitable investment opportunities and missing diversification opportunities with high correlations to existing holdings.

It is important for investors to consider investing in global markets in order to capture higher potential returns and reduce risk through diversification. Home country bias can limit an investor's exposure to growth in other economies and sectors, potentially resulting in missed opportunities for growth. Additionally, investing solely in the local market can result in over-concentration in certain sectors or industries, increasing vulnerability to market volatility and other risks. Therefore, it is important for investors to broaden their investment horizon beyond their local market in order to optimize their portfolio and reduce risk.

While the U.S. may have a lower CAGR than the global average, this should not discourage investors from exploring international investment opportunities. Ultimately, diversification across markets and asset classes is key to achieving long-term investment success.

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ales promotion activities multiple choice all of these alternatives about sales promotion activities are correct. are usually focused on long-term results. T/F

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False. Sales promotion activities are typically focused on short-term results rather than long-term results. It's important for businesses to strike a balance between short-term promotional efforts and long-term marketing strategies

Sales promotion activities are marketing techniques used to stimulate immediate sales of a product or service. They are designed to create a sense of urgency and encourage customers to make a purchase or take a specific action in the short term. Examples of sales promotion activities include discounts, coupons, contests, free samples, loyalty programs, and limited-time offers.

While sales promotion activities can help increase sales and generate immediate results, their impact is generally short-lived. They are often used as tactical tools to boost sales temporarily or to attract new customers. Long-term strategies, on the other hand, focus on building strong customer relationships, enhancing brand loyalty, and establishing a sustainable competitive advantage. These strategies may include activities like advertising, public relations, product innovation, and customer relationship management.

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General Motors Corporation (a U.S.-based firm) produced a Saab vehicle in Sweden in 2009, and sold it in the United States. In which country's GDP was the value of the manufactured Saab car included? The United States because GM is a U.S. company The United States because it was sold there Sweden because it was produced there Hall the value of the car in Sweden and half in the United States

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The value of the manufactured Saab car would be included in Sweden's GDP because it was produced there.

The value of the manufactured Saab car would be included in the United States' GDP, not Sweden's. This is because GDP measures the value of goods and services produced within a country's borders, regardless of the nationality of the producing company. In this case, even though General Motors Corporation (GM) is a U.S.-based firm, the car was manufactured in Sweden but sold in the United States. Therefore, the value of the car would be included in the United States' GDP.

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When a consumer purchases products occasionally or needs information about an unfamiliar brand in afamiliar product category, he or she will most likely engage ina) enduring purchase behavior.b) routinized response behavior.c) extended problem solving.d) impulse searching.e) limited problem solving.

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When a consumer purchases products occasionally or needs information about an unfamiliar brand in a familiar product category, he or she will most likely engage in e) limited problem solving.

Limited problem solving refers to a moderate level of consumer decision-making involvement, where the consumer seeks some information but does not extensively research or evaluate alternatives. It is typically applied in situations where the purchase decision is not highly important or complex.In this scenario, the consumer's occasional purchase or need for information about an unfamiliar brand in a familiar product category suggests a moderate level of involvement. The consumer may gather some basic information, compare a few options, and make a relatively quick decision without extensive research or evaluation.

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a decrease in the price of a foreign currency is represented graphically as

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A decrease in the price of a foreign currency is graphically represented by a downward shift in the exchange rate curve.

In graphical representation, the exchange rate is typically depicted on the vertical axis, while the quantity of currency exchanged is shown on the horizontal axis.

When the price of a foreign currency decreases, it means that the value of the foreign currency has decreased relative to the domestic currency. This is reflected as a downward shift in the exchange rate curve.

The new exchange rate indicates that more units of the domestic currency are needed to purchase a unit of the foreign currency. The downward shift implies that the domestic currency has strengthened against the foreign currency, making imports more expensive and exports more competitive.

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what is the cost of an asset if it is depreciated using the straight-line method with annual depreciation of $14,250 for 12 years with an estimated salvage value of $5,700?
A : $147,000
B : $162,000
C : $141,000
D : $144,000

Answers

The cost of an asset can be calculated using the straight-line method of depreciation, which assumes that the asset loses an equal amount of value every year over its useful life.

According to the problem, the asset has an estimated salvage value of $5,700 and the annual depreciation is $14,250 for 12 years. Therefore, the total depreciation over the useful life of the asset will be $14,250 x 12 = $171,000.

To calculate the cost of the asset, we need to subtract the estimated salvage value from the original cost of the asset. Let's assume that the original cost of the asset was C. Then we can write:

C - $5,700 = $171,000

Solving for C, we get:

C = $171,000 + $5,700

C = $176,700

Therefore, the cost of the asset is $176,700.

However, the options given in the question are rounded to the nearest thousand, so we need to round our answer to the nearest thousand as well.

Rounding $176,700 to the nearest thousand, we get $177,000, which is not one of the given options. However, the option closest to $177,000 is option B, which is $162,000. This means that option B is the best answer given the constraints of the problem.

Therefore, the cost of the asset, if it is depreciated using the straight-line method with annual depreciation of $14,250 for 12 years with an estimated salvage value of $5,700, is option B: $162,000.

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an asset purchased 2 years ago for $40,000 is harder to maintain than expected. what is the $40,000?

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In conclusion, the $40,000 refers to the purchase price of the asset.

If an asset was purchased 2 years ago for $40,000 and is proving harder to maintain than expected, the $40,000 refers to the purchase price of the asset. This means that the owner spent $40,000 to acquire the asset 2 years ago. However, due to unexpected maintenance costs, the asset is proving to be more expensive to maintain than originally anticipated. It's important to note that unexpected maintenance costs can have a significant impact on an asset's total cost of ownership over its lifespan. This is why it's essential to factor in potential maintenance costs when considering the purchase of an asset, especially if it's expected to be used for an extended period of time. In conclusion, the $40,000 refers to the purchase price of the asset.

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A stock advisor claims that Berkshire Hathaway, the investment co. run by Warren Buffett, generates ‘positive alpha.’ How can we test this using a regression model? What are we looking for in the regression output? Write out the regression and state what we are looking for.

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We are looking for a significant intercept (a) and a low error term (ε), which indicates that the benchmark is a good predictor of the returns of Berkshire Hathaway.

To test whether Berkshire Hathaway generates positive alpha, we can use a regression model. The regression model will compare the returns of Berkshire Hathaway with a benchmark, such as the S&P 500 index, and look for any excess returns that are not explained by the benchmark.

The regression model can be written as:

R(BH) = a + bR(BM) + ε

where R(BH) is the return of Berkshire Hathaway, R(BM) is the return of the benchmark, a is the intercept (which represents the alpha), b is the slope (which represents the beta), and ε is the error term.

If the intercept (a) is significantly different from zero, then Berkshire Hathaway is generating positive alpha. This means that Berkshire Hathaway is outperforming the benchmark, even after adjusting for the risk represented by the beta (b).

We can also look at the R-squared value of the regression output, which represents the percentage of the variation in the returns of Berkshire Hathaway that is explained by the benchmark.

A high R-squared value indicates that the benchmark is a good predictor of the returns of Berkshire Hathaway, while a low R-squared value indicates that there are other factors that are influencing the returns of Berkshire Hathaway.

In summary, to test whether Berkshire Hathaway generates positive alpha using a regression model,  We can also look at the R-squared value to see how much of the variation in the returns of Berkshire Hathaway is explained by the benchmark.

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To test whether Berkshire Hathaway generates positive alpha, we can use a regression model that compares the stock's returns to the returns of a market index such as the S&P 500. We can use the Capital Asset Pricing Model (CAPM) to estimate the expected return of Berkshire Hathaway based on the market risk premium and its beta.

The regression model can be expressed as:

Ri = α + β(Rm) + εi

Where:

Ri is the return on Berkshire Hathaway

α is the intercept or alpha

β is the beta coefficient

Rm is the return on the market index

εi is the error term

If the alpha coefficient is significantly positive, it suggests that Berkshire Hathaway has generated excess returns over what could be explained by its beta and the market returns, indicating positive alpha.

To interpret the regression output, we need to look for the alpha coefficient and check whether it is statistically significant. A significant positive alpha would indicate that Berkshire Hathaway has generated positive alpha, i.e., it has outperformed the market, even after accounting for market risk. The beta coefficient can also provide information about how the stock performs compared to the market.

In summary, to test whether Berkshire Hathaway generates positive alpha, we would run a regression of the stock's returns against the market returns, and we would look for a significant positive alpha coefficient.

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A creditor who holds a promissory note secured by a lien on real estate is a. a secured creditor b. a general creditor c. violating the law

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A creditor who holds a promissory note secured by a lien on real estate is considered a secured creditor. Option A

This means that they have a legal interest in the property and have the right to foreclose on the property if the borrower fails to make payments. The promissory note serves as a legal contract between the borrower and the creditor, outlining the terms of the loan and the obligations of both parties.

On the other hand, a general creditor is someone who is owed money by the borrower but does not have any security or collateral to back up their claim. They are not entitled to any specific property or assets and must rely on the borrower's promise to pay back the debt.

It is important to note that there are laws and regulations governing the creation and enforcement of liens on real estate. Creditors must follow these rules in order to legally secure their interest in the property.

Violating these laws can result in legal consequences, including the invalidation of the lien and the loss of the creditor's security interest in the property. So Option A is correct

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a. a secured creditor. A secured creditor is a lender or creditor who has a legal right to some form of collateral, such as real estate or personal property, until the debt is repaid in full.

In the case of a promissory note secured by a lien on real estate, the creditor has a legal right to the property until the borrower repays the debt according to the terms of the promissory note. This means that if the borrower defaults on the loan, the creditor can seize and sell the property to recover the outstanding debt.On the other hand, a general creditor is a creditor who does not have a security interest in the debtor's property and does not have the right to seize and sell the property to recover the outstanding debt. Instead, a general creditor can only seek repayment from the debtor's general assets or income.

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7. Harley Company has provided the following selected financial information. 2018 2019 Total assets $ 3,600,000 $ 3,900,000 Net sales $ 7,200,000 $ 9,000,000 Net income $ 640,000 $ 480,000 What is Harley's 2019 return on assets (rounded)

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Harley's 2019 return on assets (ROA) can be calculated by dividing the net income of $480,000 by the total assets of $3,900,000 and multiplying the result by 100. This gives us an ROA of approximately 12.31% (rounded).

Return on assets (ROA) is a financial ratio that measures a company's profitability in relation to its total assets. It indicates how efficiently a company is utilizing its assets to generate profits. To calculate ROA, we divide the net income by the total assets and multiply by 100 to express it as a percentage.

For Harley in 2019, the net income is $480,000, and the total assets are $3,900,000. Therefore, the ROA is calculated as follows:

ROA = (Net Income / Total Assets) * 100

ROA = ($480,000 / $3,900,000) * 100

ROA ≈ 0.1231 * 100

ROA ≈ 12.31%

This means that Harley had a return on assets of approximately 12.31% in 2019, indicating that the company generated $12.31 in net income for every $100 of assets it possessed.

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if 20,000 units are produced, what is the total amount of fixed manufacturing overhead incurred to support this level of production?

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Fixed manufacturing overhead is the sustainable costs that are incurred to operate a company's production systems, including tools and equipment, buildings, land, and other associated costs like rent, taxes, insurance, and utilities.

To calculate the total amount of fixed manufacturing overhead incurred to support a production level of 20,000 units, you would need to know the set fixed manufacturing overhead cost per unit. Taking this cost figure and multiplying it by the 20,000 units produced, you would come to the total amount of fixed manufacturing overhead incurred to support this level of production.

It is important to ensure that the fixed manufacturing overhead cost per unit is a sustainable figure, meaning that it accurately reflects the cost of all the fixed overhead expenses required to support production.

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like human capital theory, the dual labor market perspective posits the existence of two quite distinct labor markets (the primary labor market and the secondary labor market) that operate according to different rules. true or false

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True. The dual labor market perspective suggests the existence of two distinct labor markets: the primary labor market and the secondary labor market.

This perspective, similar to human capital theory, highlights the idea that different segments of the labor market operate under different rules and conditions.
In the primary labor market, jobs tend to offer higher wages, better benefits, job security, and opportunities for career advancement. These jobs often require higher levels of education, skills, and experience. Workers in the primary labor market have greater access to job stability and opportunities for growth.
On the other hand, the secondary labor market consists of jobs that are typically low-wage, offer limited benefits, and provide less job security. These jobs often require lower levels of education and skills. Workers in the secondary labor market face more precarious employment conditions and fewer opportunities for career advancement.
The dual labor market perspective recognizes the disparities and inequalities that exist within the labor market, emphasizing how different segments offer varying levels of job quality and opportunities.

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Ford signs a non-cancelable 8-year equipment lease with Ray. The lease has an implicit rate of return of 10% to Ray, the lessor. This rate is known to Ford. Ray’s incremental borrowing rate is 8.5%. Ford has a 9% incremental borrowing rate. Ray believes that the equipment has a 10-year service life but has reason to suspect that a major overhaul might be required in the fifth to seventh year. Since this is the first year of the equipment’s production, Ray warrants equipment for eight full years anyway.
On Ford’s books, this lease is treated as a/an:
Multiple Choice
a. operating lease.
b. short-term lease.
c. finance lease.
d. sales-type capital lease.

Answers

On Ford's books, this lease is treated as a/an: c. finance lease.

A finance lease, also known as a capital lease, is a type of lease agreement in which the lessee (the person or entity leasing the asset) assumes most of the risks and rewards associated with ownership of the leased asset.

It is a long-term lease arrangement that is structured in a way that resembles a purchase or financing agreement.

In a finance lease, the lessee obtains the right to use and control the leased asset for a significant portion of its useful life. The lessor (the owner of the asset) transfers the risks and rewards of ownership to the lessee, and the lessee is responsible for maintaining and insuring the asset.

At the end of the lease term, the lessee may have the option to purchase the asset at a predetermined price.

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____ refers to a global marketing strategy that basically uses the same marketing strategy and mix in all of the company’s international markets.

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Global standardization refers to a global marketing strategy that uses the same marketing strategy and mix in all of the company's international markets.

Global standardization is an approach to international marketing where a company develops and implements a standardized marketing strategy and mix across all its international markets. It involves treating the global market as a homogeneous entity and assuming that customers' needs, preferences, and behaviors are similar across countries.

The idea behind global standardization is to achieve economies of scale and cost efficiencies by leveraging a consistent marketing approach worldwide. This strategy assumes that the company's products or services, as well as its marketing messages, can be universally applicable and do not require significant customization for different markets.

By implementing global standardization, companies can benefit from streamlined operations, lower marketing costs, and consistent brand image and positioning across borders. It allows for the replication of successful marketing strategies and campaigns across multiple markets, simplifying decision-making and reducing the need for extensive market research and adaptation

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Suppose that when the price of laundry detergent decreases from $4. 10 to $3. 50, quantity supplied decreases from 260 to 180.




Using the mid-point elasticity approach, calculate price elasticity of supply

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The price elasticity of supply, calculated using the mid-point elasticity approach, for the given change in price from $4.10 to $3.50, resulting in a decrease in quantity supplied from 260 to 180, is approximately 0.81.

The mid-point elasticity formula is given by:

Elasticity = ((Q2 - Q1) / ((Q1 + Q2) / 2)) / ((P2 - P1) / ((P1 + P2) / 2))

Substituting the given values into the formula, we get:

Elasticity = ((180 - 260) / ((260 + 180) / 2)) / (($3.50 - $4.10) / (($4.10 + $3.50) / 2))

          = (-80 / (440 / 2)) / (-0.60 / (7.60 / 2))

          = (-80 / 220) / (-0.60 / 3.80)

          ≈ 0.81

Therefore, the price elasticity of supply is approximately 0.81. This value indicates that the supply of laundry detergent is relatively inelastic, meaning that a change in price does not have a proportionately large effect on the quantity supplied.

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Zeller Corporation began 2018 with 120,000 shares of common stock and 16,000 shares of convertible preferred stock outstanding. On March 1 an additional 10,000 shares of common stock were issued. On August 1, another 16,000 shares of common stock were issued. On November 1, 6,000 shares of common stock were acquired for the treasury. The preferred stock has a $2 per-share dividend rate, and each share may be converted into one share of common stock. Zeller Corporation’s 2018 net income is $501,000.
Required
a. Compute basic earnings per share for 2018. Round to two decimal places.$
b. Compute diluted earnings per share for 2018. Round to two decimal places.$

Answers

a. The basic earnings per share for 2018 is $0.36. b. The diluted earnings per share for 2018 are $0.36.

a. To compute basic earnings per share, we need to determine the weighted-average number of common shares outstanding during the year.

Weighted-average common shares outstanding = [(120,000 shares × 2 months) + (130,000 shares × 5 months) + (146,000 shares × 3 months)] / 12 months

= (240,000 + 650,000 + 438,000) / 12

= 1,328,333.33

Basic earnings per share = (Net income - Preferred dividends) / Weighted-average common shares outstanding

= ($501,000 - $32,000) / 1,328,333.33

= $0.36 per share

b. To compute diluted earnings per share, we need to consider the potential dilution from the conversion of the preferred stock into common stock. The number of additional common shares that would be issued if all of the preferred stock was converted is

Preferred shares outstanding = 16,000

Additional common shares from conversion = 16,000 × 1 = 16,000

We also need to consider the effect of the 6,000 treasury shares. Since these shares are not outstanding, they do not affect the weighted-average number of shares outstanding, but they do affect the number of shares that would be outstanding if all potentially dilutive securities were converted.

Weighted-average diluted shares outstanding = Weighted-average common shares outstanding + Additional common shares from conversion - Treasury shares

= 1,328,333.33 + 16,000 - 6,000

= 1,338,333.33

Diluted earnings per share = (Net income - Preferred dividends) / Weighted-average diluted shares outstanding

= ($501,000 - $32,000) / 1,338,333.33

= $0.36 per share

Therefore, both basic and diluted earnings per share for 2018 are $0.36.

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The gross requirements for item A are specified for the beginning of weeks 1 through 12 in the table that follows. Item A, Level O Week 01 02 03 04 05 06 07 08 09 10 11 12 Gross requirements 0 0 60 80 50 80 0 70 O 50 70 50 The cost per order is $180 per order and the holding cost is $6 per unit per week. For a "lot size using EOQ" scheduling policy, compute the desired EOQ order quantity. Report by rounding only the final computed value to a whole number without commas.

Answers

The desired EOQ order quantity for item A is 85.

Firstly, we need to calculate the annual demand, which is simply the sum of the gross requirements over the 12 weeks:

Annual Demand = 0 + 0 + 60 + 80 + 50 + 80 + 0 + 70 + 0 + 50 + 70 + 50 = 510 units

Next, we need to calculate the ordering cost, which is the cost of placing an order:

Ordering Cost = Cost per order * Annual Demand / Order Quantity

Since we're looking for the EOQ order quantity, we can set the ordering cost to be equal to the holding cost to minimize the total cost:

Ordering Cost = Holding Cost

Cost per order * Annual Demand / Order Quantity = Holding Cost

180 * 510 / EOQ = 6

EOQ = √(180 * 510 / 6) = 85.3

Since we need to report the final EOQ value without commas and rounded to a whole number, the desired EOQ order quantity for item A is 85.

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T/F the denominator in the formula for calculating the return on investment includes operating and nonoperating assets.

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The given statement "The denominator in the formula for calculating the return on investment includes operating and nonoperating assets" is False the denominator in the formula for calculating the return on investment (ROI) does not include operating and nonoperating assets. Instead, it includes the total investment made in the project or business.

ROI is a financial metric used to evaluate the efficiency and profitability of an investment. It is calculated by dividing the gain or profit from the investment by the total investment cost.

The numerator of the ROI formula represents the gain or profit earned from the investment, which includes all operating and nonoperating income. This includes revenues, sales, interest income, gains from asset sales, and any other income generated from the investment.

The denominator, on the other hand, represents the total investment made in the project or business. This includes all costs associated with the investment, such as equipment, materials, labor, and any other expenses incurred during the investment period.

Therefore, the denominator of the ROI formula does not include operating and nonoperating assets. Instead, it represents the total cost of the investment. This is important to consider when evaluating the efficiency and profitability of an investment, as it provides a clear picture of the actual cost incurred in generating the gain or profit from the investment.

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Consider the following tennis garne between Rowena and Colin. Find all of the Nash equilibrium, Colin Middle 3,3 2,2 Left 1,3 1,2 2,1 Up Straight Down Right 0,2 1,3 2,1 Rowena 3,0

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The only Nash equilibrium in this game is for both players to choose Middle. To find all of the Nash equilibrium in this tennis game between Rowena and Colin, we need to identify any strategies that neither player would want to deviate from given their opponent's strategy.

First, let's look at Rowena's options. If Colin chooses Middle, Rowena's best response is to choose Up. If Colin chooses Left, Rowena's best response is to choose Straight. If Colin chooses Up, Rowena's best response is to choose Left. And finally, if Colin chooses Right, Rowena's best response is to choose Middle.

Now, let's look at Colin's options. If Rowena chooses Up, Colin's best response is to choose Middle. If Rowena chooses Straight, Colin's best response is to choose Middle. If Rowena chooses Down, Colin's best response is to choose Right. And if Rowena chooses Middle, Colin's best response is to choose Middle.

So, we can see that the only Nash equilibrium in this game is for both players to choose Middle. This is because neither player has an incentive to deviate from this strategy given their opponent's strategy.

Therefore, the Nash equilibrium for this tennis game is: Colin: Middle, Rowena: Middle. This is the only strategy profile where both players are playing their best response to their opponent's strategy, and neither player has an incentive to deviate from this strategy.

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The current market price of a share of AT&T stock is $60. If a put option on this stock has a strike price of $55, the put. A. is in the money. B. is out of the money. C. sells for a lower price than if the market price of AT&T stock is $50. D. is in the money and sells for a lower price than if the market price of AT&T stock is $50. E. is out of the money and sells for a lower price than if the market price of AT&T stock is $60.

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If a put option on this stock has a strike price of $55, the put is out of the money and sells for a lower price than if the market price of AT&T stock is $60. The correct option is E.

The most recent price at which a security was traded, as it relates to trading in securities, is known as the market price. The interplay of stock market traders, investors, and dealers produces the market price. "Above the market" designates a price or order that is higher than the going rate on the market.

Limit orders to sell, stop orders to purchase, and stop-limit orders to buy are three common types of above-market orders. Below the market, where a price or order is below the going market rate, is the polar opposite of above the market.

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choose a shoe brand, and visit the company's website. check out the prices charged for shoes in various styles and made from various materials. does the shoe company offer special prices if you buy two or more pairs?

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Adidas is a well-known brand that offers a variety of athletic footwear. They occasionally provide discounts and promotions, including special prices for buying multiple pairs. Visit the official Adidas website for up-to-date information.

Adidas is a well-known brand that offers a wide range of athletic footwear options. Their website typically provides information about the various styles and materials used in their shoes, as well as their respective prices.

Adidas has been known to occasionally offer discounts and promotions, including special prices for purchasing multiple pairs of shoes. These promotions may vary depending on the specific region, time of year, or current marketing campaigns. It's worth noting that discounts and offers can change over time, so I recommend visiting the official Adidas website to get the most up-to-date information on their current pricing and any special promotions they may be offering.

By visiting the Adidas website, you'll be able to explore their extensive shoe collection and find out if they are currently offering any special prices for purchasing two or more pairs.

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FILL THE BLANK.a(n) _____ is a written institutional rule or plan of action that addresses a specific need and requires compliance within that institution.

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A policy is a written institutional rule or plan of action that addresses a specific need and requires compliance within that institution.

A policy is a formal document that outlines the rules, guidelines, and procedures to be followed within an institution. It serves as a framework for decision-making and provides direction on how specific issues or situations should be addressed. Policies are typically created to address a specific need or requirement within an institution, such as ensuring compliance with legal regulations, promoting ethical conduct, or managing operational processes.

Policies are written documents that establish standards, expectations, and protocols for various aspects of the institution's operations, including governance, human resources, financial management, information technology, and more. They provide a consistent and transparent approach to decision-making and help maintain consistency and fairness within the institution.

Policies may be developed by the institution's management or governing body and are typically communicated to employees, stakeholders, and other relevant parties. Compliance with policies is generally mandatory within the institution, and violations may result in disciplinary action or other consequences. By having policies in place, institutions can establish a clear framework for behavior, promote accountability, and ensure that operations align with their objectives and values.

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Output Total Cost Product Price0 $250 $5001 260 3502 350 260 3 470 200 4 595 1505 750 100according to the accompanying table, this nondiscriminating pure monopolist should set its price atA. $300B. $260C. $150D. $200

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At that point, the monopolist should charge a price of $260 per unit, since that is the corresponding product price. Option B

To determine the optimal price, the monopolist should set MR = MC. From the given data, we can calculate that the marginal cost (MC) of producing each unit of output is $50. To calculate the marginal revenue (MR), we can use the formula MR = dTR/dQ, where TR is total revenue and Q is the quantity sold.

Using the data provided in the table, we can calculate TR for each quantity sold by multiplying the product price by the quantity sold. The resulting TR values are: 0, 350, 520, 600, 500.

To calculate MR, we take the difference in TR between each quantity sold (i.e., the change in TR resulting from selling one additional unit of output). The resulting MR values are: 350, 170, 80, -100, -250.

Setting MR = MC, we can see that the optimal quantity to produce is 2 units, since that is where the two curves intersect. So Option B is correct.

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The monopolist should produce 3 units and set the price based on the corresponding point on the demand curve:

P = 175 - Q = 175 - 3 = $172

To maximize profit, a monopolist should produce at the output level where marginal revenue equals marginal cost and then set the price based on the corresponding point on the demand curve.

The marginal cost for each unit can be found by taking the difference between the total costs of each quantity, i.e., MC = ΔTC/ΔQ.

Output Total Cost Marginal Cost

0 $250 -

1 $260 $10

2 $350 $45

3 $470 $70

4 $595 $75

5 $750 $75

From the table, we can see that at an output level of 3, marginal cost is equal to marginal revenue:

MR = 175 - 2Q = 70 (when Q = 3)

So, the monopolist should produce 3 units and set the price based on the corresponding point on the demand curve:

P = 175 - Q = 175 - 3 = $172

Therefore, the answer is not among the given options.

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if a foreign currency consistently depreciated against the dollar over several periods and had lower interest rates at the beginning of those periods than the u.s. interest rates, then:

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Management has no direct control over foreign currency depreciation and interest rates, but it can exert influence over them.

Foreign currency depreciation and interest rates are external factors influenced by market forces and economic conditions. Management does not have direct control over these factors, as they are determined by various global and domestic factors beyond their authority.

However, management can exert influence over foreign currency depreciation and interest rates through strategic decision-making. They can implement risk management strategies to mitigate the impact of currency fluctuations, such as hedging or diversifying their currency exposure.

Additionally, management can make informed financial decisions and investments to optimize returns in light of interest rate differentials. While unable to directly control these factors, management can take proactive measures to navigate and influence their impact on the organization.

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in the united states, the pay of a person with a high status in the workplace, such as a ceo, is, on average, ________ times higher than the pay of an average worker at the same company.

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On average, the pay of a person with a high-status position, like a CEO, in the United States is around 278 times higher than the pay of an average worker at the same company.

The pay disparity between high-status individuals, such as CEOs, and average workers in the United States is significant. According to various studies and data, the average CEO earns a significantly higher salary compared to the average worker.

The exact ratio varies depending on factors such as the size and industry of the company, but on average, it is estimated that CEOs earn about 278 times more than the average worker within the same company. This gap has been a topic of debate and concern, as it raises questions about income inequality and fairness in the workplace.

Various factors contribute to this disparity, including the complexity and responsibilities associated with high-status positions, market demand for executive talent, and the influence of executive compensation practices.

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an exclusive-dealing contract is an agreement in which a seller agrees not to sell to a buyer’s competitors. T/F?

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False. An exclusive-dealing contract is an agreement in which a buyer agrees to purchase goods or services exclusively from a specific seller, rather than from competitors.

It is the buyer who agrees not to buy from the seller's competitors, rather than the seller agreeing not to sell to the buyer's competitors. The purpose of an exclusive-dealing contract is to establish a long-term relationship between the buyer and seller, ensuring a steady customer base for the seller and potential benefits for the buyer, such as preferred pricing or access to unique products.

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