Cornerstone Exercise 9-24 (Algorithmic) Issuance of Long-Term Debt EWO Enterprises issues $189,000 of bonds payable. Required Provide the necessary journal entry to record the issuance of the bonds assuming: a. The bonds were issued at par. (Record issuance of bond at par) b. The bonds were issued at 104.5 (Record issuance of bond at premium) c. The bonds were issued at 99 (Record issuance of bond at discount)

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Answer 1

a. If the bonds were issued at par, their issue price would have been the same as their face value. b. To record the bond issuance in this instance, EWO Enterprises will debit cash for $189,000 and credit bonds payable for $189,000 in the ledger.

c. Record in journal:

Debit: $189,000. Cash

Credit: $189,000 Bonds Payable

b. If the bonds were issued at 104.5, this indicates that their issue price was greater than their face value. It is referred to as a bond premium. The premium lowers the effective interest rate and is amortised over the bonds' lifespan. EWO Enterprises will debit cash in the amount of $197,805 (i.e., $189,000 multiplied by 104.5%) and credit bonds payable in the amount of $189,000. The $8,805 discrepancy will be noted as a premium on the bonds payable account.

Record in journal:

Debit: $197,805 in cash

Credit: $189,000 Bonds Payable

Credit: $8,805 in Bond Premiums Due

c. If the bonds were issued at a price of 99, their issue price was less than their face value. Bond discounts are what this is. The discount raises the effective interest rate and is amortised over the bonds' lifespan. EWO Enterprises will debit cash in this instance for $187,110 ($189,000 multiplied by 99%) and credit bonds payable in this instance for $189,000. The $1,890 discrepancy will be noted as a markdown on the bonds payable account.

Record in journal:

Credit: Bonds Payable $189,000 Debit: Cash $187,110

Discount on Bonds Payable, $1,890, debit

In conclusion, whether or not the bonds were issued at par determines the journal entry to be made to document the issuance of long-term debt.

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Answer 2

a. When the bonds are issued at par, the journal entry to record the issuance is as follows:

Cash (or Bonds Payable) $189,000

Bonds Payable (or Cash) $189,000

b. When the bonds are issued at a premium, the journal entry to record the issuance is as follows:

Cash $197,805

Bonds Payable $189,000

Premium on Bonds Payable $8,805

c. When the bonds are issued at a discount, the journal entry to record the issuance is as follows:

Cash (or Bonds Payable) $186,090

Discount on Bonds Payable $2,910

Bonds Payable $189,000

Note: The Discount on Bonds Payable account is a contra-liability account, and it is presented as a deduction from the face value of the Bonds Payable in the balance sheet.

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Related Questions

Identify each of the following sources of​ short-term credit in terms of whether they are secured​ (include some type of​collateral) or are​ unsecured:
a. Line of credit
b. Pledging of accounts receivable
c. Trade credit
d. Factoring of accounts receivable
e. Inventory loans
f. Commercial paper

Answers

Short-term credit can be secured or unsecured, depending on the source of the funds. Collateral is typically required for secured short-term credit, while unsecured short-term credit does not require collateral.

Understanding the different sources of short-term credit can help businesses choose the best financing option for their needs. Short-term credit is a type of financing that is typically used to cover the cost of immediate business expenses. Short-term credit can be either secured or unsecured, depending on the source of the funds.
A line of credit is a type of short-term credit that is typically unsecured. This means that there is no collateral required to secure the loan. Instead, the borrower is approved for a certain amount of credit, which they can draw from as needed. The lender may charge interest on any funds that are borrowed.
Pledging accounts receivable is a form of secured short-term credit. In this case, the borrower pledges their accounts receivable as collateral for the loan. This means that if they are unable to repay the loan, the lender can seize the accounts receivable in order to recoup their losses.
Trade credit is another form of unsecured short-term credit. In this case, the borrower is allowed to purchase goods or services on credit, with the understanding that they will pay the supplier back at a later date.
Factoring accounts receivable is similar to pledging accounts receivable, but instead of using them as collateral, the borrower sells their accounts receivable to a third party. The third party then takes over the responsibility of collecting the accounts receivable and pays the borrower a percentage of their value upfront.
Inventory loans are a form of secured short-term credit. In this case, the borrower uses their inventory as collateral for the loan. If they are unable to repay the loan, the lender can seize the inventory and sell it in order to recoup their losses. Finally, commercial paper is a type of unsecured short-term credit that is typically used by large corporations. In this case, the borrower issues a promissory note, which is essentially an IOU, in exchange for funds. The promissory note is then sold to investors who are willing to lend the funds at a lower interest rate than the borrower would be able to obtain elsewhere.

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Exercise 12-06 The current sections of Marin Inc.'s balance sheets at December 31, 2021 and 2022, are presented here. Marin Inc.'s net income for 2022 was $317,500. Depreciation expense was $52,500. 2022 2021 Current assets Cash Accounts receivable Inventory Prepaid expenses $77,500 106,250 97,500 21,250 $302,500 $ 111,250 86,250 77,500 23,750 $298,750 Total current assets Current liabilities Accrued expenses payable Accounts payable $ 7,500 110,000 $ 20,000 90,000 $ 110,000 Total current liabilities $117,500 Prepare the net cash provided by operating activities section of the company's statement of cash flows for the year ended December 31, 2022, using the indirect method. (Show amounts that decrease cash flow with either a - sign e.g. -15,000 or in parenthesis e.g. (15,000).) Prepare the net cash provided by operating activities section of the company's statement of cash flows for the year ended December 31, 2022, using the indirect method. (Show amounts tha decrease cash flow with either a - sign e.g. -15,000 or in parenthesis e.g. (15,000).) Marin Inc. Partial Statement of Cash Flows Adjustments to reconcile net income to $

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To prepare the net cash provided by the operating activities section of Marin Inc.'s statement of cash flows for the year ended December 31, 2022, using the indirect method, we start with the net income and adjust it for non-cash items and changes in working capital.

Marin Inc. Partial Statement of Cash Flows (Indirect Method)
For the year ended December 31, 2022:

Net income: $317,500

Adjustments to reconcile net income to net cash provided by operating activities:
Depreciation expense: $52,500
Increase in accounts receivable: ($106,250 - $86,250) = -$20,000
Increase in inventory: ($97,500 - $77,500) = -$20,000
Decrease in prepaid expenses: ($23,750 - $21,250) = $2,500
Decrease in accrued expenses payable: ($20,000 - $7,500) = -$12,500
Increase in accounts payable: ($110,000 - $90,000) = $20,000

Thus, net cash provided by operating activities:
$317,500 + $52,500 - $20,000 - $20,000 + $2,500 - $12,500 + $20,000 = $340,000

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incumbents typically have a cost advantage as compared to new entrants because:

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Incumbents often have a cost advantage compared to new entrants due to various reasons.

Firstly, they may have a well-established brand reputation and customer loyalty, which can be difficult for new entrants to replicate.

Secondly, incumbents may have economies of scale, which can help them to lower their production costs and increase efficiency. They may also have better access to distribution channels and suppliers, which can help to reduce their costs further.

Thirdly, incumbents may have built up valuable knowledge and experience about the industry and their customers over time, allowing them to make better decisions and respond more quickly to changes in the market. This knowledge and experience can be difficult for new entrants to acquire, especially if they lack resources or face high entry barriers.

Finally, incumbents may have established relationships with regulatory bodies, making it harder for new entrants to enter the market due to regulatory hurdles or other barriers to entry. All of these factors can contribute to the cost advantage of incumbents over new entrants.

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Blue Ridge Marketing Inc. manufactures two products, A and B. Presently, the company uses a single plantwide factory overhead rate for allocating overhead to products. However, management is considering moving to a multiple department rate system for allocating overhead. The following table presents information about estimated overhead and direct labor hours.
Overhead Direct
Labor Hours (dlh) Product
A B
Painting Dept. $467,874 13,900 dlh 15 dlh 5 dlh
Finishing Dept. 78,825 7,500 6 15 Totals $546,699 21,400 dlh 21 dlh 20 dlh
Determine the overhead from both production departments allocated to each unit of Product B if Blue Ridge Marketing Inc. uses a multiple department rate system.
a. $567.96 per unit
b. $33.66 per unit
c. $325.95 per unit
d. $10.51 per unit

Answers

To calculate the overhead cost for each unit of Product B using the multiple department rate system, we need to first determine the predetermined overhead rate for each department.Therefore, the answer is (a) $567.96 per unit.

For the Painting Department:

Predetermined overhead rate = Estimated overhead cost for the Painting Department / Estimated direct labor hours for the Painting Department

= $467,874 / 13,900 dlh

= $33.66 per direct labor hour

For the Finishing Department:

Predetermined overhead rate = Estimated overhead cost for the Finishing Department / Estimated direct labor hours for the Finishing Department

= $78,825 / 7,500 dlh

= $10.51 per direct labor hour

Next, we can allocate the overhead cost for each department to each unit of Product B based on the direct labor hours used by each product in each department.

For Product B in the Painting Department:

Overhead cost = Predetermined overhead rate for Painting Department * Direct labor hours used by Product B in Painting Department

= $33.66 per dlh * 15 dlh

= $504.90

For Product B in the Finishing Department:

Overhead cost = Predetermined overhead rate for Finishing Department * Direct labor hours used by Product B in Finishing Department

= $10.51 per dlh * 6 dlh

= $63.06

Therefore, the total overhead cost allocated to each unit of Product B is:

Total overhead cost = Overhead cost for Painting Department + Overhead cost for Finishing Department

= $504.90 + $63.06

= $567.96

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Using a multiple-department rate system, the overhead from both production departments allocated to each unit of Product B is $33.66 per unit. The correct answer is an option (c) $325.95 per unit.

To calculate the overhead allocation rate for each department, divide the total estimated overhead for each department by the total estimated direct labor hours for that department:

Painting department: $467,874 / 13,900 dlh = $33.66 per dlh

Finishing department: $78,825 / 7,500 dlh = $10.51 per dlh

Next, allocate the overhead to each product based on the direct labor hours required for each product in each department:

Painting department overhead allocated to Product B: 5 dlh × $33.66 per dlh = $168.30

Finishing department overhead allocated to Product B: 15 dlh × $10.51 per dlh = $157.65

Total overhead allocated to each unit of Product B: $168.30 + $157.65 = $325.95 per unit

Therefore, the correct answer is an option (c) $325.95 per unit.

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Which of the following is false regarding defined benefit pension plans provided to employees by a state or local government?
a. Defined benefit pension plans are fully funded by the employees of a state or local government.
b. Pension requirements create a huge financial obligation for many governments across the United States.
c. Many state and local governments establish pension trust funds to accumulate and invest monetary resources and to pay out pension benefits.
d. Pension trusts are classified as fiduciary funds.
e. Pension trusts are not included in reporting government-wide financial statements.

Answers

The statement that is false regarding defined benefit pension plans provided to employees by a state or local government is:

a. Defined benefit pension plans are fully funded by the employees of a state or local government.

What is benefit pension plan?

A defined benefit pension plan is a type of retirement plan in which an employer promises to pay a specified monthly benefit to eligible employees upon retirement.

The benefit amount is typically based on a formula that takes into account factors such as the employee s salary history and length of service with the company

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Builtrite had sales of $900,000 and COGS of $280,000. In addition, operating expenses were calculated at 25% of sales. Builtrite also received dividends of $50,000 and paid out common stock dividends of $25,000 to its stockholders. A long-term capital gain of $70,000 was realized during the year along with a capital loss of $50,000.


Required:

a. What is Builtrite’s taxable income?

b. Based on their taxable income, what is Builtrite’s tax liability?

c. If we add to our problem that Builtrite also had $30,000 in interest expense, how much would this interest expense cost Builtrite after taxes?

d. Last year Builtrite had retained earnings of $140,000. This year, Builtrite had true net profits after taxes of $75,000 which includes common stock dividends received of $10,000. Builtrite also paid a preferred dividend of $35,000. What is Builtrite’s new level of retained earnings?

Answers

Answer:

Given the financial data presented, Builtrite's taxable income can be determined as follows:

Net Sales = $900,000

Cost of Goods Sold = $280,000

Gross Profit = $620,000

Operating Expenses = 25% of Net Sales = $225,000

Operating Income = Gross Profit - Operating Expenses = $395,000

Adding Builtrite's dividend income of $50,000 and deducting common stock dividends of $25,000 results in total non-operating income of $25,000. When this amount is added to Builtrite's operating income of $395,000, it yields a taxable income of $420,000.

To determine Builtrite's tax liability based on this taxable income, we would need to know the applicable tax rate. Assuming a federal tax rate of 21% and state tax rate of 5%, Builtrite's total tax liability would be $98,700.

If we further assume that Builtrite had $30,000 in interest expense, we can calculate the after-tax cost of this expense. Since interest expense is tax-deductible, the amount of taxable income is reduced to $390,000 ($420,000 - $30,000). Using the same tax rates as before, the total tax liability on $390,000 of taxable income is $91,350. Thus, the after-tax cost of $30,000 of interest expense would be $30,000 - $91,350 = -$61,350 (negative value indicates a tax benefit).

Finally, we can calculate Builtrite's new level of retained earnings using the following formula:

Retained Earnings = Beginning Retained Earnings + Net Income - Dividends

Substituting the given values yields:

Retained Earnings = $140,000 + $75,000 - $10,000 - $35,000 = $170,000

Therefore, Builtrite's new level of retained earnings is $170,000.

Which of the following is an accurate description of the parol evidence rule? The parol evidence rule states that oral evidence of an agreement made prior to or contemporaneously with a written agreement is admissible when the parties intend the written agreement to be the complete and final version of their agreement. The parol evidence rule states that oral evidence of an agreement made prior to or contemporaneously with a written agreement is inadmissible when the parties did not intend the written agreement to be the complete and final version of their agreement. The parol evidence rule states that oral evidence of an agreement made prior to or contemporaneously with a written agreement is inadmissible when the parties intend the written agreement to be the complete and final version of their agreement. The parol evidence rule states that oral evidence of an agreement made after a written agreement is inadmissible when the parties intend the written agreement to be the complete and final version of their agreement. The parol evidence rule states that oral evidence of an agreement made prior to, but not contemporaneously with, a written agreement is inadmissible when the parties intend the written agreement to be the complete and final version of their agreement.

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The accurate description of the parol evidence rule is: The parol evidence rule states that oral evidence of an agreement made prior to or contemporaneously with a written agreement is inadmissible when the parties intend the written agreement to be the complete and final version of their agreement.

The parol evidence rule is a legal principle that governs the admissibility of oral evidence in the interpretation of written agreements. Its purpose is to ensure that written contracts are given primacy and to prevent parties from introducing contradictory or additional terms through oral evidence.

According to the parol evidence rule, if the parties to a written agreement intended the written document to represent the complete and final expression of their agreement, then oral or extrinsic evidence (evidence outside the written contract) of prior or contemporaneous agreements is generally not admissible to contradict, modify, or add terms to the written agreement. The written contract is presumed to embody the entire agreement between the parties. However, there are exceptions to the parol evidence rule. If there are ambiguities or uncertainties in the written agreement, or if there are allegations of fraud, mistake, or illegality, courts may allow the introduction of oral evidence to clarify or interpret the terms of the contract.

In summary, the parol evidence rule limits the admissibility of oral evidence to modify or contradict the terms of a written agreement when the parties intended the written agreement to be the complete and final version of their agreement, promoting the importance and finality of written contracts.

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all but which one of the following is information needed to calculate inventory valuation by the retail method?

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The estimated cost of inventory would not reflect changes in pricing or sales trends.

Inventory valuation by the retail method is a technique used to estimate the cost of inventory by using the retail selling price and a predetermined cost-to-retail percentage markup. To calculate inventory valuation by the retail method, the following information is needed:

Total retail value of inventory at the beginning of the accounting period

Total purchases at cost during the accounting period

Total net markups during the accounting period

Total net markdowns during the accounting period

Total sales at retail during the accounting period

All of the above information is necessary to accurately calculate inventory valuation by the retail method. Without any one of these pieces of data, the valuation would be incomplete and potentially inaccurate. For example, without knowing the total net markups or markdowns during the accounting period,.

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TRUE OR FALSE if a firm utilizes debt financing, an x ecline in earnings before interest and taxes (ebit) will result in a decline in earnings per share that is larger than x.

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The given statement "if a firm utilizes debt financing, a decline in earnings before interest and taxes (EBIT) will result in a decline in earnings per share (EPS) that is larger than the decline in EBIT" is True, because when a firm uses debt financing, it takes on interest expenses, which can amplify the impact of fluctuations in EBIT on EPS.

When EBIT declines, the firm still has to pay interest on its debt, which reduces the remaining earnings available to common shareholders. As a result, the decline in EPS will be larger than the decline in EBIT, magnifying the effect of the initial decrease in earnings.

This phenomenon is known as financial leverage, which can increase the risk and potential return for shareholders. While debt financing can be beneficial for a firm in terms of tax benefits and lower cost of capital, it also exposes the firm to greater financial risk in the case of EBIT fluctuations.

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Using the theory of Supply and Demand, which of the following would we predict:
A) We observe prices increasing after we observe some change that might create a shortage.
B) We observe prices increasing after we observe some change that might create a surplus.
C) We observe prices decreasing after we observe some change that might create a shortage.
D) We observe a shortage after we observe some change that creates a price increase.

Answers

D) We observe a shortage after we observe some change that creates a price increase.

According to the theory of supply and demand, when there is an increase in demand or a decrease in supply, it leads to a shortage in the market. As a result, prices tend to increase. This is because the quantity demanded exceeds the quantity supplied at the prevailing price, creating an imbalance.

Suppliers may respond to the price increase by adjusting their production levels or increasing prices further to maximize profits. The shortage indicates that the market is not in equilibrium, and the higher prices serve as a signal to allocate the limited supply among competing buyers. Therefore, option D is the prediction that aligns with the theory of supply and demand.

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Who of the following is a gratuitous agent?
Brynn asks Tan, a truck driver for her company, to deliver a load of lumber by the end of the day
Gerta asks her roommate Dorian to pick up her laundry from the dry cleaners as a favor
Jamielyn works as a staff accountant for Roosevelt, Truman and Eisenhower, CPAs
Carlton works for Big Corp as a delivery driver

Answers

A gratuitous agent is one who acts without receiving any compensation or benefit for their services. In this case, Gerta's roommate Dorian who picks up her laundry from the dry cleaners as a favor is a gratuitous agent.

Dorian is not employed by Gerta and is not receiving any compensation for performing the task. The other options, Brynn's truck driver Tan, Jamielyn's staff accountant position, and Carlton's delivery driver role are all paid positions, and therefore, not gratuitous agents.

Among the given scenarios, Gerta asking her roommate Dorian to pick up her laundry from the dry cleaners as a favor is an example of a gratuitous agent. In this case, Dorian is acting on Gerta's behalf without expecting any payment, making him the gratuitous agent. The other situations involve individuals performing tasks as part of their job or employment, so they are not considered gratuitous agents.

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A gratuitous agent is someone who performs services for someone else without any form of compensation. In the given scenarios, Dorian is the gratuitous agent as he is picking up laundry for Gerta without any payment or compensation.

In law, a gratuitous agent is someone who performs acts or services for another person without receiving any compensation. In the given scenarios, the gratuitous agent would be Dorian. Gerta asked her roommate Dorian to pick up her laundry from the dry cleaners as a favor. Here Dorian is not being paid or compensated for this act, so Dorian would be considered a gratuitous agent.

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when should a manager most likely use negotiation as a technique for reducing resistance to organizational change?

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A manager is most likely to use negotiation as a technique for reducing resistance to organizational change when the level of resistance is moderate and there is a possibility for finding a mutually agreeable solution through open dialogue and compromise.

Negotiation can be an effective strategy for addressing resistance to organizational change, particularly when the resistance is not extreme and there is potential for finding common ground.

In situations where employees or stakeholders are hesitant or opposed to a proposed change, negotiation allows the manager to engage in a constructive dialogue to understand their concerns, interests, and perspectives.

By actively involving the resistant parties in the decision-making process and seeking their input, a manager can work towards finding a solution that addresses their concerns while still aligning with the overall organizational objectives.

Negotiation promotes collaboration, empathy, and the exploration of alternative options, which can help build consensus and reduce resistance to change.

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What is the amount of 10 equal annual deposits that can provide five annual withdrawals, when the first withdrawal of $3,000 is made at the end of year 11 and subsequent withdrawals increase at the rate of 6% per year over the previous years rate if the interest rate is 8% compounded annually?

Answers

Ten annual deposits of $1,464.76 can provide five annual withdrawals starting at the end of year 11, with the first withdrawal of $3,000 and subsequent withdrawals increasing at the rate of 6% per year over the previous year's rate, assuming an interest rate of 8% compounded annually.

This is a classic problem in finance known as an annuity with a growing perpetuity. The problem involves calculating the present value of a series of ten equal annual deposits that can provide five annual withdrawals, given that the first withdrawal of $3,000 is made at the end of year 11 and subsequent withdrawals increase at the rate of 6% per year over the previous year's rate, and the interest rate is 8% compounded annually.

To solve this problem, we need to use a formula that takes into account the time value of money, the interest rate, and the growth rate of the withdrawals. The formula for the present value of an annuity with a growing perpetuity is:

[tex]\begin{equation}PV = \frac{C}{r} \left[ 1 - \left( \frac{1+g}{1+r} \right)^n \right]\end{equation}[/tex]

Where PV is the present value of the annuity, C is the annual payment or deposit, r is the interest rate, g is the growth rate of the withdrawals, and n is the number of years.

In this problem, the annual payment or deposit is not given, so we need to solve it. We can do this by using the present value of the withdrawals as the starting point and then solving for the annual deposit that would provide that present value.

Using the formula for the present value of growing perpetuity, we can calculate the present value of the five withdrawals as follows:

[tex]PV = \frac{3000}{0.08 - 0.06 \left( 1 + 0.08^{-1} \right)} \left[ 1 - \left( \frac{1 + 0.06}{1 + 0.08} \right)^5 \right][/tex]

PV = $12,491.77

Now that we have the present value of the withdrawals, we can use the formula for the present value of an annuity to solve for the annual deposit:

[tex]PV = \frac{C}{r} \left[1 - \frac{1}{(1+r)^n}\right][/tex]

[tex]12,491.77 = \frac{C}{0.08} \left[1 - \frac{1}{(1+0.08)^{10}}\right][/tex]

C = $1,464.76

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if a sewage utility is permitted to cover its fixed and variable costs and to make a normal level of profit it is commonly referred to as

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When a sewage utility is allowed to cover its fixed and variable costs while earning a reasonable profit, it is known as cost-of-service regulation.

Cost-of-service regulation is a regulatory framework that ensures utilities, such as sewage utilities, can recover their expenses and earn a fair rate of return. Under this approach, the utility's fixed costs (e.g., infrastructure, maintenance) and variable costs (e.g., operation, labor) are taken into account. By allowing the utility to cover these costs, regulators aim to maintain the financial viability of the utility and ensure reliable service provision.

Additionally, a "normal level of profit" implies that the utility can earn a return on its invested capital that is in line with industry standards, providing an incentive for investment and innovation in the sector.

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If all firms in a monopolistically competitive industry have demand and cost curves like those shown, we would expect that, in the long run, A. all firms will leave the industry. B. firms in the industry earn negative economic profits. C. a certain percentage of existing firms will exit the industry. D. new firms will enter the industry. E. enough new firms will enter the industry that it will become perfectly competitive.

Answers

If all firms in a monopolistically competitive industry have demand and cost curves like those shown, we would expect that, in the long run, C. a certain percentage of existing firms will exit the industry and D. new firms will enter the industry.
In monopolistic competition, firms have some degree of market power because they sell differentiated products, but there are still many firms competing. This means that in the long run, firms will only earn normal profits (zero economic profit) because new firms can enter the market and existing firms can exit if they are not making enough profit.
Therefore, we would expect some firms to exit the industry if they are not able to cover their costs and earn at least normal profits. At the same time, new firms may enter the market if they see an opportunity to earn profits. This will lead to some changes in market share and prices, but the overall industry structure will remain monopolistically competitive. We would not expect the industry to become perfectly competitive because firms are still able to differentiate their products to some extent.

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ABC company issues 10-year, $200,000 bonds on January 1, 20x1. The stated rate is 10%, interest is payable semi-annually on 6/30 and 12/31. The effective rate is 12%. Calculate the amount of cash received for the bonds.
Present value of 1 for 20 periods at 5% .......... .377
Present value of 1 for 20 periods at 6% .......... .312
Present value of annuity for 20 periods at 5% .... 12.462
Present value of annuity for 20 periods at 6% .... 11.470

Answers

The amount of cash received for the bonds is $200,040.

Calculate cash received for bonds?

To calculate the amount of cash received for the bonds, we need to determine the present value of the bond's cash flows.

The bond pays interest semi-annually, so there will be 20 periods (10 years * 2 periods per year). The stated rate is 10%, but the effective rate is 12%. We'll use the effective rate to calculate the present value.

To calculate the present value of the bond, we'll break it down into two components: the present value of the principal (the face value of the bond) and the present value of the interest payments.

Present Value of Principal:

The principal amount is $200,000, and it will be received at the end of 10 years. The present value factor for 20 periods at 6% is given as 0.312. Therefore, the present value of the principal is:

Present Value of Principal = $200,000 * 0.312 = $62,400

Present Value of Interest Payments:

The bond pays interest semi-annually, so there will be 20 periods of interest payments. The interest rate is 12%, which means each period will have an interest rate of 6% (12% divided by 2). The present value of the annuity for 20 periods at 6% is given as 11.470.

To calculate the interest payments, we'll use the formula:

Interest Payment = Principal * Interest Rate

For each period, the interest payment will be:

Interest Payment = $200,000 * 6% = $12,000

To calculate the present value of the interest payments, we'll multiply the interest payment by the present value factor:

Present Value of Interest Payments = $12,000 * 11.470 = $137,640

Finally, to calculate the amount of cash received for the bonds, we'll sum the present value of the principal and the present value of the interest payments:

Cash Received for Bonds = Present Value of Principal + Present Value of Interest Payments

Cash Received for Bonds = $62,400 + $137,640 = $200,040

Therefore, the amount of cash received for the bonds is $200,040.

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Under a floating exchange-rate system, if American exports increase and American imports fall, the value of the dollar will:
a. Appreciate
b. Depreciate
c. Be officially revalued
d. Be officially devalued

Answers

Under a floating exchange-rate system, if American exports increase and American imports fall, the value of the dollar will a. Appreciate

When a country's exports increase, it implies a higher demand for its goods and services from other countries. As a result, there is an increased demand for the country's currency (in this case, the U.S. dollar) to facilitate those trade transactions. This increased demand for the dollar leads to an appreciation in its value relative to other currencies.

Similarly, when a country's imports fall, it means that there is a decreased demand for foreign goods and services, resulting in a reduced demand for foreign currencies. With less demand for foreign currencies, the value of the domestic currency (in this case, the U.S. dollar) strengthens further, leading to its appreciation.

Therefore, if American exports increase and American imports fall, it is likely that the value of the dollar will appreciate in the foreign exchange market.

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A stock trader can financially benefit the least from trading stocks using inside information when financial markets are: Multiple Choice Inefficient. Semi strong form efficient. Weak form efficient. Semi weak form efficient. Strong form efficient.

Answers

The stock trader can financially benefit the least from trading stocks using inside information when financial markets are strong form efficient.. This is because strong form efficiency means that all public and private information, including insider information, is already reflected in the stock prices.

Therefore, there is no advantage for a trader to act on insider information as it is already priced in. In contrast, weak form efficiency only considers past prices, while semi-strong form efficiency considers public information such as financial statements, news, and analyst reports. Semi-weak form efficiency is not a recognized term in finance. Multiple choice inefficient means that there are discrepancies in the market that can be exploited by traders who have access to information.


A stock trader can financially benefit the least from trading stocks using inside information when financial markets are: Strong form efficient. In a strong form efficient market, all information (public and private) is fully reflected in stock prices, making it impossible for traders to gain an advantage through inside information. This is because the market already factors in all available information, preventing any abnormal profits from being made based on such information.

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Kudzu, Clemmons and Clancy form KCC Partnership with the following contributions:
Partner
Contribution
Adjusted Basis
Fair Market Value
Kudzu
Land
$52,000
$50,000
Kudzu
Services
N/A
$ 5,000
Clemmons
Property
$30,000
$40,000
Clancy
Property
$25,000
$30,000
What amount of taxable income to Kudzu results from the formation of KCC?
$7,000
$2,000
$0
$5,000

Answers

The taxable income to Kudzu resulting from the formation of KCC is $0

To calculate this, we need to determine Kudzu's initial adjusted basis in the partnership, which is the sum of the adjusted bases of the property and services contributed. In this case, Kudzu contributed land with an adjusted basis of $52,000 and services with an adjusted basis of $0, for a total adjusted basis of $52,000.

Next, we need to determine Kudzu's share of the partnership's liabilities, which is $0 since none are listed in the question.

Finally, we compare Kudzu's share of the partnership's total fair market value to their initial adjusted basis to determine if there is any taxable income or loss. Kudzu's share of the total fair market value is ($50,000 + $5,000 + $40,000 + $30,000) x 1/4 (since there are four partners in the partnership) = $31,250.

Kudzu's initial adjusted basis of $52,000 is greater than their share of the total fair market value of $31,250, resulting in a loss of $20,750. However, since Kudzu did not contribute any cash or property with a built-in gain, there is no taxable income to Kudzu. Therefore, the answer is $0.

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How often does Soil & Sunshine Organics pay its workers?

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Soil & Sunshine Organics pays its workers on a biweekly basis. This means that employees receive their wages every two weeks, providing a regular and consistent payment schedule.

Soil & Sunshine Organics follows a biweekly pay schedule for its workers. Biweekly pay means that employees are paid once every two weeks, resulting in 26 pay periods throughout the year. This payment frequency offers a predictable and regular income stream for the workers.

By paying its employees on a biweekly basis, Soil & Sunshine Organics ensures that its workforce receives compensation at regular intervals, allowing them to plan their finances accordingly. This approach can assist employees in managing their expenses, budgeting, and meeting financial obligations more effectively. Biweekly pay also simplifies the payroll process for the company, reducing administrative complexity by streamlining pay periods. Overall, a biweekly payment structure provides both employers and employees with a consistent and manageable payment arrangement.

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in the hersey blanchard model during the ___________ stage a manager provides information, guidance, and sells ideas to gain compliance of employees.

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In the Hersey-Blanchard model, during the Selling (S2) stage, a manager provides information, guidance, and sells ideas to gain the compliance of employees.

This leadership style is characterized by a high level of task direction and a high level of relationship support. It is most effective when employees have moderate readiness, meaning they have the willingness to work on a task but may lack the necessary skills or confidence.

During this stage, the leader plays a more persuasive role, explaining the reasons behind decisions and providing support to help employees develop the required skills.

The Selling (S2) stage focuses on two-way communication, allowing for feedback and clarification to ensure a clear understanding of expectations and goals. By engaging in this supportive and directive approach, the manager helps employees build their confidence and abilities, ultimately increasing their readiness level and moving them toward a more independent working style.

In summary, the Selling (S2) stage in the Hersey-Blanchard model is essential for fostering employee growth and development by providing information, guidance, and selling ideas in a supportive and directive manner.

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Open systems are less sensitive to environmental resources and possibilities, and closed systems are more responsive and adaptive to environmental changes.
Group of answer choices
True False

Answers

Open systems are less sensitive to environmental resources and possibilities, and closed systems are more responsive and adaptive to environmental changes False

The statement is incorrect. In reality, open systems are more sensitive and responsive to environmental resources and possibilities, while closed systems are less adaptable to environmental changes.

Open systems are characterized by interactions with their environment, where they exchange inputs and outputs with the surrounding environment. These systems are more flexible and responsive to changes in the external environment. They can take in new information, resources, and feedback from the environment, allowing them to adapt and adjust their operations accordingly. Open systems have the ability to respond and evolve based on the changing environmental conditions.

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when a country's risk-free rate rises, the cost of equity to an mnc in that country _____, and the cost of debt to an mnc in that country ____, other things held constant.

Answers

When a country's risk-free rate rises, the cost of equity to an MNC in that country generally increases, and the cost of debt to an MNC in that country also increases, other things held constant. The correct answer is A.

This is because the risk-free rate is a significant factor in determining the cost of both equity and debt for MNCs. A higher risk-free rate implies a higher expected return on investments, leading to an increased cost of equity.

Similarly, the cost of debt is also affected as borrowing becomes more expensive due to the higher interest rates. Therefore, the correct answer is A.

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Complete question:

when a country's risk-free rate rises, the cost of equity to an MNC in that country____, and the cost of debt to an MNC is that country ____ other things held constant

a. increases; increases

b. increases; is not affected

c. is not affected; increases

d. is not affected; is not affected

there is a skating rink in your city that is open to anybody to use at any time, but can only fit so many people at once. they even provide skates for people who don't own any. this is an example of a good that is

Answers

According to the question of  skating rink, this is an example of a non-excludable good.

A non-excludable good is a type of good or service that individuals cannot be effectively excluded from using, regardless of whether they pay for it or not. In the case of the skating rink, it is open to anybody to use at any time, indicating that individuals cannot be excluded from using the facility. Even though the skating rink has a capacity limitation and can only accommodate a certain number of people at once, it still falls under the category of non-excludable because access to the facility is not restricted based on payment or ownership of skates. Additionally, the fact that the skating rink provides skates for those who don't own any further emphasizes its non-excludable nature. Non-excludable goods often exhibit the characteristics of public goods, where one person's use does not diminish the availability or enjoyment of the good for others.

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Preston is in the 30% tax bracket and he holds a municipal bond that pays a tax-exempt interest rate of 8%. What is the taxable equivalent bond yield?

Answers

The taxable equivalent bond yield for Preston can be calculated by dividing the tax-exempt interest rate by the difference of 1 and the tax bracket rate.

To calculate the taxable equivalent bond yield, we need to consider that the interest from municipal bonds is usually exempt from federal income tax. In this case, Preston is in the 30% tax bracket and holds a municipal bond with a tax-exempt interest rate of 8%.

To find the taxable equivalent bond yield, we divide the tax-exempt interest rate (8%) by the difference of 1 and the tax bracket rate (1 - 0.30 = 0.70). Therefore, the taxable equivalent bond yield would be 11.43% (8% / 0.70 = 11.43%). This means that Preston would need a taxable bond with a yield of approximately 11.43% to achieve the same after-tax return as the tax-exempt municipal bond with an 8% interest rate.

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regardless of what a company does not make a profit in terms of the product or service it products, the company is also in the business of providing customer service. T/F?

Answers

True. Regardless of whether a company makes a profit from its products or services, the company is still in the business of providing customer service.

Customer service is an essential aspect of any business, regardless of its profitability. While making a profit is a primary goal for most companies, providing excellent customer service is crucial for building customer satisfaction, loyalty, and long-term success.

Even if a company's products or services are not directly profitable, investing in customer service can have several benefits. It helps to enhance the overall customer experience, resolve issues or complaints promptly, and foster positive relationships with customers. By delivering exceptional customer service, companies can differentiate themselves from competitors, generate positive word-of-mouth, and ultimately attract and retain customers.

Customer service is not solely about resolving problems; it encompasses the entire customer journey, from initial contact to post-purchase support. It involves effective communication, responsiveness, empathy, and understanding customer needs and preferences. Regardless of the financial performance of a company's products or services, prioritizing customer service can contribute to its reputation, brand image, and overall business success.

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cowgirl boots, inexpensive leather boots for women, are selling at record-high numbers. the ceo of the company, however, cannot figure out why. was it caused by the company's recent advertisement campaign or the newly reduced price of the boots or some other unknown factor? based on this information, what concept describes the ceo's confusion regarding cowgirl boots' recent success? multiple choice question. causal ambiguity social complexity time compression diseconomies path dependence

Answers

The concept that describes the CEO's confusion regarding the recent success of cowgirl boots is causal ambiguity.

The CEO is unable to determine the exact cause of the increased sales of the boots, whether it is due to the company's advertising campaign, the reduced price of the boots, or some other unknown factor. The causal ambiguity arises from the fact that multiple factors could be contributing to the increased sales, and it is difficult to determine which one is having the most significant impact. The CEO's confusion highlights the importance of understanding causality and the potential impact of various factors on business outcomes.

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semiannual deposits, beginning with $500 and increasing by $100 with each subsequent deposit, are made into a fund paying a nominal 10 percent per year compounded continuously. what will the fund amount to after 7 years?

Answers

The fund will amount to approximately $1,108.26 after 7 years.

To calculate the fund amount after 7 years with semiannual deposits increasing by $100 and a nominal interest rate of 10% per year compounded continuously, we can use the formula for the future value of a continuous compounding investment with regular deposits:

Future Value = P * e^(r*t) + (D * (e^(r*t) - 1))/r

Where:

P = Initial deposit amount

r = Nominal interest rate (annual)

t = Time period (in years)

D = Amount of increase in each subsequent deposit

e = Euler's number (approximately 2.71828)

In this case, the initial deposit (P) is $500, the interest rate (r) is 10% (0.10 in decimal form), the time period (t) is 7 years, and the subsequent deposit increase (D) is $100. Let's calculate the future value:

Future Value = $500 * e^(0.10*7) + ($100 * (e^(0.10*7) - 1))/0.10

Using a calculator, we find:

Future Value ≈ $500 * 2.013753 + ($100 * (2.013753 - 1))/0.10

Simplifying the equation:

Future Value ≈ $1,006.88 + ($100 * 1.013753)/0.10

Future Value ≈ $1,006.88 + $101.38

Therefore, the fund will amount to approximately $1,108.26 after 7 years.

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You would like to be holding a protective put position on the stock of Avalon Corporation to lock in a guaranteed minimum value of $50 at year-end. Avalon currently sells for $50. Over the next year, the stock price will increase by 10% or decrease by 10%. The T-bill rate is 5%. Unfortunately, no put options are traded on Avalon Co. Suppose the desired put options with X=50 were traded. How much would it cost to purchase? A. $1.19 B.$2.38 C.$5 D.$3.33 Show steps.

Answers

Since no put options are traded on Avalon Corporation, we need to assume that put options with X=50 are traded. To calculate the cost of purchasing this put option, we can use the put-call parity formula: C - P = S - PV(X)

Where C is the call option price, P is the put option price, S is the stock price, X is the strike price, and PV(X) is the present value of the strike price.

We know that we want to purchase a put option with X=50, and we want to lock in a guaranteed minimum value of $50 at year-end. This means that we want the put option to be worth at least $50 at year-end, so we can set P = 50.

We also know that the stock price of Avalon Corporation is currently $50, and it will either increase by 10% or decrease by 10% over the next year. So we can calculate the two possible stock prices at year-end:

If the stock price increases by 10%, it will be worth $55.

If the stock price decreases by 10%, it will be worth $45.

We also know that the T-bill rate is 5%, so we can calculate the present value of the strike price as:

PV(50) = 50 / (1 + 0.05) = 47.62

Now we can use the put-call parity formula to solve for C, the call option price:

C - 50 = 50 - 47.62

C = 50 + 50 - 47.62

C = 52.38

So the cost of purchasing the desired put option with X=50 would be: C - P = 52.38 - 50 = $2.38

Therefore, the answer is B. $2.38.

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The answer is B. $2.38. Since there are no put options traded on Avalon Co, we need to determine the cost of replicating the protective put using other financial instruments.

One way to do this is to use a combination of a long position in the stock and a long position in a risk-free bond, such that the payoff of the portfolio is equivalent to that of a protective put.

We can construct a portfolio with the following components:

Long 1 share of Avalon stock

Long 1 put option with a strike price of $50

Invest the present value of the strike price (PV = X/(1+r)^T) in a risk-free bond, where r is the risk-free rate and T is the time to expiration of the option.

The present value of the strike price is:

PV = X/(1+r)^T = 50/(1+0.05)^1 = 47.62

If the stock price increases by 10%, the value of the stock will be $55, and the put option will expire worthless. The portfolio value will be:

Portfolio value = stock value + put option value + bond value

Portfolio value = $55 + $0 + $47.62 = $102.62

If the stock price decreases by 10%, the value of the stock will be $45, and the put option will be exercised, giving a payoff of $5. The portfolio value will be:

Portfolio value = stock value + put option value + bond value

Portfolio value = $45 + $5 + $47.62 = $97.62

We want the portfolio value to be at least $50 at year-end, so we need to solve for the price of the put option that would give us a portfolio value of $50 when the stock price decreases by 10%.

$50 = $45 + Put price + $47.62

Put price = $2.38

Therefore, to replicate the protective put, we would need to purchase a put option with a strike price of $50 for $2.38.

The answer is B. $2.38.

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Company ABC has determined that their lowest total cost production technology is $300. If machines cost $50 and workers cost $30 how many machines produce this cost of production if the company has already determined it will hire 5 workers?

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To produce the lowest total cost production technology of $300, Company ABC needs to hire 5 workers and use 3 machines.

To determine the number of machines needed to produce the lowest total cost production technology of $300, we first need to calculate the cost of each worker and machine. The cost of each worker is given as $30 and the cost of each machine is given as $50. Next, we need to calculate the total cost of hiring 5 workers. Since the cost of each worker is $30, the total cost of hiring 5 workers is $30 x 5 = $150. To determine the number of machines needed to produce the lowest total cost production technology of $300, we subtract the cost of hiring 5 workers from the total cost of production. Therefore, $300 - $150 = $150 is the cost of machines needed to produce the technology. To calculate the number of machines required, we divide the cost of machines needed by the cost of each machine, which is $50. Therefore, $150/$50 = 3 machines are required to produce the technology. In conclusion, to produce the lowest total cost production technology of $300, Company ABC needs to hire 5 workers and use 3 machines.

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To produce at the lowest total cost technology of $300, the company needs to find the optimal combination of machines and workers. Let's assume that x is the number of machines needed to produce at this cost.

The total cost of production is given by the sum of the cost of machines and workers, multiplied by their respective quantities:

Total cost = (Cost per machine x Quantity of machines) + (Cost per worker x Quantity of workers)

Since we know that the total cost is $300 and the cost per worker is $30, we can substitute those values into the equation and solve for the number of machines:

$300 = ($50 x x) + ($30 x 5)

$300 = $50x + $150

$150 = $50x

x = 3

Therefore, the company needs 3 machines to produce at the lowest total cost technology of $300, assuming they have already determined they will hire 5 workers.

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