The effect of repurchasing stock using the cost method is to ______. (Check all that apply.) Multiple select question. decrease assets decrease stockholders' equity increase Treasury Stock decrease liabilities increase liabilities decrease Treasury Stock increase assets

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Answer 1

The effect of repurchasing stock using the cost method is to Increase Treasury Stock, Decrease stockholders' equity ,Decrease Assets.

What is Cost Method?Certain investments are recorded using the cost method of accounting in a company's financial statements. When an investor holds an investment that it has little or no control over—typically described as owning less than 20% of the company—they employ this strategy. On the balance sheet, the investment is listed as an asset at its historical cost. The investor lists the investment's cost as an asset. Dividend income is recorded as income when it is received and appears on the income statement. Depending on the investor's accounting principles, the receipt of a dividend also boosts the cash flow, either in the investing portion or the operational area of the cash flow statement.

Treasury stock, commonly referred to as treasury shares or reacquired stock, describes previously outstanding stock that the issuing corporation purchases back from stockholders. The effect of repurchasing stock using the cost method increases treasury stock.

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Related Questions

can unions use labor arbitration to recruit new members

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No, unions cannot use labor arbitration to recruit new members. Labor arbitration is a process used to resolve disputes between employers and employees, typically related to issues like contract interpretation, disciplinary actions, or workplace safety. It is not a tool that unions can use to recruit new members.

how to get the most money from insurance for totaled car

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To get the most money from insurance for a totaled car, you should take the following steps:

1. Determine the value of your car: You can use online valuation tools or get an estimate from a professional appraiser.

2. Understand your insurance policy: Review your policy to understand what is covered and what deductible you will be responsible for.

3. Document the damage: Take photos of your car and any personal belongings that were damaged.

4. Negotiate with your insurance company: If you believe the insurance company's offer is too low, you can negotiate for a higher settlement based on your documentation and valuation of your car.

5. Consider hiring an attorney: If you are having difficulty negotiating with your insurance company, you may want to hire an attorney who specializes in insurance claims to help you get the best possible settlement.

It is important to keep in mind that the amount you receive from your insurance company for a totaled car may not be enough to cover the cost of a new vehicle. However, by following these steps and being prepared to negotiate, you can maximize your payout and ensure that you receive fair compensation for your loss.

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An effective use of cost drivers to support a low-cost generic strategy involves?a. signaling the value proposition of the company’s offering to buyers.b. coordinating with downstream channel allies to enhance customer value.c. coordinating with suppliers to better meet customer needs.d. incorporating intangible features that enhance buyer satisfaction in noneconomic ways.e. using lower-cost inputs wherever doing so will not entail too great a sacrifice in quality.

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An effective use of cost drivers to support a low-cost generic strategy involves using lower-cost inputs wherever doing so will not entail too great a sacrifice in quality (option e).

By minimizing costs in areas such as production and sourcing, the company can offer its products at a lower price point than its competitors. However, it's important to balance this with maintaining quality, as sacrificing quality too much can negatively impact customer satisfaction and ultimately harm the company's reputation. An effective use of cost drivers to support a low-cost generic strategy involves using lower-cost inputs wherever doing so will not entail too great a sacrifice in quality is an effective use of cost drivers to support a low-cost generic strategy.
This approach allows a company to reduce its overall production costs and maintain a competitive advantage in the market while still providing a satisfactory level of quality to its customers.

Therefore, the correct option is e.

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Create a 75-word or less script for a phone message. Portfolio Details 1. Read the following scenario: Vail Products of Toledo, Ohio, manufactured a line of beds for use in hospitals and other institutions where there is a need to protect patients who might otherwise fall out of bed and injure themselves (including patients with cognitive impairments or patterns of spasms or seizures). These "enclosed bed systems" use a netted canopy to keep patients in bed rather than the traditional method of using physical restraints such as straps or tranquilizing drugs. The intent is human, but the design is flawed: At least 30 patients have become trapped in the various parts of the mattress and canopy structure, and eight of them have suffocated. Working with the U. S. Food and Drug Administration (FDA). Vail issued a recall on the beds, as manufacturers often do in the case of unsafe products, However, the recall is not really a recall. Vail will not be replacing or modifying the beds, nor will it accept returns. Instead, the company is wging institutions to move patients to other beds, if possible. Vail has also sent out revised manuals and warning labels to be placed on the beds. The company also announced that it is easing production of enclosed beds. 2. A flurry of phone calls from concerned patients, family members, and institutional staff is overwhelming the support staff. As a writer in Vail's corporat communications office, you've been asked to draft a short script to be recorded on the company's phone system. When people call the main number, The intent is human, but the design is flawed: At least 30 patients have become trapped in the various parts of the mattress and canopy structure and cight of them have suffocated. Working with the U. S. Food and Drug Administration (FDA), Vail issued a recall on the beds, as manufacturers often do in the case of unsafe product However, the recall is not really a recall. Vail will not be replacing or modifying the beds, nor will it accept returns. Instead, the company is wing! institutions to move patients to other beds, if possible. Vail has also sent out revised manuals and warning labels to be placed on the beds. The company also announced that it is ceasing production of enclosed beds. 2. A flurry of phone calls from concerned patients, family members, and institutional staff is overwhelming the support staff. As a writer in Vail's corporate communications office, you've been asked to draft a short script to be recorded on the company's phone system. When people call the main mumber, they'll hear "Press 1 for information regarding the recall of Model 500, Model 1000, and Model 2000 enclosed beds. After callers press 1, they'll hear the message you're about to write, explaining that although the action is classified as a recall, Vail will not be accepting returned beds, nor will it replace any of the affected beds. The message should also assure customers that Vail has already sent revised operating manuals and warning labels to every registered owner of the beds in question 3. The phone system has limited memory, and you've been directed to keep the message to 75 words or less. Use a word processor to create your script

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The following is the script for the phone message in 75 words.

"Thank you for calling Vail Products. If you are inquiring about the recall of Model 500, Model 1000, and Model 2000 enclosed beds, please listen carefully. Although the action is classified as a recall, we will not accept returned beds or provide replacements. We urge institutions to move patients to other beds if possible. Revised manuals and warning labels have been sent to every registered owner of the beds in question. We apologize for any inconvenience and appreciate your understanding."

This script serves as a concise and informative message for callers who are seeking information about the recall of the affected enclosed beds. It starts with a polite greeting and acknowledges the purpose of the call. It clarifies that while the action is labeled as a recall, Vail Products will not be accepting returned beds or offering replacements.

It emphasizes the importance of institutions moving patients to alternative beds if feasible. The message reassures customers that revised manuals and warning labels have been dispatched to all registered owners of the affected beds. It concludes by expressing apologies for any inconvenience caused and expressing appreciation for the caller's understanding.

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how many columns and/or rows can be accommodated in a prioritization matrix? (select the best answer)
A. No more than 10 columns and/or 10 rows
B. Only 5 columns and/or 5 rows
C. As many as necessary to make a good decision
D. None

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C, as there is no set limit on the number of columns and/or rows that can be accommodated in a prioritization matrix.

The matrix should be customized to fit the specific needs of the decision-making process. However, it is important to keep in mind that too many columns and/or rows can make the matrix difficult to use and may result in less effective decision-making. The number of columns and/or rows should be based on the number of criteria being evaluated and the complexity of the decision being made. It is also important to ensure that the criteria and options being evaluated are clearly defined and relevant to the decision at hand.

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Metlock, Inc. reported net income of $0.80 million in 2022. Depreciation for the year was $128,000, accounts receivable decreased $280,000, and accounts payable decreased $224,000. Compute net cash provided by operating activities using the indirect approach. (Show amounts that decrease cash flow with either a - sign e.g.-15,000 or in parenthesis eg. (15,000).)

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To compute net cash provided by operating activities using the indirect approach, we need to start with net income and make adjustments for non-cash expenses and changes in working capital. Let's calculate each adjustment step by step:

Net Income: $0.80 million

Add back Depreciation:

Depreciation: $128,000

Net Income + Depreciation = $0.80 million + $128,000 = $0.928 million

Adjustments for Changes in Working Capital:

Accounts Receivable: -$280,000 (decreased)

Accounts Payable: $224,000 (decreased)

Net Income + Depreciation + Increase in Accounts Payable - Decrease in Accounts Receivable = $0.928 million + $224,000 - $280,000 = $0.872 million

Therefore, the net cash provided by operating activities using the indirect approach is $0.872 million.

Remember to show amounts that decrease cash flow with a "-" sign or in parenthesis.

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being clear about your objectives and ensuring they are realistic and attainable. a) make reasonable and specific requests. b) recognize the power of loss. c) expect and overcome resistance. d) tie facts to benefits.

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Being clear about your objectives and ensuring they are realistic and attainable requires a thoughtful approach that takes into account a range of factors. By making reasonable and specific requests, recognizing the power of loss, expecting and overcoming resistance, and tying facts to benefits, you can increase your chances of success and achieve your goals more effectively.

Being clear about your objectives and ensuring they are realistic and attainable is an important aspect of achieving success in any endeavor. In order to do this, there are several strategies that can be employed.

One key strategy is to make reasonable and specific requests. This means being clear about what you are asking for, and making sure that your request is something that is actually achievable. This can help to ensure that everyone involved is on the same page, and that there are no misunderstandings or unrealistic expectations.

Another important strategy is to recognize the power of loss. This means understanding that people are often more motivated to avoid losing something than they are to gain something new. By framing your objectives in terms of what someone stands to lose if they don't achieve them, you can often create a sense of urgency and motivation that might not otherwise be there.

Of course, there will often be resistance to any change or new initiative. In order to overcome this, it's important to expect and plan for resistance. This might involve identifying potential objections ahead of time, and having a plan in place to address them. It can also be helpful to involve key stakeholders in the planning process, and to communicate clearly and consistently about the benefits of the proposed changes.

Finally, it's important to tie facts to benefits. This means being able to clearly articulate why the proposed changes are necessary, and what benefits they will bring. By providing concrete data and examples, you can help to build support and buy-in from others, and ensure that everyone understands the rationale behind your objectives.

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Answer the following questions in relation to FIFO Scheduling and Round Robin Scheduling (i) Under what conditions does FIFO scheduling result in the shortest possible average response time? [3 marks] (ii) Under what conditions does Round Robin scheduling behave identically to FIFO? [3 marks) (iii) Under what conditions does Round Robin scheduling perform poorly compared to FIFO? [3 marks] (iv) In the situation you described in part (iii) above, does reducing the time slice for Round Robin scheduling help or hurt its performance relative to FIFO? Explain your answer.

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(i) FIFO scheduling results in the shortest possible average response time when the processes arrive in the order of their execution time. In such a scenario, the first process to arrive is the one with the shortest execution time, which means it will be completed first, resulting in the shortest average response time.

(ii) Round Robin scheduling behaves identically to FIFO when the time slice given to each process is equal to or greater than the execution time of the shortest process in the queue. This is because each process is given equal time to execute, and the first process to arrive will always be the first to execute.

(iii) Round Robin scheduling performs poorly compared to FIFO when the time slice given to each process is too small compared to the average execution time of the processes in the queue. This results in frequent context switches, which increase overhead and decrease efficiency. Additionally, if a long process arrives early, it will continue to execute, causing shorter processes to wait longer, leading to longer average response times.

(iv) Reducing the time slice for Round Robin scheduling in the situation described in part (iii) above hurts its performance relative to FIFO. This is because reducing the time slice will result in more context switches, leading to even more overhead and decreasing efficiency further. It is better to increase the time slice or switch to FIFO in such a scenario to achieve better performance.

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for 2021, essence company, a calendar year taxpayer, will change from the cash method for tax purposes to the accrual method. at the end of 2020, essence showed the following items. Accounts receivable $304,600Accounts payable 182,760Bank loan 152,300What is the § 481(a) adjustment for this change in accounting method?

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The § 481(a) adjustment for Essence Company's change in accounting method from cash to accrual in 2021 is $121,840.

To determine the § 481(a) adjustment for Essence Company in 2021 when changing from the cash method to the accrual method, we need to consider the accounts receivable and accounts payable balances at the end of 2020.

1. Identify the relevant accounts:

Accounts Receivable ($304,600) and Accounts Payable ($182,760).

2. Calculate the difference between Accounts Receivable and Accounts Payable:

$304,600 - $182,760 = $121,840.

3. The § 481(a) adjustment is equal to the calculated difference: $121,840.

So,  The § 481(a) adjustment for this change in accounting method is $121,840.

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According to the assumptions of the quantity theory of money if the money supply increases by 7 percent, then a nominal and real GDP would rise by 0.70 percent b.nominal GDP would rise by 7 percent real GDP would be unchanged. c.nominal GDP would be unchanged, real GDP would rise by 7 percent. d neither nominal GDP nor real GDP would change

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According to the quantity theory of money, an increase in the money supply would lead to an increase in prices and nominal GDP. However, it does not necessarily lead to an increase in real GDP. The correct answer to the question is b) nominal GDP would rise by 7 percent, and real GDP would be unchanged.

This is because nominal GDP is calculated using current market prices, and an increase in the money supply would lead to an increase in these prices. However, real GDP measures the value of goods and services produced, adjusted for inflation. An increase in the money supply does not necessarily lead to an increase in the production of goods and services, and therefore, real GDP would be unchanged.

In conclusion, the assumptions of the quantity theory of money suggest that an increase in the money supply would lead to an increase in nominal GDP, but it may not lead to an increase in real GDP. Therefore, the correct answer is b) nominal GDP would rise by 7 percent, and real GDP would be unchanged.

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The transferor's holding period for any boot property received in a Sec. 351 stock exchange: ______________



a. Includes the holding period for the boot transferred.


b. Begins on the day after the exchange.


c. Begins on the day of the exchange.


d. Is the same as the holding period of the stock received in the exchange

Answers

d. Is the same as the holding period of the stock received in the exchange.

In a Sec. 351 stock exchange, the transferor's holding period for any boot property received is the same as the holding period of the stock received in the exchange.

This means that the transferor's original holding period for the stock carries over to the boot property. The holding period determines the length of time the property has been held, which is important for determining the tax treatment, such as capital gains or losses, upon the eventual sale or disposition of the property.

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A stock has an expected return of 12. 9 percent and a beta of 1. 30, and the expected return on the market is 11. 80 percent. What must the risk-free rate be? (do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places. )

Answers

To calculate the risk-free rate, we will use the Capital Asset Pricing Model (CAPM) formula. The risk-free rate must be 12.28%.

Expected Return = Risk-free Rate + Beta * (Expected Market Return - Risk-free Rate)
Given the information you provided, we have:
Expected Return = 12.9%
Beta = 1.30
Expected Market Return = 11.8%
Now, we will plug these values into the CAPM formula and solve for the Risk-free Rate:
12.9% = Risk-free Rate + 1.30 * (11.8% - Risk-free Rate)
To isolate the Risk-free Rate, follow these steps:
1. Expand the equation: 12.9% = Risk-free Rate + 1.30 * 11.8% - 1.30 * Risk-free Rate
2. Combine the Risk-free Rate terms: 12.9% = Risk-free Rate * (1 + 1.30) - 1.30 * 11.8%
3. Simplify the equation: 12.9% = 2.3 * Risk-free Rate - 15.34%
4. Add 15.34% to both sides: 12.9% + 15.34% = 2.3 * Risk-free Rate
5. Divide by 2.3: (28.24%)/2.3 = Risk-free Rate
Risk-free Rate = 12.28%

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Prepare journal entries for each of the following transactions. In addition, identify the fund in which each entry would be recorded. 1. The General Fund made its annual contribution of $1,500,000 to the fund that will pay $1,000,000 principal and $500,000 interest on outstanding general obligation debt. 2. The city paid $1,000,000 of principal and $500,000 of interest on outstanding general obligation bonds from resources previously accumulated. 3. A Debt Service Fund previously retired the total principal and the interest in full on an outstanding bond issue. Currently the fund carries a balance of $300,000. These resources can be spent by the General Fund in any way the city manager considers appropriate. 4. The Police Department paid $300,000 for equipment. This equipment was ordered 3 months prior to delivery at an estimated cost of $295,000 (assume a voucher system is used and the excess expenditure is approved and paid). 5. The fiscal agent for the city was paid its $10,000 fee from resources accumulated in the only Debt Service Fund used by the city

Answers

Journal Entry:

Debit: Expenditure - Principal ($1,000,000)

Debit: Expenditure - Interest ($500,000)

Credit: Other Financing Source - Contribution from General Fund ($1,500,000)

Fund: Debt Service Fund

Journal Entry:

Debit: Expenditure - Principal ($1,000,000)

Debit: Expenditure - Interest ($500,000)

Credit: Cash ($1,500,000)

Fund: Debt Service Fund

Journal Entry:

Debit: Fund Balance - Unreserved, Designated ($300,000)

Credit: Fund Balance - Restricted ($300,000)

Fund: Debt Service Fund

Journal Entry:

Debit: Expenditure - Equipment ($300,000)

Credit: Vouchers Payable ($300,000)

Fund: General Fund

Journal Entry:

Debit: Expenditure - Fiscal Agent Fee ($10,000)

Credit: Cash ($10,000)

Fund: Debt Service Fund

Note: The specific names of the funds may vary based on the organization's accounting system and terminology used. These entries provide a general illustration of the transaction and the fund in which it would typically be recorded.

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Flo is a farmer, and grows flowers on her farm, which is located right next to Beatrice’s property. Beatrice is a beekeeper. Each of Beatrice’s bee hives pollinates an acre of Flo’s flowers. Flo’s cost function is

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Flo is a lucky farmer to have Beatrice as her neighbor since Beatrice's bee hives pollinate her flowers. This means that the bees from Beatrice's hives visit and transfer pollen from one flower to another, which helps in the fertilization process and the growth of new flowers. This process is called pollination, and it plays a vital role in agriculture as it helps increase crop yield and maintain biodiversity.


Moreover, the cost function of Flo's flower farm will be affected by the pollination process. If Beatrice's bees are not there to pollinate her flowers, Flo may need to invest in artificial pollination methods or buy pollinators, which can be expensive. However, since Beatrice's bees are pollinating her flowers, Flo can save on these costs and maximize her profits.

In conclusion, Beatrice's bee hives play a crucial role in the success of Flo's flower farm. The pollination process saves her money and increases her crop yield, ultimately leading to higher profits. It's essential to understand how different factors in agriculture can affect the cost function of a farm and its profitability.

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the following sentence uses positive language: your january 5 letter claims your computer is malfunctioning. true false 2 points

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The following sentence does not use positive language. It states that the computer is malfunctioning, which is a negative connotation. Therefore, the answer to the question is false.

In communication, it is essential to use positive language as much as possible to create a positive atmosphere and avoid misunderstandings. Positive language focuses on what can be done instead of what cannot be done. It helps to convey the message effectively and creates a sense of optimism. In the given sentence, if we use positive language, it could be rephrased as, "Thank you for bringing to my attention the issue with your computer in your January 5 letter."

This statement acknowledges the issue but doesn't use negative language, which can cause frustration or anxiety. In conclusion, it is vital to use positive language in all forms of communication to build strong relationships and promote a positive environment.

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The back-to-back recessions that began in 1929 and ended in 1938 are collectively known as theA.Great Depression.B.Great Downturn.C.Great Recession.D.Roaring Twenties.E.Gilded Age.

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The correct answer to your question is A. Great Depression. The Great Depression was a period of economic downturn that lasted from 1929 to 1938.

The Great Depression was a worldwide phenomenon that affected most countries, but the United States was particularly hard hit. Unemployment rose to historic levels, with one in four Americans out of work by 1933. The government responded with a series of policies, including the New Deal, which aimed to stimulate economic growth and provide relief to those suffering from poverty and unemployment.

The Great Depression had a profound impact on American society and the global economy. It led to significant changes in government policy and regulation, as well as increased public awareness of the importance of economic stability. It also contributed to the rise of authoritarian regimes in Europe and the outbreak of World War II.

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If the real GDP and nominal GDP are $200 billion and $620 billion respectively, what is the value of the GDP deflator? a) 322. b) 320. c) 312. d) 330. e) 310.

Answers

Therefore, the answer is e) 310  is the value of the GDP deflator.

To find the value of the GDP deflator, we need to divide the nominal GDP by the real GDP and multiply by 100. So, GDP deflator = (Nominal GDP/Real GDP) x 100.
Plugging in the values given, we get GDP deflator = (620/200) x 100 = 310.
It's important to note that the GDP deflator is a measure of the level of prices in the economy, and it helps to adjust nominal GDP for inflation. Real GDP, on the other hand, is adjusted for inflation and reflects the actual growth of the economy.

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Maxwell Manufacturing issued $440,000, 10-year, 9% bonds at 106.00. What is the issue price of these bonds?a) $440,000. b) $413,600. c) $479,600. d) $466,400

Answers

The link between the interest rate that a bond pays and the market interest rate being paid on the same day determines the issue price of a bond. The issue price of bonds is $466,400, Thus option (d) is the correct choice.

Bond issue prices are determined by comparing the bond's interest rate to the market interest rate being paid on the same day.

Issue price of bonds

= $440,000 × 106%

= $466,400

A bond is a type of fixed-income security that simulates a loan from an investor to a borrower (usually a business or government).

Bonds are tradable assets that are securitized versions of corporate debt issued by businesses.Since bonds historically paid debtholders a fixed interest rate (coupon), they are referred to as fixed-income instruments.Interest rates that fluctuate or float are also rather typical nowadays.

Therefore, The issue price of bonds is $466,400, Thus option (d) is the correct choice.

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McDonalds is a stock that pays dividends. Suppose the current price of McDonalds is $30 and the risk-free rate for all maturities is 10% with continuous compounding. McDonalds will pay a dividend of $2 at the end of the first year and also at the end of the second year. It will NOT pay a dividend at the end of the third year. What is the three-year forward price for McDonalds?

Answers

With a current stock price of $30 and dividends of $2 paid at the end of the first and second years, the three-year forward price for McDonald's is approximately $28.85.

To calculate the three-year forward price for McDonald's, we need to find the present value of the future dividends. Using the formula for the present value of dividends with continuous compounding, we can determine the value of the dividends at the current time.

The present value of the $2 dividend at the end of the first year is

$2 / [tex](1 + 0.10)^1[/tex] = $1.82, and

The present value of the $2 dividend at the end of the second year is

$2 /[tex](1 + 0.10)^2[/tex] = $1.65.

Adding these present values to the current stock price of $30, we get $1.82 + $1.65 + $30 = $33.47.

However, since we are looking for the three-year forward price, we need to discount this value by the risk-free rate for three years. Using the formula for continuous compounding, the three-year forward price for McDonald's is approximately $[tex]33.47[/tex] *[tex]e^-^0^.^1^0^*^ 3[/tex] = $28.85.

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Part I During 2020, Silver Electronics recorded credit sales of $640,000. Based on prior experience, it estimates a 3.5 percent bad debt rate on credit sales. Required: a. Prepare journal entries for each of the following transactions, i. The appropriate bad debt expense adjustment was recorded for the year 2020. (2 marks) ii. On December 31, 2020, an account receivable for $1,800 from a prior year was determined to be uncollectible and was written off. (2 marks) b. Complete the following tabulation, indicating the amount and effect (+ for increase, - for decrease, and NE for no effect) of each transaction. Net Sales Gross Profit Income from Operations Transaction

Answers

The bad debt expense adjustment is a non-cash expense that does not affect net sales, gross profit or income from operations. It is recorded to increase the allowance for doubtful accounts to reflect the estimated uncollectible amount of credit sales.

The write off of uncollectible account is a reduction in accounts receivable, which reduces net sales, gross profit and income from operations. This is because the uncollectible amount is no longer included in the calculation of these financial measures.

Part I:
a. Journal Entries:
i. Bad debt expense adjustment:
Debit Bad Debt Expense for $22,400 (3.5% of $640,000)
Credit Allowance for Doubtful Accounts for $22,400
ii. Write off of uncollectible account:
Debit Allowance for Doubtful Accounts for $1,800
Credit Accounts Receivable for $1,800
b. Tabulation:
Transaction | Amount | Effect on Net Sales | Effect on Gross Profit | Effect on Income from Operations
Bad debt expense adjustment | $22,400 | - | - | -
Write off of uncollectible account | $1,800 | - | - | -

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Compute the expected rate of return for the following two-stock portfolio
Stock Expected Return Standard Deviation Weight
A 18% 40% 0.70
B 12% 28% 0.30

Answers

To compute the expected rate of return for the given two-stock portfolio, we need to use the following formula:
Expected Rate of Return = (Weight of Stock A x Expected Return of Stock A) + (Weight of Stock B x Expected Return of Stock B)


Plugging in the values from the table, we get: Expected Rate of Return = (0.70 x 18%) + (0.30 x 12%) Expected Rate of Return = 12.6% + 3.6%Expected Rate of Return = 16.2%Therefore, the expected rate of return for this two-stock portfolio is 16.2%. if you need a long answer, please let me know and I can provide more details on the calculation and interpretation of the expected rate of return.

To compute the expected rate of return for the following two-stock portfolio, we need to consider the expected return and weight of each stock:Stock A:- Expected Return: 18%- Weight: 0.70Stock B:- Expected Return: 12%- Weight: 0.30
Stock A: 0.18 * 0.70 = 0.126Stock B: 0.12 * 0.30 = 0.036 Expected Rate of Return for the Portfolio: 0.126 + 0.036 = 0.162
The expected rate of return for the two-stock portfolio is 16.2%.

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Given that insurance companies aim to offset risk by setting premiums high enough to cover the losses of the highest-risk members, how would you expect this to affect low-risk insurance buyers? a. They may be discouraged from buying insurance at all. b. They will not be affected since they have no information about the risk levels of other insurance buyers c. If they buy insurance, they will pay a greater amount in premiums than what they get back in payouts. d. They will be rewarded for being low-risk by receiving a discount on what they're asked to pay for coverage

Answers

C. If low-risk insurance buyers decide to purchase insurance, they will likely pay more in premiums than what they would receive in payouts.

This is because insurance companies need to set premiums at a level that covers the potential losses of the highest-risk members.

Therefore, low-risk buyers are essentially subsidizing the coverage for the high-risk members. This can be seen as an unfair practice, as low-risk buyers are not receiving the full benefits of their coverage. However, it is important to note that having insurance can still provide protection and peace of mind, even if the premiums paid outweigh the payouts received.

Insurance companies aim to offset risk by setting premiums high enough to cover the losses of the highest-risk members. As a result, low-risk insurance buyers may end up paying higher premiums to cover the costs of high-risk members. Consequently, they may pay more in premiums than they receive in payouts, given their lower likelihood of filing claims.

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Straightforward coverage of manufacturing overhead, standard-costing system.
The Brazil
division of an American telecommunications company uses standard costing for its machine-
paced production of telephone equipment. Data regarding production during June are as follows:
Variable manufacturing overhead costs incurred
$537,470
Variable manufacturing overhead cost rate
$7 per standard machine-hour
Fixed manufacturing overhead costs incurred
$146,101
Fixed manufacturing overhead costs budgeted
$136,000
Denominator level in machine-hours
68,000
Standard machine-hour allowed per unit of output
1.2
Units of output
66,500
Cost Accounting
Final Problems
Fall 2018
Actual machine-hours used
75,700
Ending work-in-process inventory
0
Required
1. Prepare an analysis of all manufacturing overhead variances. Use the 4-variance
analysis framework illustrated in
Exhibit 8-4.
2. Prepare journal entries for manufacturing overhead costs and their variances.
3. Describe how individual variable manufacturing overhead items are controlled from
day to day.
4. Discuss possible causes of the variable manufacturing overhead variances

Answers

Variance analysis: Variable Overhead Spending Variance is $7,160 U; Efficiency Variance is $3,580 F; Fixed Overhead Budget Variance is $10,101 U; Volume Variance is $0. The standard cost system compares actual costs to standard costs for variable overhead items.

1. Analysis of Manufacturing Overhead Variances:

a. Variable Overhead Spending Variance = Actual Variable Overhead Costs - (Standard Variable Overhead Rate x Actual Machine Hours) = $537,470 - ($7 x 75,700) = $7,160 U

b. Variable Overhead Efficiency Variance = (Standard Variable Overhead Rate x Actual Machine Hours) - (Standard Variable Overhead Rate x Standard Hours Allowed) = ($7 x 75,700) - ($7 x 66,500 x 1.2) = $3,580 F

c. Fixed Overhead Budget Variance = Actual Fixed Overhead Costs - Budgeted Fixed Overhead Costs = $146,101 - $136,000 = $10,101 U

d. Fixed Overhead Volume Variance = Budgeted Fixed Overhead Costs - (Standard Fixed Overhead Rate x Denominator Level) = $136,000 - ($2 x 68,000) = $0

2. Journal Entries for Manufacturing Overhead Costs and Variances:

a. Variable Overhead Spending Variance: Debit Manufacturing Overhead Control $537,470; Credit Accounts Payable Control $537,470

b. Variable Overhead Efficiency Variance: No entry required

c. Fixed Overhead Budget Variance: Debit Manufacturing Overhead Control $146,101; Credit Accounts Payable Control $136,000; Credit Manufacturing Overhead Control $10,101

d. Fixed Overhead Volume Variance: No entry required

3. Individual Variable Manufacturing Overhead Control:

Each variable manufacturing overhead item is controlled using a standard cost system, where a standard cost is set for each item and is used to determine the total cost of the product. The actual costs of each item are then compared to the standard cost, and any differences are recorded as variances.

4. Possible Causes of Variable Manufacturing Overhead Variances:

The variable overhead spending variance could be caused by the purchase of more expensive materials or the inefficiency of the production process. The variable overhead efficiency variance could be caused by a change in the production process or the training level of employees.

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the velocity of m1 money has moved erratically in the past several years because

Answers

The velocity of M1 money has moved erratically in the past several years due to a combination of changing economic conditions, technological advancements, and government policies.

While the exact reasons for this phenomenon are complex and multifaceted, it is clear that the velocity of money plays an important role in shaping the overall health of the economy.


One possible explanation is the changing nature of the economy. With the rise of digital payments and online transactions, people are less likely to carry cash and use traditional banking methods. This can affect the velocity of money because electronic transactions may not be counted in the same way as physical money.

Another factor is the state of the economy itself. During periods of economic growth, people tend to spend more money, which increases the velocity of money. However, during times of economic recession, people are more likely to hold onto their money, which can slow down the velocity of money.

Lastly, changes in government policy can also affect the velocity of money. For example, if interest rates are high, people may be more likely to save their money rather than spend it, which can decrease the velocity of money.

In conclusion, the velocity of M1 money refers to the speed at which money is circulating in the economy. In recent years, this velocity has moved erratically, meaning it has not been consistent or predictable. Several factors may have contributed to this phenomenon.

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compute efficiency given: design capacity = 60 trucks per day; effective capacity = 90 trucks per day; actual output = 45 trucks per day

Answers

Efficiency is a measure of how well a system or process is performing relative to its potential.

In this case, the efficiency of the trucking operation can be calculated by dividing the actual output (45 trucks per day) by the effective capacity (90 trucks per day) and then multiplying by 100 to get a percentage.

Efficiency = (actual output / effective capacity) x 100
Efficiency = (45 / 90) x 100
Efficiency = 50%
Therefore, the efficiency of this trucking operation is 50%. This means that the system is only operating at half of its potential. This could be due to various factors, such as equipment breakdowns, inefficient routing, or staffing shortages. By measuring efficiency, businesses can identify areas for improvement and implement changes to increase productivity and profitability.

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In Nicaragua, the national currency is adjusted periodically in small amounts, following a simple trend. Nicaragua's exchange rate regime is dassified as ____ Moreover, the exchange rate regime that best classifies is Nicaraguas typical for _____ countries

Answers

In Nicaragua, the national currency is adjusted periodically in small amounts, following a simple trend. This exchange rate regime is classified as a crawling peg, where the exchange rate is adjusted gradually in small increments over time.

This allows for some flexibility in the exchange rate while still maintaining a relatively stable currency.
The exchange rate regime that best classifies Nicaragua's typical for developing countries, which often have less stable currencies and rely heavily on exports. A crawling peg system can help these countries maintain a competitive exchange rate, which can encourage foreign investment and support economic growth.

it is important to note that exchange rate regimes can vary widely across developing countries and are often influenced by a variety of factors, such as the size and structure of the economy, political stability, and external factors like global commodity prices and capital flows. In Nicaragua, the national currency is adjusted periodically in small amounts, following a simple trend. Nicaragua's exchange rate regime is classified as a crawling peg.

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A soybean farmer produces beans for soybean meal and soybean oil. She has fixed costs of $500 and variable costs of X On her X acres, she produces 50X pounds for meal and 100X pounds of for oil. The price she receives for meal and oil are $.55/pound and $1.00/pound, respectively. How many acres should she plant to maximize profit and what will that profit be?

Answers

To maximize profit, the soybean farmer should plant the number of acres that will generate the highest profit margin.

To determine the number of acres the farmer should plant, we need to calculate the total revenue and total cost for each acre and then find the acreage that results in the highest profit.

Total revenue for each acre of soybeans can be calculated by multiplying the pounds of soybean meal and oil produced per acre by their respective prices.

Revenue per acre = (50X pounds of meal x $0.55/pound) + (100X pounds of oil x $1.00/pound)
Revenue per acre = $27.50X + $100X
Revenue per acre = $127.50X

Total cost for each acre can be calculated by adding the fixed cost of $500 to the variable cost of X.

Cost per acre = $500 + X

To determine the profit per acre, we subtract the total cost from the total revenue.

Profit per acre = (Revenue per acre) - (Cost per acre)
Profit per acre = ($127.50X) - ($500 + X)
Profit per acre = $126.50X - $500

To find the number of acres that will generate the highest profit, we need to find the derivative of the profit equation and set it equal to zero.

d/dX (Profit per acre) = 126.50 - 0 = 0

Solving for X, we get:

126.50X - $500 = 0
126.50X = $500
X = 3.95

Therefore, the soybean farmer should plant approximately 3.95 acres to maximize profit. To calculate the profit, we plug X into the profit equation:

Profit per acre = $126.50(3.95) - $500
Profit per acre = $498.68 - $500
Profit per acre = -$1.32

This means that the farmer will have a loss of $1.32 per acre. Therefore, she may want to consider other factors such as market demand and competition before deciding to plant the maximum number of acres.

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Goods which are demanded to produce something else are said to have a(n): composite demand. O derived demand. O direct demand. O joint demand. O inelastic demand.

Answers

Goods that are demanded to produce something else are said to have a derived demand, hence the correct answer is option B)

Goods that are demanded to produce something else are said to have a derived demand. This is because the demand for these goods is derived from the demand for the products they help to produce. For example, if there is a high demand for cars, there will be a derived demand for steel and other materials used in the production of cars. The concept of derived demand is important in economics because it helps to explain how changes in the demand for one product can impact the demand for related products. For example, if there is a decrease in demand for cars, there will be a decrease in the demand for the materials used to produce cars, such as steel. This can then have a ripple effect on the suppliers of those materials and the industries that rely on them. Derived demand can also lead to joint demand, where the demand for one product is linked to the demand for another product. For example, the demand for gasoline is joint with the demand for cars, as gasoline is required to fuel cars. Overall, understanding derived demand is essential for businesses and policymakers who need to understand how changes in demand can impact different industries and sectors of the economy. Therefore the answer is  correct option B)

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Hiring someone based on their ability and not their personal appearance is a(n)


_____ choice

Answers

Hiring someone based on their ability and not their personal appearance is a fair and equitable choice.

It ensures that individuals are evaluated and selected based on their qualifications, skills, experience, and performance, rather than superficial factors like their physical appearance.

This approach promotes equal opportunities and prevents discrimination or bias in the hiring process. By focusing on merit and competency, employers can build diverse and inclusive work environments where individuals are judged based on their abilities and potential to contribute to the organization's success. Such practices foster a culture of fairness, respect, and equal treatment, promoting a more productive and harmonious workplace.

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the price of a bond is uniformly distributed between $80 and $85. a. what is the probability that the bond price will be at least $83? b what is the probability that the bond price will be btween $81 and $90? c. determine the expected price of the bond. d. compute the standard deviation for the bond price.s

Answers

40% chance that the bond price will be at least $83 and 80% chance that the bond price will be between $81 and $90, the bond price to be around $82.50. The standard deviation of the bond price is approximately $1.44.

a. To find the probability that the bond price will be at least $83, we need to find the area under the uniform distribution curve from $83 to $85. Since the distribution is uniform, the area is simply the width of the interval divided by the total width of the distribution:

P(bond price ≥ $83) = (85 - 83) / (85 - 80) = 2 / 5 = 0.4

Therefore, there is a 40% chance that the bond price will be at least $83.

b. To find the probability that the bond price will be between $81 and $90, we need to find the area under the uniform distribution curve from $81 to $85. Since the distribution is uniform, the area is again simply the width of the interval divided by the total width of the distribution:

P($81 ≤ bond price ≤ $90) = (85 - 81) / (85 - 80) = 4 / 5 = 0.8

Therefore, there is an 80% chance that the bond price will be between $81 and $90.

c. The expected price of the bond is the average of the minimum and maximum prices, which is:
Expected bond price = (80 + 85) / 2 = $82.50

Therefore, we can expect the bond price to be around $82.50.

d. The standard deviation of a uniform distribution is calculated using the following formula:
σ = (b - a) / √12

where σ is the standard deviation, a is the minimum value, and b is the maximum value. Plugging in the values for this problem, we get:

σ = (85 - 80) / √12 ≈ 1.44

Therefore, the standard deviation of the bond price is approximately $1.44.

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