The journal entries as on the date June 30 will have an effect debit to Interest Expenses and Premium Accounts, and credit to the Cash Accounts. Additionally, Proceeds Account will be debited, and the Bond Ac, Premium on Bonds will be credited.
The journal entries for the given accounting transaction in the books of Spearmint Inc. will be as below,
Interest expense Ac. Dr. 18,284.17
Premium Ac. Dr. 1,965.83
To, Cash 20,250
Proceeds Ac. Dr. 461,795
To, Bonds Payable Ac. . 450,000
To, premium on bonds payable Ac. 11,795
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if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of
The interest earned after two years $70.28177.
This is the foremost basic variety of account you'll be able to open at any bank. A savings account, by definition, permits you to deposit your cash, safe with the bank, thus you do not have to be compelled to carry it around with you or hide it in this rusty recent steel safe reception. don't fret, you'll be able to withdraw these funds after you want them.
The interest rate is that the quantity a loaner charges a receiver and could be a share of the principal—the quantity loaned. The charge per unit on a loan is usually noted on an annual basis referred to as the annual share rate (APR).
The question is incomplete, find the complete question here
if you deposit $100 into a savings account which compound interest every month at a 5 % yearly interest rate, what is the expression for the amount of the interest earned after two years?
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Lack of economic growth is a major problem for ____ economic systems
Answer:
traditional
Explanation:
Which approach of the evolution of management thought attempted to explain the real issues facing managers and provide managers with tools to solve future problems?
The correct answer to this open question is the following.
Although there are no options attached, we can say the following.
The approach of the evolution of management thought attempted to explain the real issues facing managers and provide managers with tools to solve future problems is the quantitative approach to management.
This is correct because this management approach uses techniques that have quantitative advantages in the tools it uses. For instance, it includes numbers, statistics, mathematics models, and even some simulations for computer software that have helped managers and companies to make better decisions based on facts, numbers, probabilities, and forecasts, not only qualitative approaches.
In the corporate world, numbers can be trusted. That is why managers have to be constantly monitoring numbers in different ways to make forecasts and make the best decisions possible in an uncertain business world that faces many variants.
one employee is hired by one manager"" is a business rule with what plurality?
One manager hires one employee, according to a business rule with a 1:1 plurality.
Plurality rules – what are they?In single-winner plurality voting, each voter may only support one candidate. The candidate who receives the most votes, or the one who most closely represents the preferences of the majority of voters, is proclaimed the winner of the election.
What is the primary source of concern for first-level managers?First-line supervisors oversee staff members and coordinate their activities to make sure the work being done across the company is in line with top and intermediate management goals. They are more involved in day-to-day activities and less so in planning than managers at higher levels.
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What are the key characteristics of a well-designed performance appraisal?
Select all that apply.
Focus on job-related tasks
Conducted by a trained manager
Based on company policy
Opportunities for employee feedback
Clear management feedback
The key characteristics of a well-designed performance appraisal include a focus on job-related tasks, being conducted by a trained manager, based on company policy, providing opportunities for employee feedback, and clear management feedback.
How can you describe the well-designed performance ?Firstly, the performance appraisal should focus on job-related tasks to ensure that the evaluation is objective and fair. This means that the appraisal should measure employee performance against job-related criteria, such as job responsibilities, goals, and objectives.
Secondly, a well-designed performance appraisal should be conducted by a trained manager who has experience in conducting appraisals and who understands the company's policies and procedures for conducting them.
Thirdly, the appraisal should be based on company policy, ensuring that all employees are evaluated in a consistent and fair manner.
Fourthly, there should be opportunities for employee feedback, allowing employees to provide their input on their own performance and the appraisal process.
Finally, the appraisal should provide clear management feedback, including specific examples of areas where the employee has excelled, as well as areas where improvement is needed. This feedback should be constructive and provide guidance for the employee on how to improve their performance.
Overall, a well-designed performance appraisal should be fair, consistent, and provide valuable feedback to both the employee and the manager.
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During the two years he has been working, Jeffrey has saved some money to buy a house. His parents have agreed to loan him part of the down payment, and he has started to look for a house he can afford. He discovered a great house that has two apartments in it. He has looked at all the information carefully, done his budget, and thinks he can afford the house because he will live in only part of it and will rent out the other half. If Jeffrey buys this house, lives in the apartment upstairs and rents out the apartment downstairs, which of the following is true?
Answer:
you have to give "the following"
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
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Explanation:
Here's the picture and I hope this helped!
Have a nice day!
about how long will it take Levi’s investment of $350 to double if it earns 14.5% simple interest?
A. 5 years
B. 6 years
C. 7 years
D. 8 years
Answer:
A. 5 years
Explanation:
Present value = $350
Future value = $700
Interest = 14.5%
Number of years = Nper (-Pv, Fv, I)
Number of years = Nper (-350, 700, 14.5%)
Number of years = 5.119080084
Number of years = 5 years
list five of the important accounting assumptions that have had an impact on the development of generally accepted accounting principles.
Five important accounting assumptions that impact GAAP are: Going Concern, Accrual Basis, Monetary Unit, Time Period, and Historical Cost, guiding financial reporting for consistency and accuracy.
Five important accounting assumptions that have had an impact on the development of generally accepted accounting principles (GAAP) are:
1. Going Concern Assumption: This assumption assumes that the entity will continue its operations in the foreseeable future. It allows accountants to prepare financial statements under the assumption that the company will not liquidate or go bankrupt.
2. Accrual Basis Assumption: The accrual basis assumption requires that transactions and events are recorded in the financial statements when they occur, regardless of when the cash is received or paid. It helps provide a more accurate representation of a company's financial performance and position.
3. Monetary Unit Assumption: The monetary unit assumption assumes that the financial transactions and events recorded in the financial statements are expressed in a stable currency, such as the U.S. dollar. It allows for the measurement and comparison of financial information over time and between different entities.
4. Time Period Assumption: The time period assumption assumes that the economic activity of an entity can be divided into specific time periods for financial reporting purposes. It allows for the preparation of financial statements on a regular basis, such as monthly, quarterly, or annually.
5. Historical Cost Assumption: The historical cost assumption requires that assets and liabilities are recorded at their original acquisition or production cost. This assumption provides reliability and verifiability to the financial statements, but it may not always reflect the current market value of assets and liabilities.
These accounting assumptions form the foundation of GAAP and help guide the recognition, measurement, and disclosure of financial information to ensure consistency, comparability, and relevance in financial reporting.
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||PERSONAL FINANCE||
Why would someone choose to have extra money withheld from his paycheck for federal taxes? (1 point)
OA person lives in a state with high income taxes and wants to make sure enough taxes are withheld.
O This person considers himself a patriot and wants to pay more taxes.
O This person chose an insurance plan with a high deductible.
O This person did not want to risk having too little money withheld and facing a penalty when filing their tax return.
The reason why someone would choose to have extra money withheld from their paycheck for federal taxes is: D. This person did not want to risk having too little money withheld and facing a penalty when filing their tax return.
Why would someone choose to have extra money withheld from his paycheck for federal taxes?By having extra money withheld from their paycheck, the person ensures that they will have enough taxes paid throughout the year to avoid owing money or facing penalties when they file their tax return.
This approach is often used by people who have experienced owing money in previous years or those who want to avoid the hassle of having to pay a lump sum at tax time.
Therefore the correct option is D.
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Answer:
this person did not want to risk having too little money withheld and facing a penalty when filing their tax return.
Explanation:
connexus
juan, age 41, earns a salary of $28,000 and is not an active participant in any other qualified plan. his wife, agnes, generates no earned income. what is the maximum total deductible contribution to their iras?
A Roth IRA is an individual withdrawal account that offers duty-free growth and duty-free recessions in withdrawal. Your donation to the IRA is $11,000.
The Roth IRA is an individual withdrawal account that offers duty-free growth and duty-free recessions into withdrawal. Roth IRA rules say you can withdraw your plutocrat whenever you want and do not pay civil levies as long as you've held the account for 5 times * and are at least 59.5 times old.
Traditional Roth IRA accounts can only be opened by individualities making lower than $139,000 per time or couples making lower than $206,000 if they set up a common account. Those who meet this demand can deposit a outside of $5,500 per person into the account. Because Juan's payment is under the roof and his woman has no income. You can also deposit into the account a aggregate of $11,000 or $5,500 at a time.
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What are three purposes of a business presentation?
Answer:
Businesses and professional firms use presentations to inform, educate, motivate and persuade internal and external audiences.
Explanation:
The total overhead variance is the difference between actual overhead costs and budgeted overhead costs. True False
The difference between the realized overheads and the estimated overheads is the total overhead cost.
What are total overhead costs?
Total overhead costs are identified as the costs related to administration, sales, marketing, and production. Before the total overhead costs are realized, a budget regarding estimated costs is prepared.
The calculation of the total overhead costs is actual overhead costs less the budgeted overhead costs.
Hence, the aforementioned statement regarding total overhead costs holds true.
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Two countries, Country A and Country B, produce petroleum and seafood. A 4-column table has 2 rows. The first column is labeled country with entries Country A, Country B. The second column is labeled Cost (units) with entries 1, 1. The third column is labeled Petroleum (units) with entries 16, 8. The fourth column is labeled Seafood (units) with entries 8, 8. Based on the data in the table, has the absolute advantage in producing petroleum.
Answer:
Country A
Explanation:
Based on the data in the table, has the absolute advantage in producing petroleum is country A.
What is absolute advantage?
A country has an absolute advantage in the production of a good or service if it produces more quantity of a good when compared to other countries.
Looking at the table, Country A, produces 16 units of pertroluem while Country B produces 8 units. Thus, Country A has an absolute advantage.
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true or false: price customization is the primary way that many organizations improve price realization. for example, service companies such as hotels and airlines have been able to increase profitability through dynamic pricing implemented through yield-management systems.
True. Price customization is a primary way that many organizations improve price realization, especially in service companies such as hotels and airlines.
Dynamic pricing strategies implemented through yield-management systems have been successful in increasing profitability by allowing companies to adjust their prices based on changes in demand, supply, and other market factors.
By pricing products or services based on what customers are willing to pay, companies can capture more value and increase their revenue and profits. Price customization also enables companies to target different customer segments with different price points, which can help to increase sales and customer loyalty.
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Refer to Exhibit 4.1. What is the firm's total debt to total capital ratio? Do not round your intermediate calculations.
a. 35.35%
b. 53.02%
c. 57.67%
d. 46.51%
e. 36.74%
The question is about the financial leverage ratio which is total debt to total capital.
The correct answer to the given question is D. 46.51%
ExplanationThis ratio measures the financial leverage of a company. It assess how much asset of a company are financed by debt.
FormulaThe formula to calculate total debt to total capital ratio is :
Total Debt [ Long term + Short Term] / Total Capital
If the total debt of the company is 29,060 and total capital is 62,481,
29,060 / 62,481 = 46.51%
The correct option is d. 46.51%
The exhibit 4.1 is found on quizlet website.
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cpnsider capm the risk free rate is ^5 and the expected return on the market is 18% what is the expected return on a stock with a beta of 1.3
Answer:
Expected return = 21.9 %
Explanation:
The capital asset pricing model is a risk-based model. Here, the return on equity is dependent on the level of reaction of the the equity to changes in the return on a market portfolio. These changes are captured as systematic risk. The magnitude by which a stock is affected by systematic risk is measured by beta.
Under CAPM, Ke= Rf + β(Rm-Rf)
Rf-risk-free rate (long-term i.e 10 year treasury bill rate), β= Beta, Rm= Return on market., Ke- Return on equity (cost of equity)
This model can be used to work out the cost of equity as follows:
Ke= Rf + β (Rm-Rf)
Rf- 5%, β= 1.3, Rm- 18, E(r)- ?
Ke = 5% + 1.3×(18-5)%=21.9 %
Ke = 21.9 %
Expected return = 21.9 %
Describe the advantages that llc and S corporation‘s passed through entitles have relative to c-corporations
Answer:
Single-layer taxation
Explanation:
Limited liability companies and S corporations are able to pass through their income as the owner's income. "LLC and S corporations" are entities, unlike the C corporation.
Pass-through entities have a taxation advantage over non- pass-through entities. In tax computation, a pass-through entity passes its income or losses as those of its owners; hence the entity will not be subject to income tax. The business profits are treated as income to the owners, who will pay individual tax income. LLC and S corporation have only one layer of taxation.
A C corporation is subject to taxation as an independent entity. The directors have to file corporate tax returns on behalf of the business based on the company profits. The business profits are distributed to the shareholder as dividends. The shareholders have to pay tax on the dividend received as part of their income tax. The shareholders are double-taxed, as the business owners- corporate tax and as individuals - income tax. Double layer taxation.
which of the following theorems is not one of malkiel's theorems regarding the relationship between ytm and bond prices? a. lower coupon bonds are more volatile than higher coupon bonds. b. bond prices move inversely to bond yields. c. the yield curve is generally upward sloping. d. longer-term bonds are more volatile than shorter-term bonds.
The theorem that is not one of Malkiel's theorems regarding the relationship between YTM and bond prices is "The yield curve is generally upward sloping." Option C.
The following is Malkiel's theorems regarding the relationship between YTM and bond prices:
Theorem 1: When calculating the present value of a bond's cash flows, the bond's yield-to-maturity (YTM) must be used.
Theorem 2: The price of a bond and its yield-to-maturity (YTM) are inversely related.
Theorem 3: Bonds with lower coupon rates have more volatile prices than bonds with higher coupon rates.
Theorem 4: The prices of long-term bonds are more sensitive to changes in interest rates than the prices of short-term bonds.
Theorem 5: The yield curve is typically upward-sloping.
Hence, the right answer is Option C.
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June 1: Byte of Accounting, Inc. Acquired $78,200 in cash from lauren and issued 3,400 shares of its common stock.
Answer:
Question requires that a journal entry is done;
Date Account Title Debit Credit
June 1 Cash $78,200
Common Stock $78,200
If you could replace all of the grass in the world with something else, what would it be and why?
Answer:
I would replace it with cannabis, everyone is happier when there is green :)
Explanation:
Answer:
I would replace it with oil because oil is a rare resource
Explanation:
is sueing someone for 50,000 dollars for no reason an example of integrity because recently a neighbor in my neighborhood was being rude and then continued to say that people who are not like him do not have integrity... (before get further in just know this guy smokes weed and get drunk like every day and also know one of my other neighbors works for selling houses in my neighborhood) he then sues one of my neighbors who sells houses for no reason and for 50,000 dollars. So...is this integrity lol also let me know if I should tell more crazy stories in my life on brainly lol.
Answer:
ohExplanation:
.............................
what does mcnamara believe is the solution to highly complex and risky supply chains that we have today?
Robert McNamara believed that improving information and communication technology, along with effective collaboration and communication, is the solution to managing the complex and risky supply chains of today.
Robert McNamara, a former Ford Motor Company executive and U.S. Secretary of Defense, believed that the solution to highly complex and risky supply chains is to improve information and communication technology. He believed that by using advanced computer systems and networks to gather and analyze data on every aspect of the supply chain, companies could make more informed decisions and respond quickly to changes and disruptions.
McNamara advocated for the use of sophisticated modeling techniques and simulations to identify potential risks and develop contingency plans. He also emphasized the importance of collaboration and communication among all stakeholders in the supply chain, including suppliers, manufacturers, distributors, and customers.
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Souree of cash or Use of cash? The decrease in an asset on the balance sheet.
a. Source of cash
b. Use of cash
Usually, a usage of cash results in a drop in an asset on the balance sheet. This is so that it is clear that cash has been spent to pay off or reduce the balance of an asset, such as accounts receivable or inventory.
when its value decreases. The same is true for a drop in fixed assets, such as property, plant, and equipment, which often denotes the usage of funds to either sell or retire these items. Hence, in the company's financial statements, the reduction in an asset is typically regarded as an usage of cash. A cash usage is the reduction of an asset on the balance sheet. This is true because a decline in asset value indicates that money was either spent buying another asset or paying down an asset's associated liabilities. As a result, the corporation has less money available for other purposes.
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Which option completes the explanation for conflict of interest in an organization?
Answer:
Explanation:
conflict of interest is defined as a condition where an individual or organization is in a conflicting situation where the fulfillment of one’s interest could mean the detriment to the others. organizations tend to avoid these kinds of situations to occur, especially between the employee and the organization.
how do i get an egg out of my fridge????? HELP NEED TO KNOW ASAP
Answer:
open fridge!!!
Explanation:
STEP 1: open fridge
STEP 2: find the egg then grab with hand!!!!!!!!
(Its really hard!!)
What is TRUE about employability skills? A. They are all practical capabilities, like the ability to type. B. They generally stay the same from decade to decade. C. They do not involve human skills or digital fluency. D. They include any abilities you need to succeed at work.
The correct statement about employability skills is D) They include any abilities you need to succeed at work.
Employability skills are the skills, knowledge, and personal attributes that are essential for success in the workplace. They are the abilities that make a person employable and valuable to an employer. Here are some important points to understand about employability skills:
1. They are practical capabilities: Employability skills encompass a wide range of practical capabilities that are necessary to perform tasks and responsibilities in the workplace.
These skills include technical skills, such as the ability to type, but they also go beyond that.
2. They are not static: Employability skills can change and evolve over time due to advancements in technology, changes in industry demands, and evolving work environments.
Therefore, it is important for individuals to continuously develop and update their employability skills to stay relevant in the job market.
3. They involve human skills and digital fluency: Employability skills encompass both human skills, also known as soft skills, and digital fluency.
Soft skills include communication, teamwork, problem-solving, adaptability, and critical thinking. Digital fluency refers to the ability to effectively use technology and navigate digital platforms.
4. They are essential for success at work: Employability skills are crucial for succeeding in the workplace.
Employers look for candidates who possess these skills as they contribute to productivity, teamwork, and overall job performance.
Examples of employability skills include leadership, time management, customer service, and decision-making.
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a credit card holder owes $5,498 on a credit card with a 26.99% interest rate compounded monthly. assuming no additional purchases are made with the card, what is the monthly payment the cardholder should make to pay off the debt in 5 years? round your answer to the nearest penny. a spreadsheet was used to calculate the correct answer. your answer may vary slightly depending on the technology used.
The monthly payment the cardholder should make to pay off the debt in 5 years is $128.15.
Additional explanation (200 words): To calculate the monthly payment needed to pay off the debt in 5 years, we can use the formula for the monthly payment on a fixed-rate loan. The formula is:
M = P * (r * (1 + r)^n) / ((1 + r)^n - 1)
Where:
M = Monthly payment
P = Principal amount (initial debt)
r = Monthly interest rate (annual interest rate divided by 12)
n = Total number of monthly payments (number of years multiplied by 12)
Given:
Principal amount (P) = $5,498
Annual interest rate = 26.99%
Monthly interest rate (r) = 26.99% / 12 = 0.0224925
Total number of monthly payments (n) = 5 years * 12 months/year = 60
Using the formula, we can substitute the values:
M = 5,498 * (0.0224925 * (1 + 0.0224925)^60) / ((1 + 0.0224925)^60 - 1)
After performing the calculations, the monthly payment is approximately $128.15.
It's important to note that due to rounding differences, the final answer may vary slightly depending on the technology used or the specific rounding method applied. However, the approximate value of $128.15 represents the closest rounded answer based on the given information and the formula used.
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"a customer owns 1,000 shares of xyzz stock, purchased at $40 per share. the stock is now at $45, and the customer has become neutral on the stock, but believes that the stock still has good long term growth potential the client asks her representative for a "conservative recommendation" that will give her a positive portfolio return. the client should be told to:"
Answer:
Sell 10 XYZZ 45 call contracts
Explanation:
Since it is mentioned that the customer purchased for $40 and sale at $45 also he is neutral and thinks of a good investment. Therefore the stock should not be sold
Now if the customer sold the calls as opposed to the position of the stock than it would generate an additional premium income. This is we called conservative income strategy
Also if the stock increased, the expiration of put is done and the customer also owns the stock but if the stock decline, the short put is exercised i.e reflects that the customer should buy the stock
And in the recession market, the client lose doubles in a fast manner
Therefore the above is the answer