Among the given options, the related party of Baber Limited (BL) within the scope of IAS 24 is option (ii) Mr. Zee, who supplies raw materials to BL and is the brother of the Chief Executive Officer of the company.
Explanation: According to IAS 24 - Related Party Disclosures, a related party is defined as any person or entity that has the ability to control or exercise significant influence over the reporting entity, or with which the reporting entity has close family ties or other close relationships. In this case, Mr. Zee, being the brother of the Chief Executive Officer, has a close family tie with BL, and as a supplier of raw materials, he is considered a related party.
The other options do not qualify as related parties within the scope of IAS 24:
- Option (i) AK Associates: While there is a director of BL who is also a partner in AK Associates, this alone does not establish a close family tie or significant influence between the entities.
- Option (iii) Mr. Tee: Although Mr. Tee holds a significant position in BL as the General Manager-Marketing and is responsible for major decisions, this does not create a close family tie or a relationship that falls within the definition of a related party.
- Option (iv) Ms. Vee: While Ms. Vee is the wife of BL's Chief Executive Officer, her role as a trainer conducting various training programs does not indicate significant influence over the reporting entity.
- Option (v) JB Limited: JB Limited is a distributor of BL's products and has exclusive distribution rights, but there is no indication of close family ties or significant influence between the two entities.
Therefore, based on the given information, Mr. Zee, who supplies raw materials and is the brother of the Chief Executive Officer, is the related party of Baber Limited (BL) within the scope of IAS 24.
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OJT is best for large groups.
True
False
Metro General is a municipally-owned and operated hospital and a component unit of Metro City. In 2007, the hospital received $7,000 in unrestricted gifts and $4,000 in unrestricted bequests. The hospital has $800,000 in long-term debt and $1,200,000 in fixed assets.
The hospital has transferred certain resources to a hospital guild. Substantially, all of the guild's resources are held for the benefit of the hospital. The hospital controls the guild through contracts that provide it with the authority to direct the guild's activities, management, and policies.
The hospital has also assigned certain functions to a hospital auxiliary, which operates primarily for the benefit of the hospital. The hospital does not have control over the auxiliary.
The financial statements of the guild and the auxiliary are not consolidated with the hospital's financial statements. The guild and the auxiliary have total assets of $20,000 and $30,000, respectively.
Before the hospital's financial statements were combined with those of the city, the city's statements included data on one Special Revenue Fund and one Enterprise Fund.
The city's statements showed $100,000 in Enterprise Fund Long-Term Debt, $500,000 in Enterprise Fund Fixed Assets, $1,000,000 in General Long-Term Debt, and $6,000,000 in General Fixed Assets.
What account or accounts should be credited for the $7,000 in unrestricted gifts and the $4,000 in unrestricted bequests?
A. Operating Revenue $11,000
B. Nonoperating Revenue $11,000
C. Operating Revenue $ 7,000
Nonoperating Revenue $4,000
D. Nonoperating Revenue $ 7,000
Operating Revenue $4,000
The account or accounts that should be credited is B. Nonoperating Revenue $11,000
Based on the information given the account or accounts that should be credited is Nonoperating Revenue with the amount of $11,000.
Calculated as:
Nonoperating Revenue=Unrestricted gifts +Unrestricted bequests
Nonoperating Revenue=$7,000+$4,000
Nonoperating Revenue=$11,000
Hence:
Nonoperating Revenue are amount or income generated that are not part of company or organization Operating activities
Inconclusion The account or accounts that should be credited is B. Nonoperating Revenue $11,000.
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Amy-Jo works for herself selling weight-loss products door to door. This is
A. not typical, because most door-to-door salespeople work for companies.
B. not typical, because products are rarely sold door to door.
C. typical, because most door-to-door salespeople are self-employed.
D. typical, because most weight-loss products are sold door to door
Answer:
C. typical, because most door-to-door salespeople are self-employed.
Explanation:
Army-Jo can be classified as a small scale retailer. It is normal for entrepreneurs with businesses with the same classification to conduct door-to-door by themselves.
A majority of salespersons who do-to door sales are self-employed. As a business doing do-to-door selling is much profitable because of reasons such as
Selling door to door eliminates the need for a store, which is expensive to establish.Hiring a good salesperson is expensive due to the wages involved.Door-to-door is less costly. Only time expense is incurred.Answer:
its D
Explanation:
:P
before creating a social media advertising campaign, sarah embeds quantitative and qualitative metrics at the onset of her strategy that can allow almost real-time measurement and evaluation. what are these metrics called?
Key Performance Indicator is the metrics at the onset of her strategy which will facilitate real-time measurement and evaluation.
Key Performance Indicator means quantitative and qualitative measure of performance over time for a specific objective.
In other word, any measurable value which demonstrates the effectiveness of business in achieving its business objectives is known as Key Performance Indicator.Key Performance Indicator provide targets and milestones for teams to aim and gauge organization progress. Also, Performance Indicator gives insights and help makes better decision in an organization.Learn more about Key Performance Indicator here
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An argument can only have one premise.
True or False
Answer:
TRUE: A valid argument cannot have all true premises and a false conclusion. So if a valid argument does have a false conclusion, it cannot have all true premises. Thus at least one premise must be false. 4.
Explanation:
What is purchasing power parity PPP and how can we use it to compare the economies of countries?
A price level of 0.5 shown for a country in this map means that for a given sum of US dollars you can buy twice as many goods and services in that country than in the US.
Why is PPP important?PPPs control for the differences in price levels between economies and equalize the purchasing power of currencies. In this way, PPPs show the relative price of a given basket of goods and services in each of the economies being compared with reference to a base economy.
Is PPP better than GDP?GDP comparisons using PPP are arguably more useful than those using nominal GDP when assessing the domestic market of a state because PPP takes into account the relative cost of local goods, services and inflation rates of the country, rather than using international market exchange rates, which may distort the real .
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what is the first-order condition for \( y=x \) (In \( x \) ). (Don't need to calculate the exact number)
The first-order condition for y=x with respect to x is \(x is ∂�∂�=1∂x∂y =1.\)
The first-order condition is a necessary condition for finding critical points or extrema in mathematical optimization problems. It is derived by taking the partial derivative of the function with respect to the variable of interest and setting it equal to zero. In this case, we are given y=x, and to find the first-order condition with respect to x, we take the partial derivative of y with respect to x, which is y=x, the derivative of y with respect to x is simply 1. Therefore, the first-order condition for \(y=x in terms of �x is ∂�∂�=1∂x∂y =1.\)
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Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
How education is medium to enhance the ability of human beings?
Consider a bond with a face value of $1,000, an annual coupon rate of 6 percent, a yield to maturity of 8 percent, and 10 years to maturity. This bond's duration is?
To calculate the duration of a bond, we can use the following formula:
Duration = [ (1 + yield to maturity) / (1 + coupon rate) ] * [ (1 - (1 + yield to maturity) ^ -n ) / yield to maturity ]
Where:
- Yield to maturity is the annual rate of return anticipated on the bond.
- Coupon rate is the annual interest rate paid on the bond.
- n is the number of years to maturity.
Given the following values:
- Face value = $1,000
- Coupon rate = 6% (0.06)
- Yield to maturity = 8% (0.08)
- Years to maturity = 10
We can substitute these values into the formula to find the bond's duration:
Duration = [ (1 + 0.08) / (1 + 0.06) ] * [ (1 - (1 + 0.08) ^ -10 ) / 0.08 ]
Duration = 9.74
Therefore, the bond's duration is approximately 9.74 years.
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What is the first thing the law requires you to do when you arrive at an intersection? Explain what you should do if there is an officer directing traffic.
Answer:
If a law enforcement officer if directing traffic where there are traffic lights, OBEY the officer – not the signals. You must yield the right-of-way to all other traffic and pedestrians at stop signs. Move forward only when the road is clear. At four-way signs, the first vehicle to stop should move forward first.
The very first action we do is stop at the junction as if it were a red light and waiting for police to notify you when it is safe to go.
Explanation:
If a police officer directs traffic in an area with traffic signals, respect the officer rather than the signals. At stop signs, you must surrender the right-of-way to all other cars and pedestrians. Only proceed when the road is clear. When approaching a four-way stop, the first car to halt shall proceed first.
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What effects did the government response to the great depression have on the credit industry?.
The government's response to the Great depression had an effect on the credit industry which was to reduce the amount of debt that people could get access to.
What did the Great Depression do the the credit industry?The credit industry in the United States was one of the things that led to the Great Depression. This happened when people borrowed money from banks to invest in the stock market and when losses were made, banks were unable to regain these loans and pay their depositors.
The government decided to regulate the credit industry more in order to ensure that something people using other people's money for risky investments doesn't happen again. As a result of this regulation, less people could access loans which meant that the the amount of debt that people incurred reduced. This led to a contraction of the credit industry.
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(Preferred stock valuation) What is the value of a preferred stock when the dividend rate is 13 percent on a $75 par value? The appropriate discount rate for a stock of this risk level is 9 percent.
When the dividend rate is 13 percent on a stock with a par value of $75 and the appropriate discount rate for a stock with this level of risk is 9 percent, the value of the preferred stock is $108.33.
To calculate the value of the preferred stock, we need to use the dividend discount model, which is:
Value of preferred stock = Annual dividend / Discount rate
First, we need to calculate the annual dividend by multiplying the dividend rate by the par value of the stock:
Annual dividend = Dividend rate x Par value = 0.13 x $75 = $9.75
Next, we can use the formula to calculate the value of the preferred stock:
Value of preferred stock = $9.75 / 0.09 = $108.33
Therefore, the value of the preferred stock is $108.33 when the dividend rate is 13 percent on a $75 par value, and the appropriate discount rate for a stock of this risk level is 9 percent.
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Alicia is conducting research on consumer behavior. The study requires her to note the number of people who shop at Fresnas Mart, a grocery store, in the afternoons during weekdays. She also needs to pay attention to the customers' preferred brands, the customer service, and the arrangement of items in the store. She needs to conduct the study without interacting with the customers so that she does not influence their behavior and choices. In this scenario, Alicia is conducting a(n) _____.
Answer:
Observational study.
Explanation:
In Statistics, sampling can be defined as a process used to collect or select data (objects, observations, or individuals) from a larger statistical population using specific procedures.
There are various types of sampling used by researchers and these are;
1. Random sampling.
2. Systematic sampling.
3. Stratified sampling.
4. Cluster sampling.
5. Opportunity or convenience sampling.
An observational study can be defined as a type of study in which a researcher observes and measures the effect of a diagnostic test, risk factors, or treatments on individuals without intervening, changing or manipulating who are or aren't exposed to it (controlled conditions).
In this scenario, Alicia is conducting an observational study because the study was required to be conducted without interacting with the customers so as to avoid influencing their behavior and choices.
1. Suppose that the reserve-deposit ratio is 0.3 and the currency-deposit ratio is 0.4. a. Compute the level of the money supply if total reserves are $50 billion. b. Assume that total reserves are unchanged at $50 billion. By how much does the money supply change if the reserve-deposit ratio is reduced to 0.2 ? c. By how much does the money supply change if the Fed sells $2 billion of government bonds in the open market? (Keep the reserve-deposit ratio at 0.3.) 2. Suppose the velocity of money is constant. The money stock is growing 5% per year, Real GDP is growing 2% per year, and the real interest rate is 4 percent. a. Calculate the growth rate of nominal GDP and the inflation rate. b. Calculate the nominal interest rate. c. Suppose the growth rate of real GDP falls to 1% per year. Calculate the new inflation rate. d. To restore the initial inflation rate as derived in part a, the Fed must increase or decrease the growth rate of money stock? by how many percentage point(s)?
1. a. The level of money supply is $166.67 billion.
b. The money supply increases by $83.33 billion.
c. The money supply remains the same.
2. a. The growth rate of nominal GDP is 7% and the inflation rate is 5%.
b. The nominal interest rate is 9%.
c. The new nominal GDP growth rate is 6%. The new inflation rate is 5%.
d. The Fed must decrease the growth rate of the money stock by 1%.
1.
a. Reserve-deposit ratio = 0.3
Currency-deposit ratio = 0.4
Total reserves = $50 billion
We know that,
Money multiplier = 1 / Reserve-deposit ratio
And,
Money supply = Money multiplier × Total reserves= (1 / 0.3) × $50 billion= $166.67 billion
Therefore, the level of money supply is $166.67 billion.
b. Reserve-deposit ratio = 0.2
Total reserves = $50 billion
New money multiplier = 1 / 0.2 = 5
Change in money supply = (New money multiplier - Old money multiplier) × Total reserves= (5 - 3.33) × $50 billion= $83.33 billion
Therefore, the money supply increases by $83.33 billion.
c. Reserve-deposit ratio = 0.3
Total reserves decrease = $2 billion
New money multiplier = 1 / 0.3 = 3.33
Change in money supply = (New money multiplier - Old money multiplier) × Total reserves= (3.33 - 3.33) × $2 billion= $0
Therefore, the money supply remains the same.
2.
a. Velocity of money = constant
Money stock growth rate = 5%
Real GDP growth rate = 2%
Real interest rate = 4%
We know that,
Nominal GDP growth rate = Money stock growth rate + Real GDP growth rate= 5% + 2% = 7%
Inflation rate = Nominal GDP growth rate - Real GDP growth rate= 7% - 2% = 5%
Therefore, the growth rate of nominal GDP is 7% and the inflation rate is 5%.
b. Real interest rate = 4%
Inflation rate = 5%
Nominal interest rate = Real interest rate + Inflation rate= 4% + 5% = 9%
Therefore, the nominal interest rate is 9%.
c. Real GDP growth rate = 1%
Inflation rate = 5%
Money stock growth rate = 5%
Nominal GDP growth rate = Money stock growth rate + Real GDP growth rate= 5% + 1% = 6%
Therefore, the new nominal GDP growth rate is 6%.
New inflation rate = Nominal GDP growth rate - Real GDP growth rate= 6% - 1% = 5%
Therefore, the new inflation rate is 5%.
d. To restore the initial inflation rate,
Growth rate of money stock = Inflation rate - Real GDP growth rate - Real interest rate= 5% - 2% - 4%= -1%
The Fed must decrease the growth rate of the money stock by 1%.
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What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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explain processes of distribution channels in economics
Answer:
Distribution channels in economics refer to the various intermediaries that are involved in the movement of goods and services from the producer to the final consumer. These intermediaries play a critical role in ensuring that products reach the end-users in the most efficient and effective manner possible.
The following are the processes involved in distribution channels in economics:
1. Producer: The first step in the distribution channel is the producer. The producer is the entity that creates the product or service. The producer may be a manufacturer, a farmer, or a service provider.
2. Wholesaler: The next step in the distribution channel is the wholesaler. The wholesaler buys products in bulk from the producer and then sells them to retailers. Wholesalers are often used when the producer cannot sell directly to retailers due to logistical or other reasons.
3. Retailer: The retailer is the next step in the distribution channel. The retailer buys products from the wholesaler or directly from the producer and then sells them to the final consumer. Retailers are often used when the producer cannot sell directly to the final consumer due to logistical or other reasons.
4. Consumer: The final step in the distribution channel is the consumer. The consumer is the end-user of the product or service. The consumer buys the product or service from the retailer.
5. Logistics: Logistics is an important process in the distribution channel. Logistics involves the movement of products from the producer to the retailer or directly to the consumer. Logistics includes transportation, storage, and delivery.
6. Marketing: Marketing is another important process in the distribution channel. Marketing involves promoting the product or service to potential consumers. Marketing includes advertising, public relations, and sales promotions.
7. After-sales service: After-sales service is the final process in the distribution channel. After-sales service involves providing support and assistance to consumers after they have purchased the product or service. After-sales service includes warranties, repairs, and customer service.
In conclusion, the distribution channel is a critical component of the economy. It ensures that products and services reach the end-users in the most efficient and effective manner possible. The various processes involved in the distribution channel include the producer, wholesaler, retailer, consumer, logistics, marketing, and after-sales service.
A newspaper headline writer found that the more adjectives she put in the titles of her articles, the greater the number of newspapers that were sold that day. This relationship between numbers of adjectives and newspaper sales must be:
Answer:
Positive.
Explanation:
A linear function has a positive relationship and as such an increase in one variable (input variable) causes an increase in the other variable (output variable) i.e the variables are directly proportional. Thus, the graph of a linear function is a straight-line and its slope is always constant.
On the other hand, nonlinear function has a negative relationship and as such an increase in one variable (input variable) causes a decrease in the other variable (output variable) i.e the variables are inversely proportional.
This ultimately implies that, the graph of a nonlinear function is a curved line and whose direction is constantly changing
In this scenario, the relationship between numbers of adjectives and newspaper sales must be positive because the higher the amount of adjectives put in the titles of her articles, the greater the number of newspapers that would be sold on a particular day.
1. Consider the following two mutually exclusive projects:
Year Cash Flow (A) Cash Flow (B)
0 –$365,000 –$40,000
1 38,000 20,300
2 47,000 15,200
3 62,000 14,100
4 455,000 11,200
The required return on these investments is 13 percent.
Required:
(a) What is the payback period for each project? (Do not round intermediate calculations. Round your answers to 2 decimal places (e.g., 32.16).)
Payback period
Project A years
Project B years
(b) What is the NPV for each project? (Do not round intermediate calculations. Round your answers to 2 decimal places (e.g.,32.16).)
Net present value
Project A $
Project B $
(c) What is the IRR for each project? (Do not round intermediate calculations. Enter your answer as a percentage rounded to 2 decimal places (e.g., 32.16).)
Internal rate of return
Project A %
Project B %
(d) What is the profitability index for each project? (Do not round intermediate calculations. Round your answers to 3 decimal places (e.g., 32.161).)
Profitability index
Project A Project B (e) Based on your answers in (a) through (d), which project will you finally choose?
(Click to select)Project AProject B
1. Bond X is a premium bond making annual payments. The bond has a coupon rate of 9 percent, a YTM of 7 percent, and has 13 years to maturity. Bond Y is a discount bond making annual payments. This bond has a coupon rate of 7 percent, a YTM of 9 percent, and also has 13 years to maturity. Assume the interest rates remain unchanged.
Project A has a payback period of 3.01 years, NPV of $84,582.89, IRR of 27.45%, and profitability index of 1.23. Project B has a payback period of 1.97 years, NPV of $29,580.28, IRR of 18.25%, and profitability index of 1.74. Based on this analysis, Project A is the better choice. Project A would be choosen.
To calculate the payback period for each project, we need to determine the number of years it takes to recover the initial investment. We can do this by adding up the cash flows until the sum is greater than or equal to zero.
For Project A
Payback period = 2 + (142,000 / 455,000) = 3.01 years
For Project B
Payback period = 1 + (20,700 / 40,700) = 1.97 years
To calculate the NPV for each project, we need to discount the future cash flows back to the present using the required return of 13%. We can do this using the formula
NPV = CF1 / (1 + r)¹ + CF2 / (1 + r)² + ... + CFn / (1 + r)ⁿ - Initial investment
For Project A
NPV = 38,000 / (1 + 0.13)¹ + 47,000 / (1 + 0.13)² + 62,000 / (1 + 0.13)³ + 455,000 / (1 + 0.13)⁴ - 365,000 = $84,582.89
For Project B
NPV = 20,300 / (1 + 0.13)¹ + 15,200 / (1 + 0.13)² + 14,100 / (1 + 0.13)³ + 11,200 / (1 + 0.13)⁴ - 40,000 = $29,580.28
To calculate the IRR for each project, we need to find the discount rate that makes the NPV equal to zero. We can do this using trial and error, or by using a financial calculator or spreadsheet program.
For Project A
IRR = 27.45%
For Project B
IRR = 18.25%
To calculate the profitability index for each project, we need to divide the present value of future cash flows by the initial investment.
For Project A
Profitability index = ($84,582.89 + $365,000) / $365,000 = 1.23
For Project B
Profitability index = ($29,580.28 + $40,000) / $40,000 = 1.74
Based on the analysis, we should choose Project A, as it has a higher NPV, IRR, and profitability index.
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The director of human resources, Sierra, is widely regarded as being sharp in her decision making and as usually meeting her goals. Sierra is an example of a(n) ________ manager.
The kind of manager which Sierra is, who is sharp in decision making is known as an:
Effective managerWho is an Effective Manager?This is a type of manager who engages in practical methods that are result oriented and helps meet team goals.
With this in mind, we can see that because Sierra makes good decisions and meets her team goals, she is an Effective Manager.
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Tyler's net income is approximately $40,000 annually. He has borrowed
$400,000 from the bank to buy a house (mortgage) and must pay 3% interest
each year. What is the cost of borrowing the money?*
Answer:
$400000 is the correct answer
Which of the following statements is(are) true?
(A) Theoretical capacity is the long-run expected volume based on reasonably attainable working conditions.
(B) The cost of excess capacity is allocated to individual cost objects using the cost driver rate.
Both statements (A) and (B) are true. both statements accurately describe aspects related to capacity and cost allocation in a business context.
(A) Theoretical capacity refers to the expected volume of output that a system or process can achieve under ideal conditions, considering factors such as optimal operating levels, efficient resource utilization, and no disruptions. It represents a long-term perspective and is based on attainable working conditions that are reasonably expected to be achieved over time.
(B) The cost of excess capacity, which refers to the unused or idle capacity beyond the actual production needs, is allocated to individual cost objects using the cost driver rate. The cost driver rate is a predetermined measure used to allocate overhead costs to specific cost objects, such as products, services, or departments. Excess capacity costs are assigned to cost objects in proportion to the activity level or cost driver associated with each object, allowing for more accurate cost allocation.
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Our supervisor prepared a(n) ---------------- that reminded the salespeople of the procedures to be followed during the holiday season.
Our supervisor prepared a memorandum that reminded the salespeople of the procedures to be followed during the holiday season.
What do you use memos for?
Memorandums (memos) are used to communicate important and urgent matters to people within a company or organization. The note can also be sent to people or businesses with whom you have a close or long-standing relationship, such as: Suppliers or Consultants. Like business letters, memos are permanent records of communication.
What forms does the memorandum take?Notes are usually one or two pages long, single-spaced, and left-aligned. Instead of using indentation to indicate new paragraphs, skip lines between sentences. Business records should be concise and easy to read. Therefore, it's helpful to use headings and lists to help readers find specific information.
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1. Goals of UAE organizations concerned with the Child Protection Law and the reasons for its inception
Answer:
The answer is below
Explanation:
The goals of UAE organizations concerned with the Child Protection Law and the reasons for its inception are the following:
1. No Poverty: as a result of poverty in some rural areas which is affecting children's development in UAE, the government has made it official to eradicate poverty in those areas.
2. Education for All: this is to ensure that children of age 6 to 18 or Grade 12, all have access to quality education, so as to boost literacy level in UAE
3. Social Support: this is to ensure those with the lowest income are able to cater to their children and afford a decent life.
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
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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In 2014, the EU filed a complaint that the government of Washington state violated international trade rules by:
Answer:
extending tax incentives to Boeing for in-state manufacture of the 777x jetliner
Whistle Works manufacturers safety whistle keychains. They have the following information available to prepare their master budget:
October: $42000
November: $45000
December: $50400
Whistle Works sells each whistle for $12. They have a desired ending inventory for production of 20% of the next month's budgeted sales in units. How many units does Whistle Works need to produce in November?
The number of units that Whistle Works need to produce in November is 3,840 Units.
Here, we are going to calculate the number of units that Whistle Works need to produce in November.
Units for November = Total Sales / Selling Price Per Unit
Units for November = $45,000 / $12
Units for November = 3,750 Units
Units for December = Total Sales / Selling Price Per Unit
Units for December = $50,400 / $12
Units for December = 4,200 Units
Units to be Produced in November = 80% * Expected Sales in November + 20% * Expected Sales in December
Units to be Produced in November = 80 % * 3,750+ 20% * 4,200
Units to be Produced in November = 3,000 + 840
Units to be Produced in November = 3,840 Units
Therefore, the number of units that Whistle Works need to produce in November is 3,840 Units.
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Which of the statements below is correct regarding the difference between a temporary account and a permanent account?
A. A permanent account will not appear on a post-closing trial balance.
B. Permanent account balances will be transferred to the Retained Earnings account.
C. Temporary account balances will be carried to the next accounting period.
D. A temporary account will not appear on a post-closing trial balance.
Answer:A temporary account will not appear on a post-closing trial balance.
Explanation:
The difference between temporary and permanent accounts is that D. A temporary account will not appear on a post-closing trial balance.
What makes an account temporary?A temporary account is only used to record entries that take place during the course of the year and so is closed at the end of the year.
This means that it will not appear in the post-closing trial balance unlike permanent accounts that will.
Find out more on temporary accounts at https://brainly.com/question/26447990.
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the document has all the information.
Answer:
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Explanation:
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2. why is mobile computing so important to these three firms? evaluate the mobile strategies of each firm.
Mobile computing has become increasingly important for businesses in recent years due to the ubiquity of smartphones and other mobile devices.
With more and more people accessing the internet and conducting business on their phones, companies need to have mobile strategies in place to remain competitive.
In terms of evaluating the mobile strategies of individual firms, there are a number of factors to consider, including the usability of their mobile apps or websites, the range of features offered, and how well they integrate with other aspects of the business. Additionally, it is important to consider how the mobile strategy fits into the overall business strategy, and whether it is effectively reaching the intended audience. Without more information about the specific firms in question, it is difficult to provide a more detailed evaluation.
To learn more about mobile strategies, visit here
https://brainly.com/question/28234222
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