For taxpayers claiming bonus depreciation on assets placed in service in 2021, when calculating total cost recovery of an asset, the following order applies:
a. None of the above answers are correct
b. Bonus depreciation, Sec. 179 expensing, MACRS depreciation
c. Sec. 179 expensing, Bonus depreciation, MACRS depreciation
d. MACRS depreciation, Bonus depreciation, Sec. 179 expensing
e. MACRS depreciation, Sec. 179 expensing, Bonus depreciation

Answers

Answer 1

The correct answer is d. MACRS depreciation, Bonus depreciation, Sec. 179 expensing.

When calculating the total cost recovery of an asset for taxpayers claiming bonus depreciation on assets placed in service in 2021, the following order applies:

MACRS depreciation: This is the standard depreciation method for tax purposes, which allows taxpayers to recover the cost of the asset over a specific period of time according to the Modified Accelerated Cost Recovery System (MACRS).

Bonus depreciation: Taxpayers can claim bonus depreciation, which allows for an additional upfront deduction in the year the asset is placed in service. Bonus depreciation provides accelerated cost recovery for qualifying assets and is generally available for a specified percentage (e.g., 100%) of the asset's cost in the year of acquisition.

Sec. 179 expensing: Section 179 of the Internal Revenue Code allows taxpayers to expense (deduct) the cost of qualifying assets in the year they are placed in service, up to a certain dollar limit. This is commonly referred to as "expensing" or "Section 179 expensing."

Therefore, the correct order when calculating total cost recovery is MACRS depreciation first, followed by Bonus depreciation, and then Sec. 179 expensing.

Learn more about  asset here-

https://brainly.com/question/25746199

#SPJ4


Related Questions

Please Help!!

1. What question about online communities MOST concerns modern scholars?

- Whether they are real communities

- Whether they are growing in number

- Who becomes a member and why

- How much members interact with each other

Answers

The question about online communities that MOST concerns modern scholars is C. "Who becomes a member and why?"

What question concerns scholars ?

While questions about the reality of online communities, their growth, and the nature of member interactions are also important, scholars are particularly interested in understanding the motivations and characteristics of people who join online communities.

Scholars are interested in understanding why some people choose to join online communities, what they hope to gain from these communities, and how their participation affects their sense of identity and connection to others.

Find out more on online communities at https://brainly.com/question/17199308

#SPJ1

______ are often used to bring "rule breakers" or economic standouts back in line with community norms.

Answers

Social sanctions are often used to bring "rule breakers" or economic standouts back in line with community norms.

Social sanctions are a method by which networks manage the way of behaving of people who veer off from laid-out standards. These authorizations are utilized to flag objection and can take many structures, including segregation, disgracing, boycotting, or different types of social rejection or dissatisfaction. They act as an instrument to uphold local area esteems and keep social control.

By bringing "rule breakers" or monetary champions back in accordance with local area standards, social approvals assume a significant part in guaranteeing social union and forestalling the rise of problematic ways of behaving. Simultaneously, social authorizations can likewise be utilized to smother development and dispute, featuring the sensitive harmony among congruity and imagination in any general public.

Learn more about Social sanctions:

https://brainly.com/question/30839421

#SPJ4

Do you think business practices will become standardized across cultures as the global marketplace continues to flourish? Why or why not?

Answers

Answer:

Most likely yes

Explanation:

Business practices do depend on local cultures, but they are also very sensitive to standardization since business across the world have the base basic objective: to increase economic value, and this value is measurable.

As globalization advances, firms all over the world will seek the best financial, operative, and human resource practices in order to increase economic value, and this practices will be available to a global audience mainly in the form of quantitative data and strategies that can be adapted to any firm no matter where it is located.

If the mpc is 0.60 and disposable income increases from $20,000 billion to $22,000 billion, consumption will increase by:__________

Answers

If the MPC is 0.60 and disposable income increases from $20,000 billion to $22,000 billion, consumption will increase by 1,200 billion.

First, find the change in disposable income:

22,000 billion minus 20,000 billion = 2,000 billion

multiply by MPC to find consumption increase:

2,000 billion x .60 = 1,200 billion

What does MPC mean?

The marginal propensity to consume (MPC) concept quantifies how much more people will spend for every dollar of new income. The marginal consumption to marginal income ratio, or MPC, is determined.

What is the uses of MPC?

MPC uses a dynamic representation of the process to forecast the controlled variable. The anticipated controlled variable is supplied back to the controller, where it is employed in an online optimization process to decide the manipulated variable by minimizing an appropriate cost function.

Learn more about MPC: https://brainly.com/question/13762296

#SPJ4

9. Consider the following conditions for an item used in the Hess Company's manu process On-hand inventory: Open orders (scheduled receipts): 100 units Backorders Reorder point: Quantity per order: 40 units 60 units 100 units 50 units Which of the following state replenishment? (Show your calculation for partial credit) A) No action is required, since a scheduled receipt is due to be delivered to B) To cover its backorders, Hess should order two lots of 50 units C) Because it is incurring backorders, Hess shou D) Hess should reorder point. ation regarding inventory Hess ld increase its reorder point. place an order for 50 units, since the inventory position is less than the 10. Which of the following is not a benefit of outsourcing? A) comparative labor costs B) lower logistics costs C) reduction of transaction costs through use of the Internet D) technology transfer to another country or company Part 3. Mathematical problems Problem 1 You currently make a part on old equipment at a cost of $50,000 per year and a variable cost of $20/unit. You have found an outside supplier who will make the part for $15/unit if you will pay their annual fixed costs of $200,000/year. The following table summarizes the details of this make versus buy decision. VARIABLE COST $15 per unit $20 per un FIXED COST ALTERNATIVE Bu Make 200,000 per year $50,000 per year What is the break even quantity between buying and making? What does the company save for the year by selecting the low-cost option at an annual requirement of 40,000 units? Problem 2 As an inventory manager, you must decide on the order quantity for an item. Its annual demand is 300 units. Ordering cost is $20 each time an order is placed, and the holding cost is 30 percent of the per-unit price. Your supplier provided the following price schedule. Price per Unit rder Quantity

Answers

The inventory position is greater than the reorder point of 100 units, Rounding up to the nearest whole number, the optimal order quantity is 50 units. The correct answer is A) No action is required, since a scheduled receipt is due to be delivered.

Technology transfer to another country or company is not a benefit of outsourcing. While outsourcing can provide benefits such as comparative labor costs, lower logistics costs, and reduction of transaction costs through the use of the Internet, technology transfer can be a potential risk for the outsourcing company.

Problem 1:

The break-even quantity can be calculated as follows:

Make:

Total cost = Fixed cost + Variable cost

Total cost = $50,000 + ($20/unit x Q)

Total cost = $50,000 + $20Q

Buy:

Total cost = Fixed cost + Variable cost

Total cost = $200,000 + ($15/unit x Q)

Total cost = $200,000 + $15Q

To find the break-even quantity, set the total cost of Make equal to the total cost of Buy:

$50,000 + $20Q = $200,000 + $15Q

$5Q = $150,000

Q = 30,000 units

Therefore, the break-even quantity between buying and making is 30,000 units.

The company saves $200,000 - $50,000 - ($15/unit x 40,000 units) = $100,000 per year by selecting the low-cost option at an annual requirement of 40,000 units.

Problem 2:

The optimal order quantity can be calculated using the economic order quantity (EOQ) formula:

EOQ = √[(2DS)/H]

Where:

D = annual demand = 300 units

S = ordering cost = $20

H = holding cost = 30% of per-unit price = 0.3($120) = $36

Substituting the values:

EOQ = √[(2 x 300 x 20)/36] = 49.14 units

Rounding up to the nearest whole number, the optimal order quantity is 50 units.

Click the below link, to learn more about inventory position:

https://brainly.com/question/29869731

#SPJ11

To calculate the number of montly payments required to pay off a loan or meet an investment goal, use the _______ function.

Answers

To calculate the number of monthly payments required to pay off a loan or meet an investment goal, use the nper function.

In finance, lending is the lending of money by one or more individuals, organizations, or other entities to other individuals and organizations, etc. The beneficiary incurs a debt and usually has to pay interest on that debt until that debt is also repaid. to repay the principal borrowed.

The promissory note will typically state, among other things, the principal amount of the loan, the interest rate charged by the lender, and the date of repayment. A loan involves reallocation of assets in question over a period of time, between the lender and the borrower.

To know more about loan here-

https://brainly.com/question/11794123

#SPJ4

The three parts of an income statement heading are _____.


who

when

where

what

motivation of 50. also last year trying to get rid of them. Have a good day :D

Answers

Answer:

Who,When,What

Explanation:

Which documents are generally finished and approved before a project begins? (select three.)

Answers

Project plan, budget plan, and resource allocation are the three documents that are generally finished and approved before a project starts.

It generally requires that the documents containing the project plan, budget plan, and resource allocation details are finished and approved before a team begins a project. These documents provide the baseline to successfully complete the project according to its defined plan, budget, and allocated resources.

The project plan document provides a proper plan to ensure the successful completion of a project. The document gives clarity on the responsibilities of team members; defines the scope of the project; lists the processes and procedures involved; identifies the expected outcomes.

The budget plan document contains detailed information about the expenditures and expected revenues associated with the project. This document helps to estimate and track the expenses of the project.

The resource allocation document provides details about equipment/tools, manpower, office space, the time required, and the other facilities needed for accomplishing the various tasks of the project.  This document is essential for ensuring teams have adequate access to the resources needed to finish the project effectively.

The complete question is given below:

" Which documents are generally finished and approved before a project begins?

Project PlanProject BudgetResource allocationClosure document "

You can learn more about project documentation at

https://brainly.com/question/27364325

#SPJ4

Low need for affiliation and moderate to high need for power are associated with managerial success.
O TRUE
O FALSE

Answers

False. low need for affiliation and moderate to high need for power are associated with managerial success is not universally true.

The relationship between personality traits and managerial success is complex and can vary depending on the specific context and organizational dynamics. While a moderate need for power can be beneficial for managers, as it drives ambition, goal achievement, and assertiveness, the need for affiliation (the desire for social connections and relationships) can also play a crucial role in building effective teams, fostering collaboration, and maintaining positive work environments. Both needs can have advantages and disadvantages depending on the specific managerial role and the organizational culture. Ultimately, managerial success is influenced by a combination of various factors, including leadership skills, emotional intelligence, adaptability, communication abilities, and the ability to build and motivate teams. It is not solely determined by the need for affiliation or the need for power.

learn more about managerial success here:

https://brainly.com/question/17424792

#SPJ11

What are golden rules of accounting?

Answers

The golden rules of accounting are those rules that make accounting easier.

Accounting can be a complex process, but there are some golden rules that can help make it easier. The first golden rule is to always ensure that all transactions are recorded in a timely manner. This will help ensure accuracy and consistency in records.

The second golden rule is to always ensure that all financial statements are prepared on a regular basis, such as monthly or annually. This will help to accurately track finances and identify any discrepancies.

Finally, it is important to make sure all transactions are properly documented and stored in a secure location. Following these golden rules of accounting will help ensure that your finances are well managed.

To learn more about accounting, click here:

https://brainly.com/question/1033546

#SPJ4

4. 4. Open web steel joists are I. Small lightweight trusses. II. Standardized. III. Fabricated in a shop. IV. Strong both vertically and horizontally. A. I and II C. I, II, and III B. II and ill D. I, ill, and IV

Answers

Open web steel joists are standardized, that are fabricated in a shop. They are made of steel and are designed to be strong both vertically and horizontally.

The open web design of these joists makes them lighter in weight than traditional solid steel beams, which reduces the overall weight of the building structure. Additionally, the open web design allows for easy installation of HVAC, electrical, and plumbing systems.

The standardization of open web steel joists means that they are manufactured to a specific set of standards and can be used in a variety of building designs and applications. The fabrication process involves cutting, welding, and bending steel to create the truss shape, and then applying a protective coating to prevent corrosion.

Overall, open web steel joists are a cost-effective and versatile option for building construction. They offer strength and flexibility, and their lightweight design makes them easy to install and transport. Additionally, the standardized manufacturing process ensures quality and consistency across all applications.

to know more about building designs click this link

brainly.com/question/23733238

#SPJ11

what is the correlation between the stage at which an error is found and the comparative cost? select one.

Answers

The earlier an error is found the lesser the cost.

In the incorrect terminology, what does correlation mean?

There may be more data in the data than has been used in the current model, according to correlations in the error terms. The correlation is known as autocorrelation when the observations are naturally ordered in a sequential fashion. Numerous factors can cause autocorrelation.

Describe the correlated model of variance.

The variance model that we'll discuss today is one in which the errors are related to one another. Results within groups had a correlation in the model with random effects. Additionally, associated results from other regression applications exist (i.e. errors). Time series data, a typical model for financial applications, provides frequent examples of this type of inaccuracy.

To know more about Correlation visit:

https://brainly.com/question/30116167

#SPJ4

True or False: A debate is a discussion between two people who have opposing views.

Answers

Answer:

True

Explanation:

Answer:

true

Explanation:

cuz the person is having opposite views

PLEASE HELP QUICKLY: (FIRST ANSWER GETS BRAINLIEST) PERSONAL & FAMILY FINANCE

What is the main reason companies offer free or promotional items and services?




to get rid of bad products




to lure in new customers willing to spend money




to reveal their new products to their competition

Answers

Answer:

lure in customers; so the middle option

Answer:

to lure customers

Explanation:

customers arrive at the cashier desks at a grocery store randomly with an average rate of 21 per hor. each cashier works at a different speed...how long do customers wait on average before a cashier starts scanning/payment. how long do customers wait on avaerage before a cashier starts scanning/payment in the pooled queueing option?

Answers

The customers wait on average about 0.051 before a cashier starts scanning/payment in the pooled queueing option.

The maximum acceptable amount of time that they are ready to stand by in a line. In the event that a line has all the earmarks of being excessively lengthy, or as far as possible has been surpassed, most clients will pursue the choice to return their buys and leave.

Queuing Theory is the investigation of the development of individuals, items, or data through a line. Concentrating on blockage and its causes in a cycle is utilized to assist with making more proficient and practical administrations and frameworks. Queues are an approach to managing the unevenness among market interests. However long interest (the quantity of clients) surpasses supply (limit and the number of administration focuses)

To learn more about waiting time and arrival,

https://brainly.com/question/14617847

#SPJ4

the management's preparation of activities to be carried out by the organization is termed
a) planning
b) delegating
c) organising
d) motivating

Answers

Answer:

a) planning

Explanation:

Planning is a major function of management. It entails thinking ahead or visualizing how to execute events or processes before their time is due. Planning is actualizing events in one's mind to achieve desires results before implementing them on the ground. It is going ahead of time and making preparations for future events.

Planning makes processes and events go smoothly. It makes sure all necessities are availed on time and all possible hitches have been addressed.

Which of the following would NOT be a condition associated with monopolistic competition?

Answers

Where is the following answers?

Match the action needed to increase profits with the reason a business might fail.
Advertising the company to potential customers would match with_____.

a) finances
b) poor management
c) bad location
d) competition
15 POINTS AND BRAINLIEST GOES TO FIRST ANSWER ;)

Answers

I think the answer is b, poor management.

Advertising the company to potential customers would match with competition .Thus the correct answer is option D.

What is advertising?

The practice and techniques used to draw attention to a product or service are referred to as advertising. Advertising seeks to draw attention to a product or service by putting it in the spotlight. It is typically used to promote a specific product or service, but it has a wide range of applications, the most common being commercial advertising.

Through "branding," which associates a product name or image with certain qualities in the minds of consumers, commercial advertisements frequently seek to increase consumption of their products or services. Direct-response advertising, on the other hand, is intended to elicit an immediate sale.

Therefore, advertising helps to create a image of the company and increase its competitiveness.

To learn more about advertising, click here:

https://brainly.com/question/3163475

#SPJ2

Ricardo is looking for a very popular book that seems to be sold out everywhere. He likes to read actual printed books rather than digital books, so rather than driving from book store to book store, Ricardo begins calling shops and asking if they have the book he is looking for in stock in their inventory. What does he mean by ‘in stock’?

natural resources from the land

substances used in the first stage of production

excessive bureaucracy or rules

available for distribution

Answers

available for distribution

if you are tasked with writing employee schedules and to-do lists for managers, what level of planning are you involved in?

Answers

if you are tasked with writing employee schedules and to-do lists for managers, you are involved in tactical planning.

Information is needed for tactical planning by its managers at the middle level of management. Managers establish monthly goals and devise strategies for achieving them. After planning, the strategy is implemented and monitored to hit the predetermined goals.

In the example, the employee is creating schedules that tactical level management needs in order to comprehend the business environment and make wise decisions.

The 4 types of plans are:

Operational PlanningStrategic PlanningTactical PlanningContingency Planning

Learn more about tactical planning here brainly.com/question/13462077

#SPJ4

Which document describes a worker's employment experience, strengths, skills, education, and other qualifications?
A.

Resume
B.

Cover letter
C.

Referral
D.

Reference

Answers

Answer:

A. Resume

Explanation:

A resume is a document prepared by a job seeker to itemize their education qualification and work experiences. It is a formal document sent to a potential employer by a job applicant. The resume shows an applicant's qualifications for the position advertised.

A resume is usually sent together with a cover letter.

Answer:

It's A

Explanation: hope it helps ^w^

The invisible hand principle indicates that competitive markets can help promote the efficient use of resources true or false?.

Answers

The Invisible Hand Principle suggests that competitive markets can help facilitate the efficient use of resources even when each market player cares only about their self-interest rather than about the overall efficiency of resource usage. True

What is the principle of the invisible hand?

The invisible hand is characteristic of laissez-faire, representing the "let do/let go," approach to the market. In other words, the approach maintains that the market will find stability without government or other interventions pushing it into unnatural patterns. The invisible hand upgrades individual self-interest and competition.

To learn more about The Invisible Hand Principle visit the link

https://brainly.com/question/1619870

#SPJ4

What can a boosted post help an advertiser achieve?

Answers

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.

Learn more about Communication at:

brainly.com/question/25645043

#SPJ4

Write down three key takeaways from the History of Credit in America segment.explain cashflow statements. how do they work and what specifically do they show you? give examples of how a cash flow statement will help you adjust your budget for the following month

Answers

The cashflow statements are financial documents that show inflow and outflow of cash in business or individual's finances.

What is cashflow?

Cashflow refers to the movement of money in and out of a business. It is an important financial indicator that measures the amount of cash a company generates or uses during a given period. Positive cashflow means that the business has more cash coming in than going out, which is a good sign that the company is profitable and can pay its bills. Negative cashflow, on the other hand, means that the business is spending more cash than it is earning, which could lead to financial difficulties if it continues. Cashflow can be affected by many factors, including sales, expenses, inventory management, and financing activities. It is important for businesses to track their cashflow regularly to ensure they have enough cash to meet their obligations and invest in growth opportunities.

To learn more about cashflow, visit:

https://brainly.com/question/29468344

#SPJ1

cash receipts journals​

Answers

Answer: theyre handy!

Answer:

cool lol

Explanation:

In a defined-contribution plan, a formula is used that A) defines the benefits that the employee will receive at the time of retirement. B) ensures that pension expense and the cash funding amount will be different C) requires an employer to contribute a certain sum each period based on the formula. D) ensures that employers are at risk to make sure funds are available at retirement.

Answers

In a defined-contribution plan, a formula is used that C) requires an employer to contribute a certain sum each period based on the formula. The option C is correct.

In a defined-contribution plan, the employer is responsible for contributing a specific amount of money into the retirement account of each employee based on a predetermined formula. The formula typically considers factors such as the employee's salary, years of service, or a fixed percentage of their income. The employer's contribution is determined by the formula, and they are obligated to contribute that specific sum each period, whether it is monthly, quarterly, or annually.

Unlike a defined-benefit plan where the benefits at retirement are predetermined, in a defined-contribution plan, the benefits are not defined in advance. The final retirement benefits depend on the contributions made by the employer and the employee, as well as the investment returns earned on those contributions over time.

Therefore, option C) is the correct choice as it accurately describes the requirement for the employer to contribute a certain sum each period based on the formula in a defined-contribution plan.

Learn more about income here: https://brainly.com/question/14732695

#SPJ11

When making scrap or rework decisions, management should consider: (check all that apply. ).

Answers

When making scrap or rework decisions, management should consider:

revenue from selling defective units as scrap.incremental costs.

What is meant by rework decisions?

Rework is the process of fixing a product that initially does not fulfill the minimal quality requirements of an entity. The product can now be sold thanks to the corrective work, allowing a company to recoup some of the margin from a product that would have otherwise been destroyed.

After inspection, rework is the process of fixing products that are flawed, unsuccessful, or nonconforming. Disassembly, repair, replacement, and reassembly are all parts of this process.

Read more on  rework decisions here: https://brainly.com/question/14363468

#SPJ1

When making scrap or rework decisions, management should consider: (Check all that apply.)

revenue from selling defective units as scrap.

incremental costs.

existing sales.

costs already incurred in producing defective units.

Answer:

revenue and incremmental

Explanation:

Leverage

-Increases investment risk

-Decreases investment risk

-Only works to the investors advantage

-Increases owners equity in an investment

Answers

Leverage can increase investment risk because it involves borrowing money to make investments, which can result in higher losses if the investment does not perform well.

Leverage in finance refers to any strategy that involves borrowing money to make purchases while anticipating future earnings to be several times greater than the price of financing. Leverage often refers to using borrowed funds to pay for an asset purchase. Leverage is frequently used in order to boost an asset's profitability. People borrow money and employ leverage because they think they can buy greater resources and increase their profits with the additional funds.

However, it can also potentially increase returns. It does not necessarily decrease investment risk or only work to the investors' advantage. Leverage can increase owners' equity in an investment if the returns generated from the investment are higher than the cost of the borrowed funds.

To learn more about Leverage, click here:

https://brainly.com/question/30985112

#SPJ11

interest earnings of $1,600 from a taxable investment for a person in a 28 percent tax bracket would result in after-tax earnings of:

Answers

If a person in the 28 percent tax bracket earned $1600 from taxable investments, their after-tax income would be $1,152 (1,600*(1-.28)).

Each investment entails expenses. Out of all the costs, taxes can hurt the most and eat up the most of your refunds. The good news is that tax-efficient investing can reduce your tax liability and increase your bottom line, regardless of whether you want to create income or save for retirement.

You can buy and sell investments such as stocks, bonds, exchange traded funds (ETFs), and index funds using a taxable investment account. You can open one with your financial consultant, a robo-advisor, or an internet broker, and then put money into the account to buy assets.

Learn more about taxable investment here:

https://brainly.com/question/5581237

#SPJ4


Federated Manufacturing Incorporated (FMI) produces electronic components in three divisions: industrial, commercial, and consumer products. The commercial products division annually purchases 10,600 units of part 23–6711, which the industrial division produces for use in manufacturing one of its own products. The commercial division is growing rapidly; it is expanding its production and now wants to increase its purchases of part 23–6711 to 15,600 units per year. The problem is that the industrial division is at full capacity. No new investment in the industrial division has been made for some years because top management sees little future growth in its products, so its capacity is unlikely to increase soon.

The commercial division can buy part 23–6711 from Advanced Micro Incorporated or from Admiral Electric, a customer of the industrial division now purchasing 680 units of part 88–461. The industrial division's sales to Admiral would not be affected by the commercial division’s decision regarding part 23–6711.

Industrial Division:
Data on part 23–6711:
Price to commercial division $ 197
Variable manufacturing costs 158
Price to outside buyers 211
Data on part 88–461:
Variable manufacturing costs $ 65
Sales price 95
Other Suppliers of Part 23–6711:
Advance Micro Incorporated, price $ 206
Admiral Electric, price 216
Required:
1. What is FMI’s unit cost if the commercial division buys its additional 5,000 units of part 23–6711 from the industrial division? From FMI’s perspective, from which supplier (industrial division, Advance Micro Incorporated, or Admiral Electric) should the commercial division buy the additional units? If the sale were made internally, what would the correct transfer price be?
2. Assume that the industrial division’s sales to Admiral will be canceled if the commercial division does not buy from Admiral. What would be FMI’s unit costs of (a) internal transfer and (b) purchasing from Admiral in this case? Would the correct transfer price change?

Answers

FMI's unit cost if the commercial division buys the additional 5,000 units from the industrial division would be $158. From FMI's perspective, the commercial division should buy the additional units from Admiral Electric. If the sale were made internally, the correct transfer price would be $158.

If the industrial division's sales to Admiral are canceled, FMI's unit costs of (a) internal transfer would still be $158, and (b) purchasing from Admiral would be $216. The correct transfer price would not change.

To determine FMI's unit cost if the commercial division buys from the industrial division, we consider the variable manufacturing costs of $158. Comparing prices, Admiral Electric offers the lowest price at $216, making it the preferred supplier for the commercial division. If the sale is internal, the correct transfer price should match the variable manufacturing cost of $158 to ensure cost consistency within FMI.

If the industrial division's sales to Admiral are canceled, it does not affect the unit cost of the internal transfer, which remains at $158. However, if the commercial division purchases from Admiral, the unit cost becomes $216. The correct transfer price remains unchanged at $158, as it is based on the internal variable manufacturing cost and not influenced by external pricing factors.

For more questions like Transfer price click the link below:

https://brainly.com/question/30599904

#SPJ11

Other Questions
There are 60 students in the class. Among them 20 students are girls .find the ratio of. a) boys and total student b) girls and total student c) boys girls d) girls and boys Read the passage from Animal Farm.On Sundays there was no work. Breakfast was an hour later than usual, and after breakfast there was a ceremony which was observed every week without fail. First came the hoisting of the flag. Snowball had found in the harness-room an old green tablecloth of Mrs. Jones's and had painted on it a hoof and a horn in white. This was run up the flagstaff in the farmhouse garden every Sunday morning. The flag was green, Snowball explained, to represent the green fields of England, while the hoof and horn signified the future Republic of the Animals which would arise when the human race had been finally overthrown.What is the central idea of this passage?Sundays are days of rest and ceremony on the farm.Snowball tries to convince everyone that England is green.Sundays are dedicated to planning how to overthrow humans.Snowball is becoming more and more like those he despises. x-7=0 extracting square roots what does the number 7 symbolize in literature? (25 PTS) Are these events independent or dependent? A. Rolling a 6-sided dice twice and recording whether the outcome was even or odd. B. Picking a number from a hat, recording the number and keeping the slip out of the hat, then picking a second number from the same hatHelp is appreciated, thank you! If the received power is 3.6dBm from transmitting a 12dBm signal dBm, what is the attenuation in decibels and ratios? Read and analyze the problem below. Was the problem solved correctly? Ifnot, explain the error and answer it correctly in the box below.Solve:2x - 8+ 3x + 2 = 4x+10+ 3x - 6Student Work:2x - 8+ 3x + 2 = 4x+10+ 3x - 65x - 6 = 7x +16- 5x -5x-6 = 2x +16-16 -16-22 = 2x2 2-11= x what would happen if the leopard attacked any one zebra or wildebeest. Page 2. Consider the shaded region R which lies between y=0, y = 3r, and r=3. 1 Using either method, set up the integral that represents the volume of the solid formed by revolving the region R about Given the following information: SO2(g) + 12 O2(g) = SO3(g) Kp = 2.5E-2 What is the Kp value for the following reaction: 2 SO2(g) + O2(g) = 2 SO3(g) A ball is thrown vertically upward from ground level with initial velocity of 96 feet per second. Assume the acceleration of the ball is a(t) = -32 ft^2 per second. (Neglect air Resistance.)(a) How long will it take the ball to raise to its maximum height? What is the maximum heights?(b) After how many seconds is the velocity of the ball one-half the initial velocity?(c) What is the height of the ball when its velocity is one-half the initial velocity? A new drug claims to reduce the number of migraines an individual suffers. in a study on the effectiveness of the new drug. 50 subjects were given the new drug and another 50 subjects were given a placebo. at the end of the 6-month study, the group given the new drug reported an average of 1.3 migraines a week. the group given the placebo reported an average of 2.5 migraines a week. the data from the study are rerandomized 10 times. the difference of the means from rerandomization are 1.2, 3.4, 1.8, 1.3, 1.1, 0.9, 2.5, 0.7, 1.1, and 0.9. what is the most appropriate conclusion about the new drug to draw from this information? how many people in a ward hold priesthood keys (not including stake leaders or general authorities that might live in ward boundaries)? a firm is planning to increase output in the long run from 100 units to 200 units. the long run average total cost falls from $25 to $20. what can be said about this level of output? _____ morality is a moral decision-making strategy driven by potential rewards and punishments of the decision. Binary Search Trees (BST). (a) Suppose we start with an empty BST and add the sequence of items: 21,16,17,4,5,10,1, using the procedure defined in lecture. Show the resulting binary search tree. (b) Find a sequence of the same seven items that results in a perfectly balanced binary tree when constructed in the same manner as part a, and show the resulting tree. (c) Find a sequence of the same seven items that results in a maximally unbalanced binary tree when constructed in the same manner as part a, and show the resulting tree. When a cold front approaches, air pressure will initially ________ due to the displacement and uplift of ________ air. Group of answer choices increase; cold increase; warm decrease; warm decrease; cold What is the relationship between the ratios?0.16/0.72 and 0.08/0.32Drag and drop a term into the box to correctly complete the statement.25 points Steam is another name for a. Liquid water b. Ice crystals c. Salt water d. Water vapor Let's say i have my main investment for example S&P/ASX200 and I did correlation coefficient with other investment such as S&P 500, Gold and Bitcoin. The correlation coefficient of those alternative investment with my main S&P/AX 200 is 0.4303, -0.2303 and 0.0815 respectively. I do not want my alternative to correlate too much with my main investment as if anything happen in the market of S&P/ASX 200, it would not affect much my new alternative investment. If i want to choose other alternative for my portfolio, which should i choose and can explain why?