As an AI language model, my responses are based on pre-existing data and patterns. It's essential to note that the answer to this question changes rapidly as the oil market is volatile. It's crucial to keep track of the oil market's daily performance to get an accurate answer.
Nonetheless, I will give you a brief answer to this question as follows.WTI stands for West Texas Intermediate, and it's the benchmark for crude oil prices in North America. Its price is influenced by several factors such as supply and demand, the US dollar, weather, geopolitical events, etc.As of July 27th, 2021, the price of WTI crude oil was $72.62 per barrel.
It is worth noting that crude oil prices change regularly due to a variety of factors, so the price may not be the same by the time you're reading this response.In conclusion, the current price of WTI crude oil as of July 27th, 2021, is $72.62 per barrel. However, one should regularly monitor the market to keep track of changes in oil prices.
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Which represents the greatest acceleration?
200 m/s
200 cm/s2
0.020 km/s2
0.002 km/s2
Answer:
(3) 0.020km/s²
Explanation:
The option with greatest acceleration is the one with greatest magnitude.
To do this, we have to analyse each if the given options.
1. 200m/s.
This doesn't represent acceleration because acceleration is not measured in m/s. Rather, this option is a measure of velocity..
2. 200 cm/s²
[Convert to m/s²]
= 200 / 100 m/s²
= 2 m/s²
3. 0.020 km/s²
[Convert to m/s²]
= 0.020 * 1000m/s²
= 20m/s²
4. 0.002 km/s²
[Convert to m/s²]
= 0.002 * 1000 m/s²
= 2m/s²
By comparison options 1 through 4, option (3) has the highest magnitude of acceleration.
Hence, 0.020km/s² is the highest acceleration
the overall population for region a is 122 million people. the labor force contains 40 million people, 26 million people are employed, and 14 million are unemployed. what is the unemployment rate? round your answer to two decimals.
The unemployment rate for Region A is approximately 35.00%.
The overall population for Region A is 122 million people, with a labor force of 40 million people. Out of these, 26 million people are employed, and 14 million are unemployed. The unemployment rate can be calculated as the number of unemployed people divided by the labor force.The unemployment rate for region a would be calculated as (14 million unemployed / 40 million in the labor force) x 100, which equals 35%. Therefore, the unemployment rate for region a is 35.00%.
In this case, the unemployment rate is (14 million / 40 million) * 100 = 35%. So, the unemployment rate for Region A is approximately 35.00%.
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Metro, Inc. Sells backpacks. The Company's accountant is preparing the purchases budget for the first quarter operations. Metro maintains ending inventory at 20% of the following month's expected cost of goods sold. Expected cost of goods sold for April is $70,000. All purchases are made on account with 25% of accounts paid in the month of purchase and the remaining 75% paid in the month following the month of purchase. Sales January February March Budgeted cost of goods sold $ 40,000 $ 50,000 $ 60,000 Plus: Desired ending inventory 10,000 Inventory needed 50,000 Less: Beginning inventory (8,000 ) Required purchases $ 42,000 Based on this information the total cash paid in March to settle accounts payable is
The total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.
To calculate the total cash paid in March to settle accounts payable, we need to consider the purchases made in February and March.
In February, the purchases were $42,000 * 25% = $10,500. This amount is paid in the month of purchase, so there is no outstanding payment for February purchases in March.
In March, the purchases were $60,000 * 25% = $15,000. Since 75% of accounts are paid in the month following the month of purchase, we need to calculate 75% of March purchases that are paid in March. 75% of $15,000 = $11,250.,the total cash paid in March to settle accounts payable is $10,500 + $11,250 = $21,750.
The purchases budget is prepared to estimate the amount of inventory that needs to be purchased during a specific period. It takes into account the expected cost of goods sold and the desired ending inventory. In this case, the expected cost of goods sold for April is given as $70,000. By subtracting the beginning inventory and adding the desired ending inventory, the required purchases for the first quarter are calculated.
The payment terms for the purchases are also considered in the budget. It is stated that 25% of accounts are paid in the month of purchase and the remaining 75% is paid in the following month. This means that a portion of the purchases made in February is paid in February itself, while the remaining portion is paid in March. Similarly, a portion of the purchases made in March is paid in March.
To determine the total cash paid in March to settle accounts payable, we need to calculate the amount of purchases that are paid in March. This includes the 25% of March purchases that are paid in March itself and the outstanding payment for the remaining 75% of February purchases. By adding these two amounts, we can find the total cash paid in March. In this case, the total cash paid in March to settle accounts payable is $21,750.
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A broker acts as an agent in all of the following functions except:______
a. leasing property
b. selling property
c. appraising property
d. exchanging property
A broker acts as an agent in all of the following functions except: exchanging property.
A broker is a term for an individual that charges a commission for executing buy and sell orders. They play an important role for guiding the buyer through all the related paperwork.
The one of the most important function of a broker is to solve a client's problem for a fee. Secondary functions are lending to clients for margin transactions, and also involves providing information support regarding the situation on trading platforms.
Thus a broker plays a very important role when it comes to the buying and selling of the property.
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...hype me up ayeeee
Answer:
Fact: Some fungi create zombies, then control their minds
Explanation:
The tropical fungus Ophiocordyceps infects ants’ central nervous systems. By the time the fungi been in the insect bodies for nine days, they have complete control over the host’s movements. They force the ants to climb trees, then convulse and fall into the cool, moist soil below, where fungi thrive. Once there, the fungus waits until exactly solar noon to force the ant to bite a leaf and kill it.
Answer:
yes
Explanation:
Explain what it means to diversify across investments ?
Answer:
true
Explanation:
diversification isna technique that reduces risk by allocating investment across various financial instrument across various fiancial instrument industries and other categories . it aims to maximize returns by investing in different areas that would each react differently to the same event
Seven years ago, Goodwynn & Wolf Incorporated sold a 20-year bond issue with a 14% annual coupon rate and a 9% call premium. Today, G&W called the bonds. The bonds originally were sold at their face value of $1,000. Compute the realized rate of return for investors who purchased the bonds when they were issued and who surrender them today in exchange for the call price.
Answer:
14.82%
Explanation:
initial investment = $1,000
annual coupon = $140 (7 coupons received)
selling price = $1,090
the easiest way to determine the realized rate of return is to use a financial calculator or excel spreadsheet, and calculate the IRR: 14.82%
the cash flows are:
-10001401401401401401401230
The GUI is an index used by the OS to manage computer files,
O False
O True
Answer: I think it's true
On September 30, 2014, Stalling Inc. issued 2,000 shares of its publicly traded stock as compensation to its employee, Mr. Harry. On the date of issuance, the stock’s fair market value was $40,000. Under the terms of his 2014 compensation contract, Mr. Harry couldn’t dispose of the stock before October 1, 2018, and if he terminated his employment with Stalling before that date, he had to return the stock to the corporation. On October 1, 2018, Mr. Harry, who still worked for Stalling, sold all 2,000 shares for $57,500.
Assume that Mr. Harry made no election with respect to the restricted stock in 2014. How much compensation income does Mr. Harry recognize in 2018 because the restrictions lapsed? How much gain or loss does he recognize on sale of the stock?
Assume that Mr. Harry filed a timely election in 2014 to accelerate income recognition with respect to the 2,000 shares of restricted stock. How much compensation income does Mr. Harry recognize in 2018 because the restrictions lapsed? How much gain or loss does he recognize on sale of the stock?
In 2018, when the restrictions on the stock lapsed, Mr. Harry would recognize compensation income based on the fair market value of the stock on that date. The gain or loss he recognizes on the sale of the stock depends on whether he made an election to accelerate income recognition in 2014.
1. Without Election: If Mr. Harry did not make an election to accelerate income recognition in 2014, he would recognize compensation income in 2018 equal to the fair market value of the stock when the restrictions lapsed. In this case, the compensation income would be $40,000 since that was the fair market value of the stock on October 1, 2018. When Mr. Harry sells the stock for $57,500, he would recognize a capital gain of $17,500 ($57,500 - $40,000) on the sale.
2. With Election: If Mr. Harry filed a timely election in 2014 to accelerate income recognition, he would recognize compensation income in 2018 based on the fair market value of the stock when it was issued, which is $40,000. However, since he has already recognized this income in 2014, he would not recognize any additional compensation income in 2018. When Mr. Harry sells the stock for $57,500, he would recognize a capital gain of $17,500 ($57,500 - $40,000) on the sale.
In summary, if Mr. Harry did not make an election to accelerate income recognition, he would recognize $40,000 as compensation income in 2018 and a capital gain of $17,500 on the sale of the stock. If he made the election, he would not recognize any additional compensation income in 2018, but would still recognize the same $17,500 capital gain on the sale of the stock.
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What is the best advice to keep in mind as you grow your business?
Answer:
Be smart and watch out for snakes
what is the quoted yield on a 2-year, 0-coupon us corporate bond priced at 90? (this bond uses the semi-annual compounding convention.)
The quoted yield on a 2-year, 0 coupon US corporate bond priced at 90 is 5.409%. The correct option is b.
Semi-annual Period = 4
Bond price = 90
Face Value = 100
Bond Price = Face Value / (1+ semi-annual rate)^ period
Semi-annual Rate = (Face Value / Bond Price)^(1/period) - 1
Semi-annual Rate = (100/90)^(1/4) - 1 = 0.02669
Quoted Yield = (1+0.02669)^2 - 1 = 5.409%
The yield quote indicates whether the bond is currently selling at a discount or premium to other bonds. When you buy a bond at a net yield, the yield includes the broker's profit or markup for executing the trade.
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The question is incomplete, but the complete question most probably was:
What is the quoted yield on a 2-year, 0-coupon US corporate bond priced at 90? (This bond uses the semi-annual compounding convention.)
A 10.819%
B. 5,409%
C. 5.338%
D. 2.669%
E. 205%
How is a credit union different from a bank?
O Acredit union offers services to companies instead of individuals.
A credit union only offers credit, it does not store money.
Acredit union is usually larger than a bank.
O A credit union is owned by its customers.
Answer:
a credit union is owned by its costumers (D)
Explanation:
i took the assignment!!
how can we develop desicion making skill on ourselves
Answer:
Six simple steps for better decision-making skills
Start with the desired outcome. Start with squad goals. ...Rely on data and insights to spot patterns. .Use S.W.O.T. analysis. ...Simulate the outcomes. ...Trust your instincts. ...Identify your cognitive biasesIf the stock turnover rate for your industry is 3, how many months' worth of inventory should you keep in stock at all times? (a) 2. (b) 3, (c) 4,
(d) 9.
Answer:
2
Explanation:
Why isn’t the whole population surveyed in order to calculate the unemployment rate ?
It is not feasible or practical to survey the entire population to calculate the unemployment rate. Conducting a survey requires time, resources, and money, and it would be difficult to reach every person in the population.
What is unemployment rate?The unemployment rate is a measure of the percentage of the labor force that is currently without work but seeking employment. It is typically calculated by dividing the number of unemployed individuals by the total number of individuals in the labor force. It is often used as an indicator of the health of an economy and is monitored closely by policymakers, analysts, and businesses.
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A survey of 100 fatal accidents showed that 44 were alcohol-related. Find a point estimate for p, the population proportion of accidents that were alcohol-related.
Select one:
O a. 0.56
Ob. 0.786
OC. 0.44
O d. 0.306
The point estimate for p, the population proportion of accidents that were alcohol-related, is 0.44. Option C is correct.
To find the point estimate for p, the population proportion of accidents that were alcohol-related, you need to divide the number of alcohol-related accidents by the total number of accidents. In this case, there were 44 alcohol-related accidents out of 100 total accidents.
To calculate p, you can use this formula:
p = (number of alcohol-related accidents) / (total number of accidents)
p = 44 / 100 = 0.44
This implies that, based on the sample data, approximately 44% of fatal accidents are estimated to be alcohol-related. However, it's important to note that this point estimate is subject to sampling variability and might not perfectly represent the true population proportion.
Option C holds true.
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for which person would renting a home be a better option than getting a mortgage?
Answer:
Someone who wants ro avoid spending time and money on maintenace
Explanation:
If a company recorded an adjusting entry by debiting Interest Expense for $500 and Interest Payable for $50 in error, then the ______.
If a company recorded an adjusting entry by debiting Interest Expense for $500 and Interest Payable for $50 in error, then the: Adjusted trial balance's debits side will not equal its credits side.
Adjusted trial balanceBased on the information given debiting Interest Expense for $500 was right and debiting Interest Payable for $50 was wrong.
Reason being that Interest expense is a debit entry because expenses are supposed to be debited while interest payable is a credit entry.
Based on this the adjusted trial balance's debits side will not equal its credits side.
Inconclusion If a company recorded an adjusting entry by debiting Interest Expense for $500 and Interest Payable for $50 in error, then the: Adjusted trial balance's debits side will not equal its credits side.
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the risk-free rate is 3 percent. the expected market rate of return is 13 percent. if you expect stock x with a beta of 1.8 to offer a rate of return of 19 percent, you should
Based on the given information, we can use the Capital Asset Pricing Model (CAPM) to determine if stock X is a good investment. CAPM states that the expected return of a stock equals the risk-free rate plus the product of the stock's beta and the expected market rate of return minus the risk-free rate.
Since the expected return of stock X (21%) is greater than the expected rate of return (13%), it can be concluded that stock X is a good investment. Given the risk-free rate of 3 percent, the expected market rate of return of 13 percent, and stock X with a beta of 1.8 offering a rate of return of 19 percent, you should determine if stock X is correctly priced using the Capital Asset Pricing Model (CAPM).
Since the expected return on stock X according to CAPM is 21%, and you expect it to offer a rate of return of 19%, the stock is undervalued. Therefore, you should consider buying the stock as its expected return is higher than the return you anticipate.
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Is profit the same as cash flow?
Answer:
No
Explanation:
Cash flow refers to the money that flows in and out of your business. It's income and expenses.
Profit, however, is the money you have after deducting your business expenses from overall revenue. Both are important, but cash flow is essential to keep your business running in the here and now.
Real Life Case Study: The Marketing Math Behind the Spirit Airlines Takeover
Hello Marketeers,
The fight over Spirit Airlines continues with the board of directors rejecting JetBlue's offer in favor of an offer from Frontier Airlines. According to an article in the Wall Street Journal, "JetBlue’s offer for Spirit came with a higher price tag than Frontier’s cash-and-stock offer, which was originally valued at $2.9 billion. However, Spirit’s board said it believed there was too much risk that regulators would bar a merger with JetBlue, even after JetBlue pledged to shed assets to win regulatory approval and to pay a $200 million breakup fee if it was unable to complete the proposed acquisition for antitrust reasons."
What's the marketing math behind this takeover offer that's driving the decision for the Spirit board of directors to choose Frontier Airlines over JetBlue. Check out the article and let's discuss if they are making the right marketing math decision for the company.
The marketing math behind the Spirit Airlines takeover decision by the board of directors to choose Frontier Airlines over JetBlue is primarily driven by the perceived risk of regulatory barriers and the overall value offered by each bidder. The article highlights that JetBlue's offer had a higher price tag, but Spirit's board was concerned about the regulatory approval process and the potential antitrust issues.
Here's the breakdown of the marketing math decision
Higher Price Tag: JetBlue's offer came with a higher monetary value, indicating a potentially greater financial benefit for Spirit Airlines. However, the board recognized that financial value alone is not the sole factor to consider in a takeover decision.Regulatory Barriers: The board expressed concerns about the possibility of regulators blocking a merger with JetBlue. Despite JetBlue's assurances to shed assets and pay a breakup fee, the board believed there was still a significant risk involved. Regulatory approval is crucial for any merger to proceed smoothly, and the potential obstacles presented a considerable factor in the decision-making process.Value and Risk Assessment: The board weighed the perceived value of each offer against the associated risks. While JetBlue's offer had a higher price, the potential risks related to regulatory approval outweighed the immediate financial gains. The board determined that Frontier Airlines' offer, despite its lower valuation, carried less risk in terms of regulatory barriers.In evaluating the marketing math decision, it is essential to consider the board's assessment of risk and their strategic vision for the company's future. The decision to choose Frontier Airlines over JetBlue suggests that the board prioritised a smoother and less risky integration process over immediate financial gains.For more such questions on marketing math, click on:
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Jolene has always wanted to work in Physical Therapy. Which career would be the best choice if she wants to get into a job that has fast-growing availability?
A. Physical Therapist Assistant
B. Physical Therapist Aide
C. Physical Therapist
D. Physical Therapist Technician
help? D:
Answer:
A.) Physical Therapist Assistant
Explanation:
Just did on Edge 2020. Hope this helps you and others out.
The best career choice that would have taken by Jolene in order to work in the field of Physical therapy is to become a Physical Therapist Assistant.
Option A is the correct answer.
What is meant by physical therapy?Physical Therapy is a kind of treatment done by professionals to relieve a person from pain.
Physical therapist Assistants are professionals who are qualified with an accredited degree in the course of Physical Therapy Education. They are worked under the guidance of Physical Therapists. They also helped the physical therapists with the healthcare problems of the infants to the individual who died.
Therefore, the Physical therapist assistant would be the career chosen by Jolene in order to work in the desired field.
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assuming an interest rate of 7.2 percent, what is the value of the following cash flows four years from today? year cash flow 1 $ 3,450 2 4,400
The value of the cash flows four years from today is $24612.67
We use the formula:
A=P(1+r/100)^n
where
A=future value
P=present value
r=rate of interest
n=time period.
A=3450*(1.072)^3+4400*(1.072)^2+6335*(1.072)+8515
=$24612.67(Approx)
Cash flow from operations is comprised of prices made as part of the ordinary course of operations. Examples of those cash outflows are payroll, the value of products sold, hire, and utilities. cash outflows can range significantly when enterprise operations are fairly seasonal
The term cash go with the flow refers to the internet amount of cash and cash equivalents being transferred inside and outside of a business enterprise. cash received represents inflows, even as cash spent represents outflows.
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Paints Division of RJGL, Inc. had the following operation result in 2021:
Sales: P12,500,000
Profit Margin: 25%
Assets P10,000,000
The Division is considering a P2,000,000 investment in a new project. The estimated ROI for all
its operations would be 30% with the new investment. The weighted average cost of capital is 15%
1. How much net income or net loss is the new project expected to contribute?
2. If the manager of the division is evaluated on ROI alone, will she invest on the new project? Why?
3. What would be the residual income for the new project alone?
The net income contributed by the new project is expected to be P600,000. If the manager of the division is evaluated based on ROI alone, she would invest in the project because its projected ROI (30%) is higher than the weighted average cost of capital (15%). The residual income for the new project alone would be P300,000, indicating the additional income generated by the project above the required return.
To calculate the net income or net loss contributed by the new project, we need to determine the return generated by the investment. The estimated ROI for all operations, including the new project, is 30%. Therefore, the net income from the new project can be calculated as follows:
Net Income = Investment * ROI
Net Income = P2,000,000 * 30% = P600,000
If the manager of the division is evaluated solely based on ROI, she would invest in the new project. The projected ROI of the new project (30%) is higher than the weighted average cost of capital (15%). This means that the new project is expected to generate a return that exceeds the cost of capital, resulting in increased profitability for the division.
Residual income is a measure that compares the actual return of an investment to the minimum required return (cost of capital) for the same investment. To calculate the residual income for the new project alone, we subtract the required return from the actual return generated by the project.
Residual Income = Net Income - (Investment * Cost of Capital)
Residual Income = P600,000 - (P2,000,000 * 15%)
Residual Income = P600,000 - P300,000
Residual Income = P300,000
Therefore, the residual income for the new project alone would be P300,000.
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A(n) __________ is a stimulus or symbol perceived by consumers.
In Behavioral learning cue is an enhancement or image apparent by purchasers.
Cues are stimulants that point you in the right direction for achieving your pretensions. There are numerous of the time numerous signals viewing for a customer's consideration, some of which can be made by advertisers and others that are basically important for the outside climate.
According to the behavioral learning proposition, people learn through experience by associating a encouragement with either a price or a discipline. Understanding how to inspire people, specifically your workers, to learn is made easier by this literacy proposition.
Because it suggests that preceptors can directly impact their scholars' geste , behaviorism is important for preceptors because it affects how scholars bear and reply in the classroom.
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The US Supreme Court did what in Piscataway Board of Education v. Taxman, 521 U.S. 1117, 117 S.Ct. 2506 (1997)?
Answer:
The case was never heard in the United States Supreme Court.
Explanation:
The board of education of Piscataway High School, New Jersey desired to remove one teaching position from the Business Education department. A hindrance to this was the fact that the two teachers being considered had indefinite appointments, and were equal in seniority. According to the state law, tenured teachers can be relieved of their duties in reverse order of seniority. Either Sharon Taxman, a white teacher, or Debra Williams an African-American teacher were to be relieved of their positions.
Taxman was chosen because African-Americans were a minority. Taxman contested this in the court. The case was never heard at the U.S Supreme court because some civil rights group wanted the case to be settled out of court. The United States Court of Appeal ruled in favor of Taxman.
Rather than the borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan...
Answer:
Rather than the borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan... doesnt make you go thourgh the cycle of interest.
Explanation:
Answer:
No, paying from a credit card is more preferable .
Explanation:
The borrower paying a small rate of interest in each cycle like with a credit card, the borrower using a payday loan :
No, since the interest charged by her credit card will be less than the interest charged by the payday lender. Usually, the sum given to you by the payday loan specialist is as of now net of interest. So, in the event that you connected for an advance of $100, you may be given a sum less than $100 but you still need to pay for $100. The brief span of time the payday lender has, it charges the next interest than that of a credit card. You merely pay interest on your credit card once you have an exceptional adjustment at the conclusion of the month to month cut-off. On the off chance that you pay off the entire extraordinary sum inside the cut-off, no intrigued will be charged.Know more :
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Deanna, the human resource manager of a firm, is planning how to support a strategy of empowering employees. Currently, jobs are grouped based on different functions, such as customer service, manufacturing, and packaging. Deanna is considering a redesign in which members of various functions work in divisions responsible for a particular customer group. In what way could this redesign support the goals for employee empowerment
Answer: Employees' responsibilities will be more broadly defined and focused on higher-level goals.
Explanation:
Every organization have their method of working amongst themselves, some work as a team, e.g Engineers, Accountant's e.t.c While others work in a similar way but some little twerk to the style.
Deanna is considering a redesign in which members of various functions work in divisions responsible for a particular customer group, this would make employees' responsibilities more broadly defined and focused on higher-level goals.
Despite this is good, it has its demerit, the employees may grow well in their specialized field due to they work on a broad scope.
A shortage results when a a. nonbinding price ceiling is removed from market. b. binding price ceiling is removed from a market. c. nonbining price celing is imposed on a market. d. binding price celing is imposed on a market.
A shortage results when a c. nonbinding price celling is imposed on a market.
What is non-binding price ceiling?Non-binding price ceilings are those with a cap on the price but no impact on the market price.
A price ceiling will typically not be binding if it is set at a level that is higher than or equal to the equilibrium price that would apply in an unrestrained market.
A state that develops when demand outpaces supply due to a lack of market balance, this condition is referred to as shortage.
Therefore the situation when a market is subjected to a nonbinding price celling, a shortage occurs.
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During 2018, Leucothea Co. became involved in a legal dispute with a supplier. At December 31, 2018, Leucothea’s legal advisor believed that an unfavorable outcome was probable. A reasonable estimate of resulting monetary damages is $100,000 but could be as much as $200,000. Leucothea has legal liability insurance coverage that limits their loss to $80,000. After the 2018 financial statements were issued, Leucothea agreed to settle the case for $125,000. What amount of accrued liability should Leucothea have reported in its December 31, 2018 balance sheet?
Answer:
$80,000
Explanation:
Prudence allows that liabilities should not be understated and assets should not be overstated .
As the case is probable to result to a liability by the lawyers assessment , this means that it is more likely to happen and liability should be recognized . However , there is an insurance that limits the liability to the tune of $80,000 regardless of the agreement made towards the settlement.
The sum of $80,00 should be recognized as the liability in the statement of financial position