calculate the yield to maturity on the following bonds: a 8 percent coupon (paid semiannually) bond, with a $1,000 face value and 20 years remaining to maturity. the bond is selling at $885. an 5.1 percent coupon (paid quarterly) bond, with a $1,000 face value and 10 years remaining to maturity. the bond is selling at $917. an 7.1 percent coupon (paid annually) bond, with a $1,000 face value and 8 years remaining to maturity. the bond is selling at $1,067. (For all requirements, do not round intermediate calculations. Round your percentage answers to 3 decimal places.

Answers

Answer 1

In order to determine the yield to maturity (YTM) for each bond, we must first determine the interest rate (yield) that corresponds to the present value of the bond's anticipated future cash flows multiplied by its current market price.

How can it be calculated in detail?

About the first bond:

N = 20 x 2 = 40 (number of semiannual periods remaining to maturity) (number of semiannual periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 8% x $1,000 / 2 = $40 (semiannual coupon payment) (semiannual coupon payment)

FV = $1,000 (face value) (face value)

PV = -$885 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Hence, the first bond's yield to maturity is 4.738%. (rounded to 3 decimal places).

About the second bond:

N = 10 x 4 = 40 (number of quarterly periods remaining before maturity) (number of quarterly periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 5.1% x $1,000 / 4 = $12.75 (quarterly coupon payment) (quarterly coupon payment)

FV = $1,000 (face value) (face value)

PV = -$917 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Thus, the second bond's yield to maturity is 2.345%. (rounded to 3 decimal places).

About the third bond:

N = 8 (number of yearly periods remaining to maturity) (number of annual periods remaining to maturity)

I/Y = ? (yield to maturity) (yield to maturity)

PMT = 7.1% x $1,000 = $71 (annual coupon payment) (annual coupon payment)

FV = $1,000 (face value) (face value)

PV = -$1,067 (current market price, negative because it reflects an outflow) (current market price, negative because it represents an outflow)

Thus, the third bond's yield to maturity is 5.863%. (rounded to 3 decimal places).

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Related Questions

In a recent presentation by the management of Seas Inc., the presenters conducted a discussion with a pictorial chart on the cumulative units of production of the company and its correlation with the cost per unit of the product. Which of the following charts did the presenters of Seas discuss?
Question 9 options:
The learning curve
The experience curve
The scale curve
The value curve

Answers

The poor utility of media research for enhancing education has been the subject of numerous gloomy analyses over the last 10 years.

What does "consumption chain" mean in entrepreneurship?

The consumption chain refers to this connection life cycle. A business might find possibilities to position and sell its products in ways that neither it nor its rivals would have anticipated by thinking imaginatively about the full experience a consumer has with a product or service.

What kinds of things serve as points of differentiation?

Since they put their customers and employees first, some grocery stores, for instance, have a reputation for being terrific places to work and shop. Customers are aware that even though these stores' products are ubiquitous, doing business with them benefits the community, producers, and workers. They take a business-oriented attitude.

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2. As a student, you have individual experiences with your university. These may include managing the application process, enrolling, orientation, registering for courses, and many more. Conduct a SWOT analysis for your school from your perspective. Discuss how your SWOT analysis would provide strategic insight for future decisions at your university.

Answers

The SWOT analysis can help the university identify its internal strengths and weaknesses, as well as external opportunities and threats, which can be used to develop a comprehensive strategy for its future growth and success.

What can SWOT analysis offer?

SWOT analysis is a strategic management tool used to identify and analyze the Strengths, Weaknesses, Opportunities, and Threats of an organization. A SWOT analysis for my university from my perspective is as follows:

Strengths:

Strong academic reputation and faculty

Wide range of academic programs and majors

Good campus infrastructure and facilities

Active and diverse student body

Good career services and alumni network

Weaknesses:

High tuition fees and student debt

Inefficient administration processes, especially during peak times like registration

Limited availability of financial aid and scholarships

Limited course availability, particularly for non-major courses

Lack of diversity in the faculty

Opportunities:

Growth in online education and distance learning

Expansion of international student enrollment

Increased partnerships with businesses and organizations

Increase in research funding and collaboration

More opportunities for internships and experiential learning

Threats:

Competition from other universities and colleges

Reduction in state funding for higher education

Increasing demand for alternative education options, like trade schools or apprenticeships

Negative publicity due to controversies or scandals

Economic recessions affecting enrollment and financial aid availability

The SWOT analysis provides strategic insights that can help the university make informed decisions. For example, the university can capitalize on its strengths by investing in student services, such as academic advising or mental health counseling. It can also address its weaknesses by streamlining its administrative processes and increasing its financial aid offerings.

In terms of opportunities, the university can explore innovative ways of providing education, such as through online programs, or by developing partnerships with businesses and organizations to provide students with more experiential learning opportunities. Additionally, the university can expand its research initiatives to attract more funding and increase its reputation.

The university can mitigate the threats by diversifying its revenue streams, for example by expanding its fundraising initiatives or exploring corporate sponsorships. It can also work on improving its image and handling controversies or scandals more effectively to protect its reputation. Overall, the SWOT analysis can help the university identify its internal strengths and weaknesses, as well as external opportunities and threats, which can be used to develop a comprehensive strategy for its future growth and success.

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During 2024, a company sells 25 units of inventory. The company has the following inventory purchase transactions for 2024 : Calculate ending inventory and cost of goods sold for 2024 assuming the company uses the weighted-average cost method. (Round weighted-average unit cost to 4 decimal places. Round your final answers to the nearest dollar amount.)

Answers

The cost of goods sold by the company is $56 per unit, and the ending inventory of the company is 5 units.

What is the weighted-average cost method?

The Weighted Average Cost method of calculation of inventory uses a weighted average to calculate the amount that goes into the cost of goods sold and inventory. This method divides the cost of goods available for sale by the number of units available for sale.

Weighted average cost per unit = Total cost of Inventory / Total units

Weighted average cost per unit =$1,680 / 30=$56

Weighted average cost per unit = $56 per unit

Total units available for sale = 30 units

Units sold = 25

Ending inventory = 5 units

Under weighted average cost of goods sold and ending inventory is valued based on weighted average cost per unit.

Therefore, The COGS by the company is $56 per unit, and the closing inventory of the company is 5 units.

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Given the following information, calculate target volume (in sales dollars):Sales price per unit$30Variable cost per unit$18Target profit$8,000Fixed costs$2,000multiple choice question. A. $20,000 B. $25,000 C. $16,667 D. $15,000

Answers

To calculate the target volume in sales dollars, we can use the following formula:

Target volume = (Target profit + Fixed costs) ÷ (Sales price per unit - Variable cost per unit)

Plugging in the given values, we get:

Target volume = ($8,000 + $2,000) ÷ ($30 - $18)

Target volume = $10,000 ÷ $12

Target volume = 833.33 units

To find the target volume in sales dollars, we multiply the target volume in units by the sales price per unit:

Target volume in sales dollars = 833.33 units × $30 per unitTarget volume in sales dollars = $25,000Therefore, the correct answer is B. $25,000.

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Which of the following factors reflect pure market risk for a given corporation?
a) Increased short-term interest rates
b) Fire in the corporate warehouse
c) Increased insurance costs
d) Death of the CEO
e) Increased labor costs

Answers

The factor that reflects the pure market risk for a given corporation is Increased short-term interest rates

What reflects the pure market risk for a given corporation

Market risk refers to the risk that an investment will decrease in value due to changes in market factors such as interest rates, inflation, or economic conditions. In this case, an increase in short-term interest rates is a market risk factor that can affect the corporation's cost of borrowing, investment returns, and overall financial performance.

The other options mentioned are examples of non-market risk factors that can also affect a corporation's financial performance but are not related to market conditions. These factors are specific to the corporation's operations, management, or external environment and may have varying levels of impact on its financial performance.

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Answer:

Increased short-term interest rates

Explanation:

Identify the policy under which an employer refuses to hire or terminates a worker whose spouse works at a competing firm. a. Anti-nepotism policy b. Antitrust policy c. Affirmative action policy d. Conflict-of-interest policy

Answers

The policy under which an employer refuses to hire or terminates a worker whose spouse works at a competing firm is Conflict-of-interest policy.

A conflict-of-interest policy is a collection of rules or guidelines that an organisation establishes to avoid circumstances in which a person's interests potentially clash with those of the organisation.

An anti-nepotism policy, on the other hand, prohibits the hiring or promotion of relatives of current employees to avoid any apparent or actual favouritism or unfair treatment. In order to promote competition and avoid monopolies and other anti-competitive economic practises, a body of laws and regulations known as antitrust policies has been established.

Affirmative action policies are a collection of initiatives or programmes designed to promote equality of opportunity for historically underrepresented groups, like minorities or women, in the workplace or in education.

What do antitrust laws seek to accomplish?

To foster and protect commercial competition, antitrust laws were developed. These are the three different categories of corporate combinations: Conglomerate, both vertically and horizontally. Vertical combinations refer to groups of businesses that are allegedly in various phases of production from one another while horizontal combinations refer to groups of businesses that are allegedly in the same stage of production.

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Dr. Harrison has argued that the open position in the mathematics department should be given to Dr. George. But Harrison's arguments should be discounted since Harrison and George are good friends. a. Straw man b. Red herring c. Argument against the person, circumstantial. d. Argument against the person, abusive. e. Weak analogy

Answers

According to the given statement Argument against the person, abusive.

The correct option is D.

What is a discounted in business?

As a selling deal, a business will provide a good or service at a lower cost. See how to add discounts to invoices. A sales reduction, sometimes known as a "discount," offers clients a lower price on some or all of the goods or services that a business is offering.

Why is a price discounted?

Discount pricing refers to a variety of business practises where the cost of a good or service is reduced in an effort to attract customers, sell surplus stock, or increase sales. Discount pricing works best when customers feel like they're "getting a good deal" on the product.

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Accrued revenues and expenses will cause differences between the statement of cash flows and the income statement. This statement is.

Answers

Accrued revenues and expenses will cause differences between the statement of cash flows and the income statement. This statement is true.

What is Accrued revenues?

The result of accrual accounting, revenue recognition, and matching rules is accrued revenue. According to the revenue recognition principle, revenue transactions must be recognised in the same accounting period in which they are generated rather than when the product or service is actually paid for in cash. A concept in accounting known as the "matching principle" aims to connect the income made during a given accounting period with the costs paid to make that revenue. According to generally accepted accounting principles (GAAP), accumulated revenue is recorded when a performance obligation is met by the party performing. For instance, regardless of whether the buyer made a cash payment or used credit, revenue is recognized when a sales transaction is completed and the customer receives the purchased item.

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all else being equal, if a company moves down the experience curve faster than its rivals, it should realize a lower cost structure.True
False

Answers

The statement that, if a company moves down the experience curve faster than its rivals, it should realize a lower cost structure, is True.

What is the experience curve ?

The experience curve is a concept in business strategy that suggests that as a company gains more experience in producing a product or service, its costs should decrease.

This is due to a variety of factors, such as improved efficiency, economies of scale, and better use of technology. As a company moves down the experience curve faster than its rivals, it should be able to realize a lower cost structure, all else being equal.

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Rundle Construction Company expects to build three new homes during a specific accounting period. The estimated direct materials and labor costs are as follows:
Expected Costs Home 1 Home 2 Home 3
Direct labor $64,000 99,000 184,000
Direct materials 103,000 150,000 195,000
Assume Rundle needs to allocate two major overhead costs ($52,050 of employee fringe benefits and $26,880 of indirect materials costs) among the three jobs.

Answers

Each home's share of the overhead expenses—$15,780 for House 1, $23,850 for Home 2, and $39,300 for Home 3—is divided among the three residences.

Calculate the same asked in the question.

For each cost driver, determine the overall activity. This is what we can do: fringe advantages for employees: For all three residences, the total direct work hours are $64,000 + $99,000 + $184,000 = $347,000 Costs of indirect materials Cost of all three dwellings' direct materials as a whole: $103,000 + $150,000 + $195,000 = $448,000 Step 3: Determine the overhead rate for each cost-causing factor. For each cost driver, we may accomplish this by dividing the entire overhead expense by the total cost driver activity. Here are the facts: Fringe benefits for employees: $52,050 divided by 347,000 direct labour hours yields $0.15 every direct labour hour. Costs of indirect materials: $26,880 divided by $448,000 for direct materials yields $0.06 for each dollar spent on direct materials.

For House 1:

fringe advantages for employees: 9 600 hours of direct labour at $0.15 each.

Costs of indirect materials: $0.06 times $103,000 in direct material costs is $6,180.

For House 1, the total overhead costs are $9,600 plus $6,180, or $15,780.

For House 2:

fringe advantages for employees: 99,000 direct labour hours at $0.15 each equal $14,850.

Costs of indirect materials: $0.06 times $150,000 in direct material costs is $9,000

For House 2, the total overhead costs are $14,850 plus $9,000, or $23,850.

For House 3:

Employee perks: $0.15 times 184,000 hours of direct labour equals $27,600.

Costs of indirect materials: $0.06 times $195,000 in direct material costs is $11,700.

Overall overhead for House 3 is $27,600 plus $11,700, which comes to $39,300.

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the supplies account had a beginning balance of $6,230 and was debited for $2,990 for supplies purchased during the year. journalize the adjusting entry required at the end of the year, assuming the amount of supplies on hand is $3,130. if an amount box does not require an entry, leave it blank.

Answers

The supplies account had a beginning balance of $6,230 and was debited for $2,990 for supplies purchased during the year. This means that the total amount of supplies for the year is $9,220 ($6,230 + $2,990). However, at the end of the year, the amount of supplies on hand is $3,130. This means that $6,090 ($9,220 - $3,130) worth of supplies were used during the year.

To journalize the adjusting entry required at the end of the year, we need to credit the supplies account for the amount of supplies used during the year ($6,090) and debit the supplies expense account for the same amount. This will reduce the supplies account to the correct ending balance of $3,130 and record the supplies expense for the year.

The journal entry would be as follows:

Account                  Debit                                 Credit

Supplies Expense $6,090

Supplies                                                          $6,090

This journal entry accurately reflects the amount of supplies used during the year and the amount of supplies on hand at the end of the year.

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Omar found the the dealer's cost of the base price was $16558. 16 and the dealer's options cost was $611. 60. The consumer paid the $475 destination charge. If the percent of the dealer's cost is 92% and the percent of the dealer's options cost is 88%. Find the car's sticker price.

Answers

The sticker price of the car is $17,544.76. To find the car's sticker price, we need to add up the dealer's cost, dealer's options cost, and destination charge, and then divide by the percentage of the total cost that is represented by the dealer's cost and options cost.

Let x be the sticker price of the car.

The dealer's cost is 92% of the sticker price, so we can write:

0.92x = 16558.16

Solving for x, we get:

x = 16558.16 / 0.92 = 18007.22

Similarly, the dealer's options cost is 88% of the sticker price, so we can write:

0.88x = 611.60

Solving for x, we get:

x = 611.60 / 0.88 = 695.00

Finally, we add up the dealer's cost, dealer's options cost, and destination charge to get the sticker price:

Sticker price = Dealer's cost + Dealer's options cost + Destination charge

Sticker price = 16558.16 + 611.60 + 475

Sticker price = 17544.76

In conclusion, the sticker price of a car is calculated by adding the dealer's cost of the base price, dealer's options cost, and the destination charge paid by the consumer. To calculate each of these costs, we need to know the percent of the dealer's cost and the percent of the dealer's options cost.

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Oakley bakes muffins that he sells at the local farmer's market. If he purchases a new convection oven that reduces the costs of baking muffins, the asupply of Oakley's muffins will increase. b. supply of Oakley's muffins will decrease. c. demand for Oakley's muffins will increase. d. demand for Oakley's muffins will decrease.

Answers

According to the given statement supply of Oakley's muffins will decrease.

The correct option is B.

What is called market?

The entire number of market participants in the region or region under review is referred to as the market. Earth, as well as several nations, regions, states, and cities, may be the subject. The worth, expense, and cost of the goods traded depend on the dynamics of supply and demand on the market.

What is marketing plan?

A marketing strategy is a long-range plan for attaining a business' objectives via a knowledge of client demands and the development of a distinct and long-lasting competitive advantage. It includes everything, from choosing which channels to utilise to contact your consumers to figuring out who they are.

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Cindy Jo's Hair Salon is concerned about its rising costs of supplies, energy, and labor, so it is considering investing in better equipment, which hopefully will reduce the time required to perform most hairstyles as well as result in better perceived quality by its customers. It predicts that the added investment will increase output levels as well as reduce energy costs, since some of the new equipment (hair dryers) use less electricity.

Answers

This is an example of a business considering an investment in capital goods, specifically better equipment for the salon. By investing in new equipment, the salon hopes to reduce the time required to perform most hairstyles and improve the perceived quality of service, which could lead to increased customer satisfaction and loyalty.

What exactly does the term "investment" mean?

In finance, investment refers to the purchase of an asset or item with the expectation that it will generate income or appreciate in value over time. The primary goal of investment is to put money to work in order to grow it. Investments can be made in various forms, such as stocks, bonds, real estate, or business ownership, and they carry varying levels of risk and potential return. The decision to invest is typically based on factors such as the investor's financial goals, risk tolerance, and the performance of the investment over time.

An example of an investment is purchasing stocks in a company. When someone buys stocks, they are buying a portion of ownership in the company, and if the company does well, the value of the stocks may increase, allowing the investor to sell them for a profit. Other examples of investments include buying real estate, investing in a mutual fund, or investing in a small business.

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hen landlords are prevented by cities from charging market rents, which of the following listed outcomes are common in the long run? check all that apply. nonprice methods of rationing emerge. the quality of rental housing units falls. black markets develop. the quantity of available rental housing units falls.

Answers

Common long-term results include the following: The quality of rental housing decreases as non-price rationing techniques emerge.

What is non-price rationing?When the government restricts the quantity that a person can eat, this is known as non-price rationing. The government may limit how many gallons a person can consume, for instance, during times of crisis that affect a nation's gas supply.Rationing of those goods and services that doesn't depend on market prices or consumer willingness to pay is known as non-market or non-price rationing. Queuing for rations is an example of this that is prevalent (household groceries).Rationing is the restriction of highly sought-after and seldom available commodities and services. Governments frequently engage in it as a strategy to address economic difficulties and lessen the effects of shortage.

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you manage inventory for your company and use a continuous review inventory system to control reordering items for stock. your company is open for business 300 days per year. one of your most important items experiences demand of 20 units per day, normally distributed with a standard deviation of 3 units per day. you experience a lead time on orders from your supplier of six days with a standard deviation of two days. the unit price, regardless of order size, is $4.75. your ordering cost is $10. your inventory carrying cost is 20 percent. you have established a service level policy of 97.5 percent on this item.

Answers

In order to control inventory reordering for the item, your company should use a continuous review inventory system. The equation to use to calculate the order point for this system is:

Order Point = Demand During Lead Time + Safety Stock

To calculate the Demand During Lead Time, we must first calculate the mean demand. This is calculated as:

Mean Demand = (Demand per Day x Number of Days Open) / Number of Days Open = 20 x 300 / 300 = 20 units

To calculate the standard deviation of demand during lead time, we use the equation:

Standard Deviation of Demand During Lead Time = Standard Deviation of Demand per Day x √ Number of Days in Lead Time = 3 x √6 = 9.5

Next, we need to calculate the Safety Stock. This is calculated as:

Safety Stock = Z-Score x Standard Deviation of Demand During Lead Time = 1.96 x 9.5 = 18.92

Finally, we can calculate the Order Point as:

Order Point = Mean Demand + Safety Stock = 20 + 18.92 = 38.92 units

Therefore, the company should order 38.92 units in order to meet their service level policy of 97.5%.

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Clark and Hunt organized Jet Corp. with authorized voting common stock of $400,000. Clark contributed $60,000 cash. Both Clark and Hunt transferred other property in exchange for Jet stock as follows: Adjusted Basis Fair Market Value Percentage of Jet Stock Acquired Clark $50,000 $100,000 40% Hunt 120,000 240,000 60% What was Clark's basis in Jet stock

Answers

Answer:

Explanation:

To calculate Clark's basis in Jet stock, we need to determine the total value of the stock he received in exchange for his cash and property contributions.

First, we can calculate the total fair market value of Jet Corp.'s authorized common stock as:

$400,000

Next, we can calculate the total fair market value of the property contributed by both Clark and Hunt as:

Clark's contribution: $100,000 fair market value

Hunt's contribution: $240,000 fair market value

Total: $340,000 fair market value

We can then determine the percentage of Jet stock that Clark received by dividing the fair market value of his contribution by the total fair market value of all contributions:

Clark's contribution: $100,000 fair market value / $340,000 total fair market value = 29.41%

Therefore, Clark received 29.41% of Jet Corp.'s authorized common stock.

To determine Clark's basis in his Jet stock, we need to allocate his total contribution (cash plus property) between the two assets he received (cash and Jet stock) based on their relative fair market values.

Clark's cash contribution was $60,000, and the fair market value of his Jet stock is $100,000. Therefore, his total contribution was $160,000 ($60,000 cash + $100,000 stock).

To calculate Clark's basis in his Jet stock, we can multiply his total contribution by the percentage of Jet stock he received:

$160,000 total contribution x 29.41% Jet stock = $47,059.

Therefore, Clark's basis in his Jet stock is $47,059.

ect that a project will bring in $12,000 usd in revenue per year. you estimate it will cost $5,000 up front. you also estimate costs of $50 per month for the first 12 months, which equals $600 per year. using the formula (G-C) : C = ROI, how would you calculate the projects return on investment (ROI) after the first 12 months?
a. (12000-5600) : 5600 = 114%
b. (5600-5000) : 12000 = 5 %
c. (12000-5600) : 5000 = 128%
d. (12000-5000) : 5000 =140%

Answers

Using the (G-C) formula: Where C is the cost, ROI is the return on investment, and G is the gross income or revenue, C is the return on investment:

Cost (C) = $5,000 x $600 = $5,600 Return on Investment (ROI) = (G - C): C = ($12,000 - $5,600) : Since $5,600 equals 114 percent, (a) is the correct response.

What is ROI?

A financial metric that is used to assess an investment's profitability and effectiveness is known as ROI. It determines the proportion of an investment's return to its cost.

The ROI calculation formula is as follows:

ROI is equal to (Net Profit / Cost of Investment) x 100 percent, where Net Profit is the investment's revenue less its cost.

The net profit, for instance, is $5,000 if you invest $10,000 in a project that brings in $15,000 in revenue. It would result in:

ROI = ($5,000 / $10,000) x 100% = 50%

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Mr. Josh Kenney, a U.S. citizen and resident of Vermont, owns 100 percent of the stock of JK Services, which is incorporated under Vermont law and conducts business in four counties in the state. JK Services owns 100 percent of the stock of JK Realty, which is incorporated under Massachusetts law and conducts business in Boston. Required: b1. Identify the governments with jurisdiction to tax to Mr. JK. (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.) check all that apply 1 U.S. Government State of Vermont unanswered Local (County) Governments unanswered State of Massachusetts unanswered City of Boston unanswered b2. Identify the governments with jurisdiction to tax to JK Services. (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.) check all that apply 2 U.S. Government unanswered State of Vermont unanswered Local (County) Governments unanswered State of Massachusetts unanswered City of Boston unanswered b3. Identify the governments with jurisdiction to tax to JK Realty. (You may select more than one answer. Single click the box with the question mark to produce a check mark for a correct answer and double click the box with the question mark to empty the box for a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.) check all that apply 3 U.S. Government unanswered State of Vermont unanswered Local (County) Governments unanswered State of Massachusetts unanswered City of Boston unanswered Next Visit question mapQuestion 1 of 2 Total1 of 2 Prev

Answers

b1. The governments with jurisdiction to tax Mr. JK are:
- U.S. Government (as he is a U.S. citizen)
- State of Vermont (as he is a resident of Vermont)
- Local (County) Governments (as JK Services conducts business in four counties in Vermont)

b2. The governments with jurisdiction to tax JK Services are:
- U.S. Government (as it is incorporated under Vermont law)
- State of Vermont (as it is incorporated under Vermont law and conducts business in the state)
- Local (County) Governments (as it conducts business in four counties in Vermont)

b3. The governments with jurisdiction to tax JK Realty are:
- U.S. Government (as it is incorporated under Massachusetts law)
- State of Massachusetts (as it is incorporated under Massachusetts law and conducts business in the state)
- City of Boston (as it conducts business in Boston)

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Carlos is planning a 1340-mile driving trip. His car gets an average of 32 mpg, and the cost of gas is about $3. 76/gallon. What is the approximate driving cost of the trip?.

Answers

Carlos' car gets an average of 32 miles/gallon, so if he wants to travel 1340 miles and if the cost of gas is $3.76, then the answer is:

1340/32 = 41.875 ⇒ 41.875* 3.76 = 157.45$ driving cost.

How are driving expenses calculated?

The amount of gallons of gas you'll need for your trip can be calculated by multiplying the mileage of the entire trip by your miles per gallon. Your projected gas expenditure for your road trip will be determined by multiplying that amount by the current gas price.The significance of cost drivers by enhancing the overhead allocation to their products, cost drivers help managers better grasp the underlying costs of their operations. This makes it easier for management to assess the profitability of individual items.

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according to map 3.1 in the text, which three countries have high gross national income (gni) per capita (based on 2018 data)?

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The three countries with the highest GNI per capita (based on 2018 data) according to Map 3.1 in the text are Qatar, Luxembourg, and Macao SAR. Qatar has the highest GNI per capita at USD 126,723, followed by Luxembourg at USD 105,945, and Macao SAR at USD 100,726.

What is GNI per capita?

Gross National Income (GNI) per capita is an economic statistic used to measure and compare the wealth of countries. It is calculated by dividing a country's total GNI by its population size. GNI per capita provides a measure of the average amount of income earned by individuals in a particular country. It is an important measure of a country's standard of living and is also used to compare the relative wealth of different nations. Countries with higher GNI per capita tend to have higher levels of economic development and better access to resources, infrastructure, and services.


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Based on the following information, prepare a bank reconciliation to determine adjusted (corrected) balance:
Bank balance $850
Account fees $10
Checkbook balance $942
ATM withdrawals $60
Outstanding checks $95
Deposit in transit $250
Direct deposits $129
Interest earned $4
What amount would you have if you deposited $1,152 a year for 30 years at 8 percent (compounded annually)?
If a person has ATM fees each month of $12 for eight years, what would be the total cost of those banking fees?

Answers

Total ATM fees over an 8-year period: $12 x 12 months x 8 years = $1,152.

What are 4 types of bank reconciliation?

The process of comparing an organization's financial records with its bank statement to ensure that the two sets of records are consistent and accurate is known as bank reconciliation. Bank reconciliation is classified into four types: Simple reconciliation entails comparing bank statement transactions to the organization's accounting records in order to identify any discrepancies. Deposit in transit reconciliation entails reconciling any deposits that have been made but have not yet been reflected in the bank statement. Outstanding check reconciliation entails reconciling any checks issued but not yet presented to the bank for payment. Bank error reconciliation entails reconciling any mistakes made by the bank, such as incorrectly recording transactions or fees. Reconciliation of Bank Accounts:

$850 in the bank

$250 transit deposit

Deposits totaled $400.

Withdrawals from ATMs: $60

$95 in outstanding checks

$155 in total deductions

Balance Adjusted: ($850 + $400) - $155 - $10 + $129 + $4 = $1,218

Amount after 30 years at 8% interest (annually compounded): approximately $106,812.42

Total ATM fees over an 8-year period: $12 x 12 months x 8 years = $1,152.

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What is the probability the project will be finished between 62 and 66 weeks?

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Assuming a two-tailed test, the probability of the project being finished between 62 and 66 weeks is approximately 34.13%.

To calculate the probability that the project will be finished between 62 and 66 weeks, we need to have information on the distribution of project completion times. Assuming that the completion times are normally distributed, with a mean of 65 weeks and a standard deviation of 2 weeks, we can use the standard normal distribution to calculate the probability.First, we need to standardize the values of 62 and 66 by subtracting the mean and dividing by the standard deviation. This gives us:

                                z1 = (62 - 65) / 2 = -1.5

                                z2 = (66 - 65) / 2 = 0.5

Next, we can use a standard normal distribution table or a calculator to find the area under the curve between z1 and z2, which represents the probability that the project will be finished between 62 and 66 weeks. The probability can also be expressed as a percentage.

Assuming a two-tailed test, the probability of the project being finished between 62 and 66 weeks is approximately 34.13%. This means that there is a 34.13% chance that the project completion time will fall within this range, given the mean and standard deviation of the distribution.

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true/false. department b had a beginning inventory balance of 150 units. during the accounting period, the department started an additional 950 units, and 975 units were completed and transfered out. department b had an ending balance of units.

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The department B had an ending balance would be 125 units.

What is meant by inventory balance?

Inventory Balance denotes the dollar value of the inventory as of the measurement date, based on the standard costs of the seller or one or more of its affiliates as defined above for the purpose of such measurement.

In accounting, inventory is a type of asset. Because firms usually utilize, sell, or replenish it in less than a year, it is represented as a current asset on the balance sheet.

According to the query, the Department of B's ending inventory balance is equal to the starting inventory balance plus the extra units minus the transferred out units.

An initial inventory balance of around 150 units belongs to Department B. The department had 950 units at the beginning of the era, and 975 of those units were finished. hence, the final balance of

Department B = 150 + 950 - 975 = 125 units.

Therefore, the department B had an ending balance be 125 units

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question 1 fill in the blank: for a project manager to organize an effective meeting, they must carefully select all attendees and prioritize meeting topics in a(n) .

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For a project manager to organize an effective meeting, he must carefully select all participants and prioritize meeting topics on an agenda.

What should be on the project manager's agenda?

It should contain the topics to be discussed at the meeting in an organized and logical way, including the purpose of the meeting, the order of topics, the necessary documents, etc.

Therefore, the agenda will help organize and meet the objectives of the meeting effectively, providing the direction of the meeting and the relevance of addressing important topics.

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answer the questions given below.

Mr. Viaz started a pizzeria in his hometown. It made a small income, and Mr. Vlaz had to work long hours and manage many staff members. While running this restaurant, he gained popularity for the tomato sauce they made from scratch and used on their pizzas. Mr. Viaz decided it was time for a change and saw two options. The first was to expand the restaurant to add more tables and increase revenue. The second was to abandon the restaurant and focus solely on selling their famed tomato sauce.

1. How would Mr. Vega's organizational goals change if he chooses Plan B?

2. What do you think Mr. Vega's current organizational structure looks like now?

3. How would the organizational structure change if he chooses Plan A?

4. How would the organizational structure change if he chooses Plan B?

Answers

   If Mr. Viaz chooses Plan B, his organizational goals would change from running a full-service pizzeria to manufacturing and distributing tomato sauce to other businesses.

   Based on the information given, it is not possible to determine Mr. Viaz's current organizational structure. However, it can be inferred that it would involve multiple staff members, given that he had to manage many staff members while running the restaurant.

   If Mr. Viaz chooses Plan A, his organizational structure would likely expand to include additional staff members to manage the increased revenue from more tables and customers. This could involve hiring more servers, cooks, and support staff.

   If Mr. Viaz chooses Plan B, his organizational structure would change to focus solely on the manufacturing and distribution of tomato sauce. This could involve streamlining operations and reducing the number of staff members needed, such as eliminating servers and support staff, and hiring individuals with experience in manufacturing and distribution.

daniel, a salesperson, categorizes sean, a customer, as an expressive based on the categories of social styles. in this scenario, the categorization by daniel means that sean is . multiple choice question. low on assertiveness and high on responsiveness high on assertiveness and low on responsiveness high on assertiveness and high on responsiveness low on assertiveness and low on responsiveness

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Daniel categorized the customer as high on assertiveness and high on responsiveness based on the categories of social styles.

What are categories of social style?

The Social Style model is comprised of four styles. Each style represents a specific pattern of actions that others may observe and agree on when describing one's behavior. This model classifies four distinct personalities: Analytical, Driver, Expressive, and Amiable.

Daniel, a salesperson, classifies Sean, a customer, as an expressive based on social style categories because Sean exhibits high levels of assertiveness and responsiveness.

Therefore, a person is said to be expressive if he/she is  high on assertiveness and high on responsiveness.

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You want to buy an apartment at the price of 4 million Hong Kong dollars. You will do this with a mortgage from a bank at the annual interest rate 8% for 30 years. What is your annual payment.

pls show cash flow diagram

Answers

Answer:

960,000,000

Explanation:

during 2022, baltic company incurred operating expenses amounting to $190,000, of which $132,000 was paid in cash; the balance will be paid during 2023. which of the following is correct for the 2022 year-end balance sheet?
A)Stockholders' equity decreases $132,000 and assets decrease $132,000.
B)Assets decrease $190,000, liabilities increase $1225,000, and stockholders' equity decreases $190,000.
C)Assets decrease $190,000 and stockholders' equity decreases $190,000.
D)Stockholders' equity decreases $190,000, assets decrease $85,000, and liabilities increase $1325,000.

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If during 2022, baltic company incurred operating expenses amounting to $190,000.  The correct option is : C) Assets decrease $190,000 and stockholders' equity decreases $190,000.

What is the 2022 year-end balance sheet?

The operating expenses incurred by Baltic Company are considered as an expense in the income statement, reducing the company's net income and retained earnings (a component of stockholders' equity).

However, the expenses do not affect the company's assets or liabilities, since they are not related to the acquisition of any assets or the incurrence of any liabilities. The fact that only a portion of the expenses have been paid in cash as of year-end does not affect the balance sheet, as the remaining amount is already recognized as a liability in the accounts payable account.

Therefore, the correct answer is that assets decrease $190,000 and stockholders' equity decreases $190,000.

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A creative, distinctive strategy that sets a company apart from rivals and that gives it a sustainable competitive advantage:
A. is the best indicator that the company's strategy and business model are well matched and properly synchronized.
B. is a company's most reliable ticket to above-average profitability.
C. signals that the company has a bold, ambitious strategic intent that places the achievement of strategic objectives ahead of the achievement of financial objectives.
D. is a reliable indicator that the company has a profitable business model.

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a unique, innovative plan that distinguishes a business from rivals and gives it a long-term competitive edge: The most dependable employee in a corporation is B.

What is mean by being innovative?

Something innovative is new and original. If you love to experiment and find new ways to do things, you are an innovative person. Innovative, like nova, novel, and novice, comes from the Latin novus, which means new. Something innovative renews or alters the way something has been done.

Because innovation is arguably THE most important skill you can have, especially if you need to cross-market your skills or get a promotion. Every industry requires creativity, so if you want to be a hot commodity, in demand, and happily employed, you need to be innovative!

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