A partnership has assets of cash of $10,000 and equipment with a book value of $160,000. All liabilities have been paid. The partners’ capital accounts are as follows Michael $80,000, Gregory $60,000 and Phillips $30,000.

Answers

Answer 1

Michael should receive $124,000 in the final settlement.

First, we need to determine the total value of the partnership's assets. The cash is worth $10,000, and the equipment has a book value of $160,000. If the equipment is sold for $100,000, we need to adjust the value of the assets accordingly:

Total assets = Cash + Equipment - Equipment loss

Total assets = $10,000 + $160,000 - ($160,000 - $100,000)

Total assets = $110,000

Next, we need to determine the partners' shares of the remaining assets based on their profit-sharing ratios. The total profit-sharing ratio is 4 + 3 + 3 = 10.

Michael's share = (4/10) x $110,000 = $44,000

Gregory's share = (3/10) x $110,000 = $33,000

Phillips' share = (3/10) x $110,000 = $33,000

Finally, we need to add the partners' capital account balances to their shares of the remaining assets to determine their total distribution.

Michael's total = $44,000 + $80,000 = $124,000

Gregory's total = $33,000 + $60,000 = $93,000

Phillips' total = $33,000 + $30,000 = $63,000

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The given question is incomplete, the complete question is:

A partnership has assets of cash of $10,000 and equipment with a book value of $160,000. All liabilities have been paid. The partners' capital accounts are as follows Michael $80,000, Gregory $60,000 and Phillips $30,000. The partners share profits and losses on a 4:3:3 basis. If the equipment is sold for $100,000 and there are no liquidation expenses what amount should Michael receive in the final settlement?


Related Questions

john and mabel's company, high-tech solutions, is a medium-sized high-tech firm with a core employee group of highly skilled professionals. around this core is a group of twice as many part-time contract programmers and other computer professionals. as they win programming contracts, they hire contract workers. when work slows, they let the part-timers go but keep their core group. their target industries are facing increasing government scrutiny and possible regulation due to the number of firms that are doing poor work and causing long-term problems for customers. john believes, when hiring for either the core group or for the part-time work force, they need to look not only at each candidate's technical work skills and competency but also think about other factors as well: the candidate's emotional control, team orientation, self-awareness, self-esteem, and what the company has to offer them in terms of family support. mabel agrees to a degree. she thinks that the key to productivity and quality is through their people, but she wants to focus more on technical competencies and less on the other areas john mentions. high-tech solutions uses teams extensively. employees are trained how to work in teams, handle conflict, work cooperatively, etc. joan, a five-year veteran at high-tech, plays softball in a church league with several of her coworkers. she has asked for investment advice from a couple of the work-group members who are heavily into the stock market. she, in general, highly enjoys her work because of the relationships she has with her coworkers. in sharp contrast, one of the new employees is having a hard time with her supervisor. she wants greater independence and more affirming feedback. the supervisor wants to be sure the new employee can do her job, so he is supervising closely and is giving a lot of corrective feedback. refer to case 1.1. john's approach to hiring is an example of the concept of hiring

Answers

The idea of employing a total person is demonstrated by John's hiring strategy.

The Total Person concept is a way of life that emphasizes goal-setting and action plans that take into account six crucial areas: family and home, financial and career, mental and education, physical and mental well-being, social and cultural diversity, and morality and ethics. In this individualized Plan of Action, self-evaluations are used to help people determine their values, set priorities, and set goals. These efforts enable the individuals in your business to establish equilibrium in all six spheres of existence. People who attain that balance are happier and more productive, according to study, and when everyone is more productive, your organization as a whole performs better.

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Ortho Company experienced the following events during its first- and second-year operations:
Year 1 Transactions: Acquired $68,000 cash from the issue of common stock.
Borrowed $36,000 cash from the National Credit Union.
Earned $59,000 of cash revenue.
Incurred $43,000 of cash expenses.
Paid a $7,000 cash dividend.
Paid $37,000 cash to purchase land.
Year 2 Transactions:
Acquired $50,000 cash from the issue of common stock.
Borrowed $20,000 cash from the National Credit Union.
Earned $85,000 of cash revenue.
Incurred $62,000 of cash expenses.
Paid a $2,000 cash dividend.
Paid $25,000 cash to purchase land.
Required
a. Record the transactions in an accounting equation like the equation shown next.
b. Record the amounts of revenue, expense, and dividends in the Retained Earnings column.
c. Provide the appropriate titles for these accounts in the last column of the table.
d. Show the totals at the end of Year 1 and use these totals as the beginning balances for the second accounting cycle.
d-1. Prepare an income statement for Year 1 and Year 2.
d-2. Prepare a stockholders' equity for Year 1 and Year 2.
d-3. Prepare a balance sheet for Year 1 and Year 2.
d-4. Prepare a statement of cash flows for Year 1 and Year 2.

Answers

Answer:

Due to space limitations, I used an excel spreadsheet to answer questions a, b, c and d.

d1)

Ortho Company

Income Statements

For years 1 and 2

                                         Year 1                Year 2

Service revenue            $59,000           $85,000

Expenses                      ($43,000)         ($62,000)

Net income                     $16,000           $23,000

d2)

Ortho Company

Statement of Stockholders' Equity

For years 1 and 2

                                                       Year 1                Year 2

Beginning balance                               $0              $77,000  

Common stocks issued                $68,000           $50,000

Net income                                     $16,000           $23,000

Subtotal                                          $84,000         $150,000

Dividends paid                               ($7,000)           ($2,000)

Ending balance Dec. 31, year 1     $77,000          $148,000

d3)

Ortho Company

Balance Sheet

For years 1 and 2

                                                       Year 1                Year 2                  

Assets:

Cash                                            $76,000             $142,000

Land                                             $37,000             $62,000

Total assets                                $113,000            $204,000

Liabilities:

Notes payables                          $36,000              $56,000

Stockholders' Equity:

Common stock                           $68,000              $118,000

Retained earnings                        $9,000              $30,000

Total liabilities + equity              $113,000            $204,000

d4)

Ortho Company

Statement of cash flows

For years 1 and 2

                                                       Year 1                Year 2    

Cash flows from operating act.

Net income                                  $16,000            $23,000

No adjustments required               $0                       $0

Net cash provided by OA           $16,000            $23,000

Cash flows from investing act.

Purchase of land                        ($37,000)          ($20,000)

Net cash provided by IA            ($37,000)          ($20,000)

Cash flows from financing act.

Issuance of common stocks       $68,000            $50,000

Dividends paid                             ($7,000)             ($2,000)

Issuance of long term debt         $36,000            $20,000

Net cash provided by FA            $97,000            $68,000

Net increase in cash                   $76,000             $66,000

Initial cash balance                         $0                   $76,000

Ending cash balance                  $76,000            $142,000

a - d. Recording the transactions in an accounting equation form for Ortho Company is as follows:

Year 1:                      Cash      +    Land   = Note   + Common  + Retained

                                                                Payable      Stock        Earnings

Stock issuance       $68,000                                   $68,000

Loan                        $36,000                  $36,000

Cash revenue        $59,000                                                        $59,000

Cash expenses      -43,000                                                          -43,000

Dividends payment -7,000                                                            -7,000

Land purchase      -37,000      $37,000

Total                     $76,000      $37,000 $36,000  $68,000     $9,000

Year 2:                      Cash      +    Land   = Note   + Common  + Retained

                                                                Payable      Stock         Earnings

Beginning balance  $76,000  $37,000 $36,000  $68,000       $9,000

Stock issuance       $50,000                                   $50,000

Loan                        $20,000                 $20,000

Cash revenue        $85,000                                                        $85,000

Cash expenses      -62,000                                                          -62,000

Dividends payment -2,000                                                            -2,000

Land purchase      -25,000    $25,000

Total                    $142,000    $62,000 $56,000   $118,000    $30,000

The appropriate titles in the Retained Earnings column are Revenue, Expenses, Dividends.  Space does not permit them to be indicated on a separate column.

d-1. The Income Statements for Year 1 and Year 2 are as follows:

                            Year 1         Year 2

Revenue          $59,000      $85,000

Expenses           43,000        62,000

Net income     $16,000     $23,000

d-2. Stockholders' Equity for Year 1 and Year 2 are as follows:

                                  Year 1         Year 2

Common stock       $68,000   $68,000

Additional stock                         50,000

Retained earnings                     $9,000

Net income             $16,000   $23,000

Dividends                   7,000        2,000

Retained earnings $9,000   $30,000

d-3. Balance Sheets for Year 1 and Year 2

                              Year 1         Year 2

Assets:

Cash                    $76,000    $142,000

Land                      37,000        62,000

Total assets       $113,000   $204,000

Liabilities:

Notes Payable   $36,000    $56,000

Equity:

Common Stock $68,000   $118,000

Retained earnings 9,000     30,000

Total equity       $77,000  $148,000

Total equity and

 liabilities       $113,000  $204,000

d-4 Statement of Cash Flows:

Operating Activities:

                                        Year 1         Year 2

Net income                   $16,000     $23,000

Financing Activities:

Stock issuance           $68,000    $50,000

Dividends paid              -7,000        -2,000

Loan                             36,000       20,000

Cash from financing $97,000     $68,000

Investing Activities:

Land purchase        -$37,000    -$25,000

Net Cash Flows      $76,000     $66,000

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The field of operations management is shaped by advances in which of the following fields?

Answers

Answer:

E) all of the above

Explanation:

THIS ARE THE OPTIONS FOR THE QUESTION BELOW

A) chemistry and physics

B) industrial engineering and management science

C) biology and anatomy

D) information technology

E) all of the above

Operations management can be regarded as administration of business practices which brings about creation

of highest level of efficiency that can be created within an organization. It is responsible for conversion of materials as well as labor to goods/services so that profit can be maximized efficiently

in an organization. It should be noted that The field of operations management is shaped by advances in fields such as ;

✓chemistry and physics

✓management science

✓ biology and anatomy

✓information technology

✓Industrial engineering

If you are a debt investor, how do you make money from your investment?

Answers

Explanation:

You trade to make money. Which is done by investing into a trade market

Answer:

Lending money and charging interest

Explanation:

The ____ major responsibility for keeping all dishes and utensils sanitary

Answers

The complete statement is "The food handler's major responsibility for keeping all dishes and utensils sanitary"

Who is a food handler?

Generally, A person is considered to be a food handler if they directly touch food, whether it be packaged or unpackaged, as well as the apparatus and utensils used to make or serve food, and/or the surfaces where food is prepared or served.

In conclusion, The whole statement reads as follows: "The food handler has the primary responsibility for maintaining the cleanliness of all dishes and utensils."

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DJ is trying to help his sister with a keyboard shortcut, but he has a PC and his sister has an Apple computer. What key does his keyboard have that hers does not??

Answers

The key that his keyboard does not have is the alt and the shift or the command key is the major difference in the computers.

What is a keyboard?

Using a keyboard, people can input letters, characters, and quantities into the computer. When people type, you push each button on the keyboard separately. On the right-left side alongside the keyboard, one can also find the key warning that runs throughout the top of both the number .

Using shortcut keys for computer applications can help you navigate and carry out commands more quickly and easily. Alt (on Computers), Command (on Mac systems), Ctrl, or Shift combined with some other key is used to execute shortcut keys.

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What is the service recovery paradox? Under what conditions is this paradox most likely to hold? Why is it best to deliver the service as planned, even if the paradox does hold in a specific context?

Answers

Answer:The service recovery paradox (SRP) is a situation in which a customer thinks more highly of a company after the company has corrected a problem with their service, compared to how they would regard the company if non-faulty service had been provided.

The service recovery paradox (SRP) occurs when a customer's level of satisfaction after a service failure followed by successful service recovery is higher than if the initial service had been error-free to begin with (Figure 1), given a legitimate service failure in which the organization is at fault.

Explanation:

The main reason behind this thinking is that successful recovery of a faulty service increases the assurance and confidence from the customer.

1. Concave Systems presently has earning interest and taxes of
$6 million. Its interest expenses are $1,000,000 a year, and it
pays $600,000 in annual dividends to its shareholders. Concave
has 300, 000 common shares outstanding, and its tax rate is 40
percent. Its annual capital expenditures are $900,000. Concave's
present priceto-earning ratio is 8.
a. Calculate the company's earnings per share and interpret.
b. Calculate the company's dividend payout ratio and interpret. 目
c. Calculate the company's dividend yield and interpret.

Answers

The company's earnings per share is 20, dividend payout ratio is 0.1  and dividend yield is 1.25.

What is Dividend payout?

The dividend payout is the ratio between dividend per equity share and earning per equity share.

Earning per share =  Earning net interest and tax/ Number of shares                 outstanding

                             = $6,000,000/3,00,000

                             = 20

Dividend per share = Total Dividend/ No of shares

                                 = $600,000/300,000

                                 = $2

Dividend payout ratio = Dividend per share/Earning Per Share

                                    = $2/20

                                    = 0.1

Market value per share = P/E Ratio × Earning per share

                                        = 8 × 20

                                         = $160

Dividend Yield =  Dividend per share/ Market Value Per Share

                         = $2/$160×100 = 1.25

Therefore the earning per share indicates the earnings of the company is attributable to the equity shareholders. The company's dividend payout ratio and dividend yield ratio indicate the percentage of earnings paid to shareholders via dividends.

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The following data relate to direct labor costs for the current period:
Standard costs
9,000 hours at $5.50
Actual costs
8,500 hours at $5.75
What is the direct labor rate variance?

Answers

Answer:$2,125 unfavorable

Explanation:

Given

Standard costs     9,000 hours at $5.50

Actual costs        8,500 hours at $5.75

we have two formulas to calculate  for direct labor rate variance is:

1ST ----Direct Labor rate variance = (Actual Rate- Standard Rate ) x Actual hour

=( $5.75 -$5.50) x 8,500 =  $2,125 unfavorable

2ND----Direct Labor Rate Variance=Actual Direct Labor Cost Incurred - Standard Direct Labor Cost Based on Actual Hours

=Actual Hours x Actual Rate -Actual Hours x Standard Rate

= ($5.75 x 8,500 hours)-($5.50 x 8,500 hours)

$48,875 - $46,750 = $2,125 unfavorable

when the  actual rate is higher than the standard rate, the Direct Labor Rate Variance is unfavorable and if the actual rate is lower than standard rate, the variance is favorable.

BUSN 101 quiz3
Ivy tech community college

Answers

Ivy Tech Community College is a public institution of higher education that serves communities throughout Indiana.

What is Ivy Tech Community College?

Generally, 'Established in 1963, the college offers more than 200 associate degree and certificate programs in fields such as business, health sciences, engineering, and public service.

Ivy Tech also offers online and hybrid courses and programs to provide students with the flexibility they need to pursue their educational goals.

In addition to its academic offerings, the college provides career services, financial aid services, and resources to help students succeed in their studies.

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what is the square root of 19995

Answers

19995 has a square root of around 141.429.

There are two square root for every positive integer x: a positive square root sqrt and a negative square root sqrt. By expressing the sign as display style pm sqrt x, the two roots may be conveyed more concisely. Even though the major square root is only one of a positive number's around two square roots, the phrase "the square root" is occasionally used to refer to it.

The context of complex numbers can be used to analyze square roots of negative numbers. More broadly, square roots can be taken into account in any situation where the concept of an object's "square" is established. Among other mathematical structures, these include square matrices and function spaces.

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Harlow Appliance has just developed a new air fryer it believes will have broad market appeal. The company has performed marketing and cost studies that revealed the below information:

Answers

Based on the positive NPV of $419,910, I would recommend that Harlow accept the device as a new product.

Net cash inflow for each year:

Year Sales in units Sales Revenue Variable Costs Contribution Margin Fixed Expenses Net Cash Inflow

1 6,000 $420,000 $240,000 $180,000 $130,000 $50,000

2 9,000 $630,000 $360,000 $270,000 $130,000 $140,000

3 10,000 $700,000 $400,000 $300,000 $130,000 $170,000

4 12,000 $840,000 $480,000 $360,000 $130,000 $230,000

5 9,000 $630,000 $360,000 $270,000 $130,000 $140,000

6 7,000 $490,000 $280,000 $210,000 $130,000 $80,000

Step 2/5

b. Based on the positive NPV of $419,910, I would recommend that Harlow accept the device as a new product. The NPV indicates that the project is expected to generate more cash inflows than outflows, providing a return higher than the required rate of return of 10%.

Step 3/5

3.

a. NPV calculation with a required rate of return of 12%:

Year Net Cash Inflow Present Value Factor (12%) Present Value

1 $50,000 0.893 $44,650

2 $140,000 0.797 $111,940

3 $170,000 0.712 $121,040

4 $230,000 0.636 $146,280

5 $140,000 0.567 $79,380

6 $80,000 0.507 $40,560

NPV = Present Value of Net Cash Inflows - Initial Investment

= ($543,850 - $157,500)

= $386,350

Step 4/5

b. Based on the positive NPV of $386,350, I would still recommend that Harlow accept the device as a new product even with a higher required rate of return of 12%. The project is still expected to generate more cash inflows than outflows, providing a return higher than the required rate of return.

Step 5/5

4. The general observation is that as the required rate of return increases from 10% to 12%, the NPV decreases from $419,910 to $386,350.

This suggests that the higher the required rate of return, the lower the expected return on investment for the project, which may reduce the project's attractiveness.

However, the project still generates a positive NPV at both

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Harlow Appliance has just developed a new air fryer it believes will have broad market appeal. The company has performed marketing and cost studies that revealed the below information:

A. New equipment would have to be acquired to produce the air fryer. The equipment would cost $157,500 and have a six-year useful life. After six years, it would have a salvage value of $7,500.

B. Sales in units over the next six years are projected to be as follows:

YEAR

SALES IN UNITS

1

4,500

2

6,000

3

7,000

4-6

10,000

C. Production and sales of the air fryer would require working capital of $30,000 to finance accounts receivable, inventories, and day-to-day cash needs. This working capital would be released at the end of the project’s life.

D. The air fryer would sell for $70 each; variable costs for production, administration, and sales would be $40 per unit.

E. Fixed costs for salaries, maintenance, property taxes, insurance, and straight-line depreciation on the equipment would total $100,000 per year. (Depreciation is based on cost less salvage value.)

F. To gain rapid entry into the market, the company would have to advertise and the costs would be:

YEAR

ANNUAL ADVERTISING ($)

1-2

$135,000

3

$112,500

4-6

$90,000

G. The company’s required rate of return is 10%.

Requirements

Based on the above details, please complete the below requirements for a total grade of 60 marks (5%).

1. Compute the net cash inflow (incremental contribution margin minus incremental fixed expenses) anticipated from sale of the device for each year over the next six years. (20 marks)

2. Using the data computed in (1) above and other data provided in the case,

(a) determine the net present value of the proposed investment rounding present value factors to three decimal places and amounts to whole dollars. (18 marks)

(b) Would you recommend that Harlow accept the device as a new product? Why? (2 marks)

3. Assuming instead that the required rate of return is 12% rather than 10%,

(a) determine the net present value of the proposed investment rounding present value factors to three decimal places and amounts to whole dollars. (15 marks)

(b) Would you recommend that Harlow accept the device as a new product? Why? (2 marks)

4. When comparing parts 2 and 3, what general observation do you notice? (1 mark)

The demand curve perceived by a perfectly competitive firm
A. shows that such a firm is a price-maker
OB. shows economies of scale over a large range of output
OC. is horizontal
OD. all of the above

Answers

Answer:

answer is option C

Explanation:BECAUSE the demand curve under a perfectly competitive firm is equal to AR and price which are horizontal i.e. parallel to y axis

a firm under this competition is a price taker which means to give tough competition to other competitors it cannot play price game so every competitor takes price from the industry

Which of the following is true of the master budget of a company?

a. It is a moving 12-month budget.
b. It corresponds to the calendar year of a company.
c. It is a comprehensive financial plan for an organization as a whole.
d. It is always prepared for a 5-year period.

Answers

Answer:

C, it's a plan for the entire organization.

Oakdale Fashions, Inc.’s, 2021 income statement is reported below. (Use corporate tax rate of 21 percent for your calculations.)

Oakdale Fashions, Inc.s, 2021 income statement is reported below. (Use corporate tax rate of 21 percent

Answers

a) The firm's 2021 tax liability was $35,595.

b) The firm's 2021 net income was $133,905.

c) The firm's 2021 average tax rate was 21%.

d) The firm's 2021 marginal tax rate was 21%, same as the average tax rate because companies are subject to a flat federal tax rate of 21%.

What is the tax liability?

The tax liability of a firm is the product of the average tax rate and the earnings before tax.

The net income is the difference between the earnings before tax and the tax liability.

Oakdale Fashions, Inc., Income Statement for 2021

Net sales (all credit)                                      $640,000

Less: Cost of goods sold                               245,000

Gross profits                                                 $395,000

Less: Other operating expenses                   120,000

EBITDA                                                         $275,000

Less: Depreciation and amortization              18,000

EBIT                                                              $257,000

Less: Interest                                                    87,500

EBT                                                               $169,500

Less: Taxes                                                   $35,595 ($169,500 x 21%)

Net income                                                  $133,905 ($169,500 - $35,595)

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Which of the following individuals is a product manager?

Answers

Answer:

The answer is ... Alyssa is in charge of her company's line of waterproof rain boots.

Hope this helps!! ;)

a Identify one factor that could result in a higher break-even point
b Calculate the forecast average monthly profit figures for the two menu
options.

a Identify one factor that could result in a higher break-even pointb Calculate the forecast average

Answers

1. One factor that could result in a higher break-even point is a reduced contribution margin per unit (or ratio).

2. The forecast average monthly profit figures for the two menu options are as follows:

                                    Current     Proposed

Revenue                    $48,000      $33,600

Variable costs              12,000          9,600

Contribution margin $36,000     $24,000

Fixed costs                 28,000       24,000

Net income                $8,000               $0

What is the break-even point?

The break-even point is the sales level that equates the total revenue to the total costs (fixed and variable).

When the break-even point is reached, there are no profits or losses.

To generate some profits, the sales level must exceed the break-even point.

Current Menu Option:

Revenue per week (600 at $20)  = $12,000

Total monthly revenue = $48,000 ($12,000 x 4 weeks)

Average variable cost per meal at $5 = $3,000

Total monthly variable cost = $12,000 ($3,000 x 4 weeks)

Overhead cost per week = $7,000

Total monthly overhead cost = $28,000 ($7,000 x 4 weeks)

Proposed Menu Option:

Revenue per week (600 at $14)  = $8,400

Total monthly revenue = $33,600 ($8,400 x 4 weeks)

Average variable cost per meal at $4 = $2,400

Total monthly variable cost = $9,600 ($2,400 x 4 weeks)

Overhead cost per week = $6,000

Total monthly overhead cost = $24,000 ($6,000 x 4 weeks)

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This is for Personal Finance:
I have attached the document below.
This needs to be done before the 28th.

Creating a New Budget to Meet Your Saving and Spending Needs project

I also need help filling out the chart.

2. Which budgetary category changed the most between your old budget and your new budget?
Why? (5 points)
3. How does your new budget help you to meet your short-term goal of buying a new laptop? (5
points)
4. How does your new budget help you to meet your long-term goal of saving for college? (5 points)

Answers

In any endeavors, the act of budgeting assists you in achieving your academic and financial objectives.

What is a budget?

It refers to the estimation of revenue and expenses over a specified future period of time which is usually re-evaluated on a periodic basis. Apart from the fact that budget will also assist you in anticipating unforeseen costs and challenges, it also necessitates difficult decision-making but creating goals will make the process easier.

Which budgetary category changed the most between your old budget and your new budget?

In this budget, the net savings changed the most, and this is because of the extra money coming in via total income. Also, an extra $290 was added to the category.

How does your new budget help you to meet your short-term goal of buying a new laptop?

The act of savings and making deposits can be a part of a short term goal by making a budget for being able to purchase a new laptop.

How does your new budget help you to meet your long-term goal of saving for college

When we make sure that savings are enough for college in the time you want in the budget, then, the new budget help you to meet your long-term goal of saving for college.

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Kuhn Co. is considering a new project that will require an initial investment of $45 million. It has a target capital structure of 35% debt, 2% preferred stock, and 63% common equity. Kuhn has noncallable bonds outstanding that mature in five years with a face value of $1,000, an annual coupon rate of 10%, and a market price of $1,050.76. The yield on the company’s current bonds is a good approximation of the yield on any new bonds that it issues. The company can sell shares of preferred stock that pay an annual dividend of $8 at a price of $92.25 per share. You can assume that Jordan does not incur any flotation costs when issuing debt and preferred stock. Kuhn does not have any retained earnings available to finance this project, so the firm will have to issue new common stock to help fund it. Its common stock is currently selling for $33.35 per share, and it is expected to pay a dividend of $2.78 at the end of next year. Flotation costs will represent 3% of the funds raised by issuing new common stock. The company is projected to grow at a constant rate of 9.2%, and they face a tax rate of 40%. Determine what Kuhn Company’s WACC will be for this project.

Answers

The answer to your question is 14.

Based on the given information, the WACC for this project is 8.14%.

What is WACC?

WACC stands for Weighted average cost of capital (WACC) which shows the typical after-tax cost of capital for a company from all sources.

The data given in the question is

N=15 years

FV=1,000

PV=-$1555.38

PMT=11%

CPT I/Y=5.48%%

The after-tax cost of debt calculation

After-tax cost of debt=Yield*(1-tax rate)

After-tax cost of debt=5.48%*(1-25%)

After-tax cost of debt=5.48%*75%

After-tax cost of debt=4.11%

the Cost of preferred stock

Cost of preferred stock=Dividend/Price

Cost of preferred stock=8/92.25

Cost of preferred stock=8.67%

Cost of common stock

Cost of common stock=Expected Dividend/(Price*(1-Flotation cost %))+Growth rate

Cost of common stock=2.78/(33.35*(1-8%))+5.48%

Cost of common stock=2.78/(33.35*0.92)+5.48%

Cost of common stock=(2.78/30.68)+5.48%

Cost of common stock=9.06%+5.48%

Cost of common stock=14.54%

the calculation for WACC is

WACC=58%*4.11%+6%*8.67%+36%*14.54%

WACC=8.14%

Therefore, the  WACC for this project is 8.14%

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Unscramble the vocabulary word from Chapter 18: genrocis

Answers

The vocabulary word from Unscramble term genrocis is Cosigner.

With the help of a word unscrambler, you may input all the letters you have in your possession, and the tool will reorganize them to show all conceivable word combinations. Some might be concerned that this is a cheating method.

When a borrower fails not to repay a loan as promised, a co-signer agrees to be held accountable for the debt. If you want to buy a big item, like a car, but you can't get a loan on your own, you could consider getting a co-signer. Cosigner is a person responsible for payment of the loan if you do not pay as promised.

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Katherine spends her days creating blueprints and design plans for construction managers and workers to view as they create structures. Based on this, what might Katherine’s job title be

A. seamstress

B. architect

C. safety officer

D. bulldozer mechanic

Answers

The answer is B
Architects design plans and make blue prints. The constructions worker follow the blueprints,

Hope this helps!

Answer:

B

Explanation:

doing this test !

PLEASE HURRY

If you are paid according to a rate of $15 per hour, what is your type of payment?
a. Commission
b Salary
C Wage
d. Pension
Please select the best answer from the choices provided
A
оооо
С

Answers

Answer:

C Wage

Explanation:

Wage is compensation paid per hour worked. The term wage is most applicable to piecemeal jobs. Wage is usually paid per hour, per day, per week, or a piece of work completed.

Wage differs from salary in that salary is a fixed amount of compensation paid after the lapse of an agreed time, mostly monthly. Wage is not a fixed amount but depends on the hours worked or the amount of work done.

Answer:

C

Explanation:

i took test 80% -w- lol

16. El Dorado Tire Company fired Bill Ballard, a sales execu-
tive. Ballard had a five-year contract with El Dorado but
was fired after only two years of employment. Ballard
sued El Dorado for breach of contract. El Dorado claimed
that any damages due to breach of the contract should be
mitigated because of Ballard's failure to seek other employ-
ment after he was fired. El Dorado did not provide any
proof showing the availability of comparable employment.
Explain whether El Dorado is correct in its contention.

Answers

Prevention of harm. Judgment for Ballard. In most cases, an employee's damages for the employer's breach of contract will be lessened by the amount she would earn if she found a similar job right away.

When does the company have the right to sue their previous employer for damages?

For the following reasons, the company is entitled to compensation from their previous employer:

There was no evidence that the employer provided equal employment opportunities. The company did not have any evidence to indicate whether the employee they fired could find a comparable position elsewhere.As a result of the company's breach, they are entitled to be fired by their employer before the end of their contract term in a position of comparable value and performance.

Damages mitigation. Ballard wins the verdict. The usual rule is that the amount an employee would make if she secured comparable work right away after termination will be used to offset the employee's damages for the employer's breach of contract. Yet, it is the violating party's responsibility to demonstrate the existence of such employment. The defendant must bring up the question of mitigation and demonstrate the accessibility of work that is similar. This implies that the only way El Dorado could satisfy its burden of proof was to demonstrate the existence of a managerial-type role in the tire sector. The regulation requiring the employer to demonstrate the availability of comparable jobs would be meaningless if the opposite were true. This requirement was not met by El Dorado.

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Which of the following might be a duty of a noninstructional aide?

A. Grade homework
B. Teach calligraphy
C. Tutor a child
D. Accompany a child to and from the lavatory

Answers

Tutor a child might be a duty of a non instructional aide. The Non-Instructional Aide supports the administration and instructors duty in maintaining a secure and disciplined learning environment and enforcing school rules.

Respects non instructional information about children, employees, and other administrative issues impacting the district with absolute secrecy. helps the teacher prepare and be ready for each day's activities; duty supports the teacher's efforts in the classroom. helps the teacher create lesson plans, curriculum, and lesson outlines in the designated topics. A person who assists a teacher in a classroom but is not a certified teacher is known as a teacher's aide.

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Consider total cost and total revenue, given in the following table:
In the final column, enter profit for each quantity. (Note: If the firm suffers a loss, enter a negative number in the appropriate cell.)
Total Cost Marginal Cost
(Dollars)
Quantity (Dollars)
0
1
2
3
4
5
6
7
5
6
8
11
15
20
26
35
05
06
07
Total Revenue Marginal Revenue
(Dollars)
(Dollars)
0
6
12
18
24
30
36
42
AAAAAAA
Profit
(Dollars)
In order to maximize profit, how many units should the firm produce? Check all that apply.
04

Answers

The solution to the given question when we consider total cost and total revenue, given in the following table:

The Financial Table

Quantity | Total Cost | Marginal Cost | Total Revenue | Marginal Revenue | Profit

------- | -------- | -------- | -------- | -------- | --------

0     | 5       | 5        | 0        | 0        | -5

1     | 11      | 6        | 6        | 6        | 1

2     | 17      | 6        | 12       | 6        | 5

3     | 24      | 7        | 18       | 6        | 4

4     | 31      | 8        | 24       | 6        | -7

5     | 39      | 8        | 30       | 6        | -9

6     | 47      | 8        | 36       | 6        | -11

7     | 55      | 8        | 42       | 6        | -13

As you can see, the firm's profit is maximized at quantity 3. This is because the marginal revenue is equal to zero at this point, which means that the firm is not making any additional profit by producing more units. In fact, if the firm produces more units, it will actually start to lose money.

Therefore, the answer to the question is 3.

In summary:

The firm's profit is maximized at quantity 3.This is because the marginal revenue is equal to zero at this point.If the firm produces more units, it will start to lose money.Therefore, the answer to the question is 3.

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Suppose there are 10 individuals with values as follows: {10, 8, 8, 8, 8, 8, 8, 4, 0, 0}. Construct a demand schedule (table), and calculate the marginal revenue of the second unit sold.

Answers

Answer:

so basically what you would do is  

Explanation:

i have no clue

Click this link to view O*NET's Work Activities section for Architects. Note that common activities are listed toward the
top, and less common activities are listed toward the bottom. According to O*NET, what are common work activities
performed by Architects? Check all that apply.
repairing and maintaining mechanical equipment
communicating with persons outside of the organization
drafting, laying out, and specifying technical devices, parts, and equipment
using dynamic flexibility to repeatedly bend, stretch, or twist with arms or legs
using night vision and peripheral vision
making decisions and solving problems
thinking creatively

Answers

Answer:

communicating with persons outside of the organization

drafting, laying out, and specifying technical devices, parts, and equipment

making decisions and solving problems

thinking creatively

Answer:

B, C, F, G

Explanation:

See attachment

Click this link to view O*NET's Work Activities section for Architects. Note that common activities are

Seven-Eleven does not allow direct store delivery in Japan but has all products flow through its distribution center. What benefit does Seven-Eleven derive from this policy? When is direct store delivery more appropriate?

Answers

The direct store delivery system can be said to be more appropriate if they are able to order products in bulk and they are to be used in large shops.

What is meant by direct store delivery?

The term is used to refer to the type of delivery that is done whereby goods would be distributed straight to the retail store straight up from the distributors and the suppliers of the goods.

In this type of delivery, there would be the by pass of the distribution center of the people that are the retailers. Hence we would say that The direct store delivery system can be said to be more appropriate if they are able to order products in bulk and they are to be used in large shops.

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what is the real name of rocky

Answers

Robert "Rocky" Balboa

What are three possible problems that could be causing the Internet connection issue?

Answers

The  three possible problems that could be causing the Internet connection issue is

Network Hardware IssuesService DisruptionConfiguration Issues

The internet connection may be interrupted by hardware issues on the network. This can involve broken network cables, modems, or routers. Intermittent or poor connectivity may be caused by malfunctioning or obsolete equipment.

There could be a service Disruption or outage for your local internet service provider (ISP). This can be because of upkeep, technological difficulties, or infrastructural challenges.

Internet access can be affected by problems with program settings, network arrangements, or incompatible applications. This may entail obsolete network drivers, incorrectly configured network settings, or issues with a firewall or antivirus software.

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