Current Liabilities and Ratios Several accounts that appeared on Kruse's 2017 balance sheet are as follows: Accounts Payable $55,000 Equipment $950,000 Marketable Securities 40,000 Taxes Payable 15,000 Accounts Receivable 180,000 Retained Earnings 250,000 Notes Payable, 12%, due in 60 days 20,000 Inventory 85,000 Capital Stock 1,150,000 Allowance for Doubtful Accounts 20,000 Salaries Payable 10,000 Land 600,000 Cash 15,000 Required: 1. Prepare the Current Liabilities section of Kruse's 2017 balance sheet. Kruse Partial Balance Sheet As Of December 31, 2017 Current liabilities: Accounts payable $ 55,000 Notes payable, 12%, due in 60 days 20,000 Taxes payable 15,000 Salaries payable 10,000 Total current liabilities $ 100,000 Feedback Prepare the liabilities section of the balance sheet. 2. Compute Kruse's working capital. __ 3. Compute Kruse's current ratio. __: 1

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Answer 1

In the following question, among the conditions given in the missing blanks about Current Liabilities, Kruse's working capital would be "$220,000". Kruse's current ratio would be "3.3:1."

The Current Liabilities section of Kruse's 2017 balance sheet would include the following accounts:
Accounts Payable: $55,000
Notes Payable, 12%, due in 60 days: $20,000
Taxes Payable: $15,000
Salaries Payable: $10,000
Total Current Liabilities: $100,000
Kruse's working capital is calculated by subtracting current liabilities from current assets. Current assets are Accounts Receivable ($180,000), Marketable Securities ($40,000), Inventory ($85,000), and Cash ($15,000). Therefore, Kruse's working capital would be $220,000.
Kruse's current ratio is calculated by dividing current assets by current liabilities. Current assets are $330,000 (Accounts Receivable $180,000 + Marketable Securities $40,000 + Inventory $85,000 + Cash $15,000), and current liabilities are $100,000. Therefore, Kruse's current ratio would be 3.3:1.

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Related Questions

Which of the following cannot be done through a mobile banking app?Making a depositWithdrawing cashChecking an account balanceTransferring money

Answers

Answer:

Withdrawing cash cannot be done from online banking app as you cannot have the money in your hand as it is online.

Ace Hardware has a rewards program for loyal customers. After a certain number of purchases, Ace sends a customer a gift card to be used within a two-month period. This example shows that _______.a. CRM thanks all customers for their business with a rewards cardb. consumers are loyal to companies that have rewarded loyalty with a gift cardc. consumers are only loyal to companies that have low pricesd. CRM techniques focus on rewarding all customers

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The correct option is option b. Consumers are loyal to companies that have rewarded loyalty with a gift card.

What is CRM? Customer relationship management (CRM) is an approach that businesses use to manage their interactions with clients or customers. A rewards program for loyal customers is one of the ways that companies can use CRM techniques to thank all customers for their business with a rewards card. Additionally, it is a way to promote customer loyalty.

CRM techniques concentrate on rewarding loyal customers. Companies do not focus on rewarding all customers. They focus on the customers who have proven to be loyal over time. For instance, Ace Hardware's reward program is only for loyal customers who have made several purchases from the store.

In conclusion, this example shows that consumers are loyal to companies that have rewarded loyalty with gift cards. By rewarding loyal customers, companies can promote customer loyalty and build strong relationships with their customers.

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money market security values are less sensitive to interest rate movements than bonds. a. true b. false

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Answer:

Money market security values are less sensitive to interest rate movements than bonds. This statement is true.

Explanation:

Why are money market security values less sensitive to interest rate movements than bonds?

Money market securities are short-term instruments with maturities of less than a year, such as Treasury bills, commercial paper, and certificates of deposit, which are normally thought of as low-risk, low-reward investments. Because the maturities of these securities are so short, their values are less affected by interest rate movements than bonds, which typically have maturities ranging from five to thirty years. Bonds with a longer time to maturity are more sensitive to interest rate changes, whereas money market securities with a shorter time to maturity are less sensitive to interest rate movements.Conclusion: The statement "Money market security values are less sensitive to interest rate movements than bonds" is true.

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ginormous oil entered into an agreement to purchase all of the outstanding shares of slick company for $60 per share. the number of outstanding shares at the time of the announcement was 82 million. the book value of liabilities on the balance sheet of slick co. was $1.46 billion. what was the cost of this acquisition to the shareholders of ginormous oil?

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The cost of acquisition to the shareholders of Ginormous Oil was $3.46 billion. The cost of acquisition to the shareholders of Ginormous Oil is the total cost of acquisition minus the net liabilities of Slick Co.

The cost of acquisition to the shareholders of Ginormous Oil can be calculated by the following steps:

Step 1: Calculate the total cost of acquisition.

The total cost of acquisition is given by the product of the number of outstanding shares and the price per share:

Total cost of acquisition = Number of outstanding shares × Price per share

The number of outstanding shares is given as 82 million and the price per share is $60.

Thus, the total cost of acquisition is: Total cost of acquisition = 82 million × $60 = $4.92 billion

Step 2: Determine the net liabilities of Slick Co.

The net liabilities of Slick Co. can be obtained by subtracting the book value of liabilities from the book value of assets on its balance sheet. Net liabilities = Book value of assets - Book value of liabilities

The book value of liabilities is given as $1.46 billion. We do not have the book value of assets, but we do not need it since we are only interested in the net liabilities. Therefore, the net liabilities of Slick Co. are: $1.46 billion.

Step 3: Calculate the cost of acquisition to the shareholders of Ginormous Oil

The cost of acquisition to the shareholders of Ginormous Oil is the total cost of acquisition minus the net liabilities of Slick Co.

Cost of acquisition to shareholders = Total cost of acquisition - Net liabilities of Slick Co.

Cost of acquisition to shareholders = $4.92 billion - $1.46 billion= $3.46 billion

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the decision about where to use control charts should focus on aspects of the process that . multiple choice question. have a tendency to go out of control, and affect product or service characteristics have the lowest cost of inspection, and require the least time to collect samples are visible to the customer, and can be automated

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The decision about where to use control charts should focus on aspects of the process that have a tendency to go out of control, and affect product or service characteristics. (The correct answer is A).

A control chart is a graphical representation of the process variation. Control charts are used to monitor whether a process is stable or unstable, and to identify when it is necessary to take corrective action. There are several reasons why an organization might use a control chart. For example, it can be used to monitor a process's performance over time, to identify trends or patterns in data, and to detect when a process is going out of control, therefore the correct answer is A.

It is important to use control charts in areas that have a tendency to go out of control, and that can affect product or service characteristics. For example, if a process involves the manufacturing of a product, it is important to use a control chart to monitor the process to ensure that the product is being produced consistently and to identify any problems that may be occurring. If a process involves providing a service, it is important to use a control chart to monitor the process to ensure that the service is being provided consistently and to identify any problems that may be occurring. In conclusion, the decision about where to use control charts should focus on aspects of the process that have a tendency to go out of control and affect product or service characteristics.

By doing so, organizations can ensure that they are using control charts effectively and efficiently to monitor their processes and to identify any problems that may be occurring.

Your question is incomplete as it misses the option letter, the complete question is:

The decision about where to use control charts should focus on aspects of the process that...

multiple choice:

A. have a tendency to go out of control, and affect product or service characteristics

B. have the lowest cost of inspection, and require the least time to collect samples

C. are visible to the customer, and can be automated

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according to research, employees with transformational leaders tend to have higher levels of which of the following?

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According to research, employees with transformational leaders tend to have higher levels of job satisfaction, organizational commitment, and productivity.

What is "transformational leadership"? Transformational leadership is a leadership approach that involves inspiring and motivating workers to achieve organizational objectives by involving them in the decision-making process and emphasizing individual and team development. The goal of transformational leadership is to create a constructive work atmosphere that inspires workers to be creative and effective in achieving organizational objectives.

What are the characteristics of transformational leaders? Transformational leaders demonstrate the following characteristics:

Visionary: They are able to paint a vivid picture of the future that inspires and encourages workers to strive to attain it. Charismatic: They have a magnetic personality that enables them to influence and motivate employees. Individualized consideration: They show consideration for each employee, taking into account their skills, needs, and aspirations.Intellectual stimulation: They challenge workers to think outside the box, question the status quo, and be innovative. Inspirational motivation: They set high standards and motivate employees to achieve them.

What are the benefits of transformational leadership for employees? Transformational leadership has several benefits for employees, which include:

Higher job satisfaction: transformational leaders inspire workers to be creative and productive, which leads to greater job satisfaction. Organizational commitment: Employees with transformational leaders are more committed to the organization because they feel valued and part of the decision-making process.Higher productivity: transformational leaders encourage workers to be productive and innovative, which leads to higher productivity and better organizational results.

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Under what circumstances is the strategic management style most appropriate?

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Strategic management style is most appropriate The manager does not need to be as directive and controlling when a group of employees are seasoned and get along well.

There are many different schools of thought when it comes to strategic management. Whereas a descriptive technique focuses on how strategies should be executed, a prescriptive approach to strategic management outlines how strategies should be created. Examining internal and external forces, managing resources, and developing strategies are all aspects of strategic management. Strategic leadership is the capacity of a leader to envision, plan, direct, and maximize the use of the resources at hand in order to successfully implement strategies. The ability of a manager to drive their team to fulfill the organization's strategic vision and the underlying goals for success is known as strategic leadership.

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record the sale of 125 units with a list price of $720, a 30% trade discount (if applicable), with terms of 2/10, n/30 under the gross method.

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Terms of 2/10, n/30 is a sales discount of 2% when paid within 10 days

What is Trade Discount?

A trade discount is given to reduce the cost of merchandise when the seller buys goods from the manufacturer. Sales discounts are discounts that are provided to the buyers on the original price of goods or services. The purpose of providing these discounts is to motivate customers to make purchases and maintain the buyer's loyalty. There are two types of sales discounts, one is a cash discount and the other is a trade discount. The cash discount is given to encourage buyers to pay their bills quickly.

To record the sale of 125 units with a list price of $720, a 30% trade discount (if applicable), with terms of 2/10, n/30 under the gross method, the following journal entry should be made:

Accounts Debit Credit Accounts receivable 75,600, Sales 75,600  [The sales amount is calculated by multiplying the number of units sold (125) with the net price (504).]

Calculation: List price for 125 units = 125 × $720 = $90,000

Trade discount at 30% = $90,000 × 30/100 = $27,000

Net price = $90,000 – $27,000 = $63,000

Net price per unit = $63,000 / 125 units = $504.

Terms of 2/10, n/30 is a sales discount of 2% when paid within 10 days; the gross method, on the other hand, recognizes the revenue at the full selling price without any reductions. Therefore, the full amount of the revenue is recorded in the sales account, and the sales discounts are recorded in a separate account. Since this question is asking for the gross method, the discount will not be deducted.

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Which of the following would be classified as an autonomous change to planned aggregate expenditure?
a. Current income in an economy increases
b. Domestic goods become more expensive relative to foreign goods
c. Congress decides to undertake an infrastructure repair project
d. Interest rates in an economy decrease

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The correct answer is C, Congress decides to undertake an infrastructure repair project. Autonomous changes to planned aggregate expenditure are changes in spending that occur regardless of the level of income.

This means that the change in spending is not caused by a change in income or production. An infrastructure repair project is an example of an autonomous change because it is a decision made by Congress that would cause an increase in planned aggregate expenditure, regardless of changes in income or production.

In contrast, option A, current income in an economy increases, is an example of an induced change in planned aggregate expenditure. An increase in current income will cause an increase in planned aggregate expenditure, so it is an induced change.

Option B, domestic goods become more expensive relative to foreign goods, is also an induced change in planned aggregate expenditure. If domestic goods become more expensive relative to foreign goods, households will spend more on domestic goods, resulting in an increase in planned aggregate expenditure.

Finally, option D, interest rates in an economy decrease, is also an induced change in planned aggregate expenditure. A decrease in interest rates will make it cheaper for households and businesses to borrow, leading to an increase in planned aggregate expenditure.

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A farmer sells a bushel of corn to the supermarket for $12. The supermarket then sells

the corn to customers for $25. What is the total contribution to GDP? (hint: be sure to

review intermediate vs. Final goods before answering this question).

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We must take into account whether the maize is an intermediate or final good in order to calculate the sale's contribution to GDP.

A good used as an input to create another good is known as an intermediary good. Because it will be processed and sold to customers as a finished commodity in this instance, the maize that was sold to the store is an intermediate good.

Contrarily, a final good is something that is sold to its final consumer and isn't employed as a raw material to create another good.

Hence, the value of the maize supplied to customers should be the only component of GDP.

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When faced with financial distress; managers of firms acting on behalf of their shareholders' interests will:
A. favor issuing large quantity of low quality debt to low quantity of high quality debt
B. favor paying high dividends to the shareholders
C. delay the onset of bankruptcy as long as they can
D. All of the above

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All of the above answers are correct.

When faced with financial distress, managers of firms acting on behalf of their shareholders' interests will favor issuing large quantity of low quality debt to low quantity of high quality debt in order to reduce the overall cost of debt. In addition, they will favor paying high dividends to the shareholders in order to provide an immediate reward for their investment.

Finally, they will delay the onset of bankruptcy as long as they can in order to preserve the value of the firm and allow time to explore other options to help the firm recover. All of these options are intended to reduce the impact of financial distress and help the firm recover.

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Passive Sentence: The report, Your prompt delivery, poor receipts, The recommendations, The analystsActive: I will finish, Please send me, Make sure, You should, He readOne way to immediately improve your writing is to use active rather than passive voice in most sentences.Active voice and passive voice contain the following grammatical patterns:Active voice: Doer as Subject + Verb + ObjectPassive voice: Object as Subject + Be Verb + Verb + Doer (Optional)Using active voice in writing includes many benefits. The doer-action-object pattern allows for faster processing because most people's natural thinking occurs in this way. It also emphasizes the business orientation of action. Perhaps most important, it specifies the doer. Since business activities depend on accountability and coordination, knowing the identity of the doer of an action is usually important. In most cases, active voice also makes your sentences more concise.Generally, active sentences are most effective in business writing. Passive sentences, however, are more effective when you want to avoid blaming or sounding bossy.In this exercise, you will identify whether sentences are in active or passive form.

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Passive sentences: The report, poor receipts, the recommendations, the analysts. Active sentences: I will finish, please send me, make sure, you should, he read. Using active voice in writing includes many benefits.

The doer-action-object pattern allows for faster processing because most people's natural thinking occurs in this way. It also emphasizes the business orientation of action. Perhaps most important, it specifies the doer.

Since business activities depend on accountability and coordination, knowing the identity of the doer of an action is usually important. In most cases, active voice also makes your sentences more concise.

Generally, active sentences are most effective in business writing. Passive sentences, however, are more effective when you want to avoid blaming or sounding bossy.

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marketers can classify business-to-business buying situations into three general categories: multiple choice new buy, repeat purchase, and modified purchase. new buy, straight rebuy, and modified rebuy.

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Marketers can classify business-to-business buying situations into three general categories: new buy, straight rebuy, and modified rebuy. Option B is the correct answer.

B2B (business-to-business) buying refers to companies that buy goods or services from other companies. Marketers can classify business-to-business buying situations into three general categories:

New buy: When a business has never purchased a product before, it is a new buy. In a new buy scenario, the organization must conduct a thorough investigation into possible suppliers, seek out recommendations from others in the sector, and research how the product can improve its operations. Straight rebuy: When a company repeatedly purchases the same products or services, it is known as a straight rebuy. Modified rebuy: When a company modifies its existing procurement procedures or purchasing requirements, it is referred to as a modified rebuy. A modified rebuy necessitates the company's attention, but not nearly as much as a new buy situation.

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The COSO ERM framework encourages a review of risks as they apply to achieving firms' objectives. Which of the following is not one of the listed categories of objectives to be considered? Multiple Choice
- Strategic
- Environment
- Operations
- Compliance

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In the following question, option 2). The COSO ERM framework encourages a review of risks as they apply to achieving firms' objectives. The category of objectives that are not listed to be considered is "Environment."

What is the COSO ERM framework?ERM stands for Enterprise Risk Management. The COSO ERM framework provides a framework for identifying, analyzing, and responding to enterprise-wide risks to an organization. It's a popular risk management framework used by businesses and nonprofit organizations all over the world to help them manage and mitigate risks to their operations, strategic objectives, and stakeholder value.

Why do companies need ERM? ERM is important for businesses for several reasons:

1. Helps in identifying potential risks and managing them accordingly.

2. Assists organizations in developing and implementing risk mitigation measures to lessen the possibility of material risk exposure.

3. Aids in increasing an organization's operational efficiency and performance by identifying and addressing operational risk factors. The objectives that are to be considered under the COSO ERM framework are:

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Manufacturers would prefer to produce in a country with a trade because it signals a greater opportunity to export products to more markets. discrepancy surplus bonus deficit balance

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Manufacturers would prefer to produce in a country with a trade surplus because it signals a greater opportunity to export products to more markets.

A trade surplus refers to a situation in which a country exports more goods and services than it imports, resulting in a net inflow of foreign currency. This provides a signal to manufacturers that there is a high demand for their products in foreign markets and that they have the potential to increase their exports, hence why they would prefer to produce in a country with a trade surplus.

Other answer choices and their meanings:

Discrepancy: A lack of compatibility or similarity between two or more facts, figures, or statistics.

Surplus: An excess of production or supply over demand.

Bonus: An extra sum of money given as a reward, typically to an employee.

Deficit: The amount by which something, especially a sum of money, is too small.

Balance: A situation in which different elements are equal or in the correct proportions.

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What are the 5 steps of financial planning?

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The five steps of financial planning are determining your current financial status, Developing financial goals, Developing financial strategies, Implementing financial strategies, and Monitoring or reviewing financial plans.

Financial planning is an important part of managing your money. There are five main steps to follow when creating a financial plan are,

Step 1: Determine your current financial status: In the first step of financial planning, one needs to determine their current financial status. In other words, it is a statement of an individual's personal and financial resources, liabilities, income and expenditure, and other financial commitments. Financial status should include all assets, income, and liabilities that an individual has.

Step 2: Develop financial goals: One needs to develop the financial goals that one wants to achieve. This goal can be in terms of savings, investment, and financial commitments. Goals can be short-term and long-term.

Step 3: Develop financial strategies: This helps individuals achieve their financial goals. One should consider all the financial options available to them and select the best one.

Step 4: Implement financial strategies: The fourth step in financial planning is to implement the selected financial strategies. An individual must select the best option from the financial strategies and start executing the plan.

Step 5: Monitor and review financial plans: The last step in financial planning is to monitor and review the financial plan. Financial planning is not a one-time process, and it needs to be reviewed regularly. It ensures that the financial plan is working in the right direction, and if not, corrective measures can be taken to rectify the problem.

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the new fund had average daily assets of $2.2 billion last year. the fund sold $400 million worth of stock and purchased $500 million during the year. what was its turnover ratio

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The new fund had an average daily asset of $2.2 billion last year. The fund sold $400 million worth of stock and purchased $500 million during the year. The turnover ratio of the fund is 40.9%.

What is the turnover ratio?

A fund's turnover ratio is the amount of time it takes to buy and sell assets during the year, as a proportion of the fund's holdings. The fund's turnover ratio is calculated as follows:

[tex]Turnover Ratio = Total Value of Transactions / Average Daily Assets[/tex]

The average daily assets of a fund are the average of the beginning and ending assets for the year. Given that the average daily asset is $2.2 billion and the fund sold $400 million worth of stock and bought $500 million worth of stock during the year, we can find the total value of transactions.

[tex]Total value of transactions = $400 million + $500 million = $900 million[/tex]

Now, we can substitute the values in the turnover ratio formula.

[tex]Turnover Ratio = Total Value of Transactions / Average Daily Assets\\= $900 million / $2.2 billion\\= 0.409 \\or \\= 40.90%[/tex]

Therefore, the turnover ratio of the fund is 40.9%.

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share a specific example of when you have been most satisfied with your work? what was most satisfying about that?

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Most of us feel comfort and satisfied when our hard work and effort is recognized and appreciated. Similarly, I also felt most satisfied with my work when I was given positive feedback by my supervisor.

A specific example of when I have been most satisfied with my work:

During my internship, I was assigned a project that required me to conduct market research for a company. The project was challenging, and I put in a lot of effort and dedication to ensure that it was completed on time and to the best of my ability. After submitting the project, I received feedback from my supervisor that not only met, but exceeded my expectations. The most satisfying aspect of the experience was knowing that my hard work had paid off and was appreciated by my supervisor. Additionally, this experience taught me the importance of dedication, hard work and commitment. It also helped me in developing an interest in marketing and motivated me to learn more about the subject.

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You've been asked to identify potential data analytical test by examining your clients master file record layouts. Which of the following would you most likely analyze based on the information in the master file?
A. Accounts payable activities
B. Employee pay rate changes
C. Production run variances
D. Increased to the customer credit limit

Answers

The correct answer is Accounts payable activities .

By examining the master file record layouts, you can analyze the accounts payable activities to identify any potential data analytical tests.

Master file is a comprehensive document or electronic database containing all of a company's records. This file is used to maintain and compile records for very transaction that the business completes.

Therefore, when examining the master file, you are most likely to analyze the Accounts payable activities.

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Comfort Company purchased 180 units of inventory on November 17, 2024. The units have a list price of $500 each, but Comfort was given a 25% trade discount. The terms of the sale were 2/10, n/30. Comfort uses a perpetual inventory system.
3. Prepare the journal entries to record the (a) purchase by Comfort on November 17 and payment on November 26, 2024, and (b) December 15, 2024 using the net method of accounting for purchase discounts.

Answers

Purchase journal entry: Inventory $67,500; Accounts payable $67,500; Payment journal entry: Accounts payable $66,150; Inventory $1,350. Journal entry for December 15: Accounts payable $66,150; Cash $66,150.

a) Journal entries to record the purchase by Comfort on November 17 and payment on November 26, 2024:

On November 17:

Inventory $67,500 ([$500 * 0.75] * 180 units)

Accounts payable $67,500

To record the purchase of 180 units of inventory on credit with a trade discount of 25%.

On November 26:

Accounts payable $67,500 x 0.98 = $66,150 ([$67,500 - ($67,500 * 0.02)] payment after discount)

Inventory $1,350 ($67,500 - $66,150)

To record the payment for the inventory on November 26, taking the discount for early payment.

b) Journal entry to record the December 15, 2024, using the net method of accounting for purchase discounts:

On December 15:

Accounts payable $67,500 x 0.98 = $66,150 ([$67,500 - ($67,500 * 0.02)] payment after discount)

Cash $66,150

To record the payment for the inventory on December 15, taking the discount for early payment using the net method.

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peavey enterprises purchased a depreciable asset for $26,500 on april 1, year 1. the asset will be depreciated using the straight-line method over its four-year useful life. assuming the asset's salvage value is $2,900, what will be the amount of accumulated depreciation on this asset on december 31, year 3? multiple choice $19,667 $23,600 $16,225 $4,917 $5,900

Answers

The amount of accumulated depreciation on the depreciable asset on December 31, Year 3 will be $16,225. Therefore, the correct answer is $16,225.

Depreciation is a method of accounting for the declining value of an asset over time. The straight-line method is one of the most common methods for calculating depreciation. It allocates an equal amount of depreciation each year of the asset's useful life.

Using the straight-line method, we calculate annual depreciation by subtracting the salvage value of the asset from its purchase price, then dividing by the useful life of the asset: Annual Depreciation = (Purchase Price - Salvage Value) / Useful Life Annual Depreciation = ($26,500 - $2,900) / 4 = $6,150

The prorated depreciation for Year 1 is:Prorated Depreciation for Year 1 = Annual Depreciation x (Number of Months in Service / 12) Prorated Depreciation for Year 1 = $6,150 x (9 / 12) = $4,613. The total accumulated depreciation at the end of Year 3 is : Accumulated Depreciation on December 31, Year 3 = $4,613 + $6,150 + $6,150 = $16,225Therefore, the correct answer is $16,225.

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Which was the a major result of the Crusades?
1. The Development of new economic interests for Europe
2. The permanent dominance of Christianity in the Middle East
3. A decentralization of the power of the Roman Catholic Church
4. A lessening in the power and influence of the European middle class

Answers

The Crusades were a series of religious wars fought between the Christian and Muslim kingdoms.

One of the main results of the Crusades was the development of new economic interests for Europe. Therefore, option 1, "the development of new economic interests for Europe," is the correct answer.

What were the Crusades?The Crusades were a series of military expeditions organized by the Catholic Church to recapture Jerusalem and other lands in the Holy Land from Muslim control, which was also known as the Holy War. The Crusades spanned from the eleventh century to the thirteenth century AD.

The Crusaders, who were Christian knights and soldiers, fought against the Muslim forces that ruled the Middle East. They fought for several reasons, including religious zeal, political reasons, and economic interests.

In addition to its religious significance, the Crusades have been viewed as a significant influence on Europe's political, economic, and social developments.

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. to choose the best alternative among the given alternatives in the annual cash flow analysis method, it is necessary to compute the euaw for each alternative over a period of one cycle only. true /false

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To choose the best alternative among the given alternatives in the annual cash flow analysis method, it is necessary to compute the EUAW for each alternative over a period of one cycle only. This statement is false.

Annual cash flow analysis is a process of analyzing an investment by considering the annual cash flows generated by the investment. It compares the total present value of the investment's expected annual cash inflows to the total present value of its expected annual cash outflows. This approach is used to determine whether or not an investment is worthwhile. In other words, the annual cash flow analysis must consider all of the investment's annual cash inflows and outflows over its entire lifespan.

The equivalent uniform annual worth (EUAW) is the total annual worth of an investment spread out over the same number of years as the lifespan of the investment. In other words, it is the uniform annual amount that represents the same net present value as the investment's total cash flows.

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Economic costs are defined as the sum of explicit and implicit costs. (true or false)

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It is absolutely incorrect, and highly irrelevant, to mention that the economic costs are the summation of explicit and implicit costs. Therefore, the said statement holds false.

The economic costs of a firm are heavily defined as the amalgamation of losses of goods owing to the value attached to them. It is also noteworthy to mention that the economic costs define the difference between the explicit as well as the implicit costs incurred by a firm in the economy during a particular period of time.

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which of the following conditions were of key importance to the development of the professions?
-the growth of industry
-advances in technology
-the growth of cities

Answers

The conditions of key importance to the development of the professions are the growth of industry, advances in technology, and the growth of cities. Thus, all three conditions are correct.

Professions are those vocations that are defined by specialized education, training, and an oath or code of ethics. The development of the professions was determined by many factors.

Among these factors were the growth of industry, advances in technology, and the growth of cities.

The growth of cities led to the development of professions. The demand for professions such as doctors, lawyers, architects, and engineers was high as a result of urbanization.

The development of cities necessitated the provision of services that were not required in rural areas, and this is where professions such as doctors, lawyers, architects, and engineers emerged.

Advances in technology played a critical role in the development of the professions. Advances in technology, such as the use of computerized machinery in manufacturing, have necessitated the hiring of experts who are skilled in managing these devices.

Therefore, professionals in technology-related professions such as engineers, computer scientists, and architects are in high demand.

The growth of the industry was also a key factor in the development of the professions. The industrial revolution, which began in the late 18th century and lasted until the mid-19th century, necessitated the creation of new professions.

Some of these professions include engineers, factory managers, and mechanics, all of whom played critical roles in the industrialization of nations. Thus, all three conditions are correct.

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Question 1
Which of the following would most likely result in higher income?
1. Ability to telecommute
2. Working part-time
3. Lower productivity
4. Unique, high-level job skills

Answers

Option (d), High-level, one-of-a-kind job skills would almost certainly increase income.

Which expertise is necessary for employees?

Almost all jobs necessitate critical thinking. Employees must be able to observe and draw conclusions from any kind of data, challenge hypotheses, and analyze any kind of data. Critical thinking is not only a skill but also a habit that aids in problem solving.

What are special skills?

Explicit capacities or gifts that make you a certified contender for a task are known as specific abilities. They may be directly related to the position, such as technical or practical skills, or they may have a more general purpose that makes them useful in a variety of settings.

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alice, amber, and andi make and sell pottery. alice is willing to sell a 5 inch pot for $40 , amber is willing to sell a 5 inch pot for $44 , and andi is willing to sell a 5 inch pot for $78 . if each of the ladies is able to sell one 5 inch pot for $80 , what is their combined producer surplus? combined producer surplus: $ if the price of a 5 inch pot is $50 , which of the ladies will sell their pots? andi only alice, amber, and andi alice only alice and amber

Answers

After finding the combined producer surplus we can say that Alice and Amber will be able to sell their pots, but Andi will not be able to sell hers.

The combined producer surplus for Alice, Amber, and Andi can be calculated by finding the difference between the selling price and their willingness to sell price, and then adding these values together.

For Alice, the producer surplus is $40, as she is willing to sell a 5 inch pot for $40 but is able to sell it for $80.

For Amber, the producer surplus is $36, as she is willing to sell a 5 inch pot for $44 but is able to sell it for $80.

And for Andi, the producer surplus is $2, as she is willing to sell a 5 inch pot for $78 but is able to sell it for $80.

Therefore, the combined producer surplus is $40 + $36 + $2 = $78.

If the price of a 5 inch pot is $50, Alice and Amber will be able to sell their pots, but Andi will not be able to sell hers.

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in a study of brand recognition of sony, groups of four consumers are not sure 0.30 interviewed. if x is the number of people in the group who recognize the sony brand name, then x can be 0, 1, 2, 3, or 4, and the corresponding probabilities are 0.0016, 0.0250, 0.1432, 0.3892, and 0.4096. does the given information describe a probability distribution? why or why not?

Answers

Yes, the given information describes a probability distribution because it shows the probabilities of different outcomes (x = 0, 1, 2, 3, or 4).

Probability distributions are used to describe random variables that can take on different values, and each value has an associated probability.

In this case, the random variable is the number of people in the group who recognize the Sony brand name, and the associated probabilities are given. This means that it is possible to calculate the expected value, variance, and other parameters of the distribution. Therefore, the given information describes a probability distribution.

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Strictly speaking, a (n) ________ is an entry strategy for a single target country in which the partners share ownership of a newly created business entity.A) acquisitionB) licensingC) franchisingD) joint ventureE) exporting

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Strictly speaking, a joint venture is an entry strategy for a single target country in which the partners share ownership of a newly created business entity.

What is a Joint Venture?

A joint venture (JV) is a business arrangement in which two or more parties pool their resources to undertake a specific commercial venture. In comparison to a partnership arrangement, a joint venture is a short-term partnership formed for a specific purpose.

In the context of a joint venture, two or more businesses agree to work together in the creation of a third business entity that they both own and operate together. In addition, the parties that form a joint venture are typically unable to achieve their business objectives on their own.

What is a single target country?

A single target country is a country that a business aims to enter and operate in. A single target country approach involves developing products and services for a single country or region, with no intention of expanding beyond the borders of that country.

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your calculations reveal that a proposed it investment will yield a savings in your department of $45,000 per year for the five year planning period. what is the net present value of that savings, assuming a discount rate of 8%?

Answers

The net present value of the savings is $180,723.

This is calculated by taking the future value of the savings, discounted by 8% for 5 years, and subtracting the present value of the investment.

To calculate the future value of the savings, multiply $45,000 by the compound interest formula: FV = PV x (1 + i)^n, where PV is the present value, i is the interest rate, and n is the number of years.

This yields a future value of $259,097. To calculate the present value of the investment, multiply the investment cost by the same formula: PV = FV / (1 + i)^n.

This yields a present value of $78,374. Subtracting the present value from the future value yields a net present value of $180,723.

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