If property is converted from personal-use property to business property, the depreciable cost basis is which of the following? Multiple Choice

Answers

Answer 1

The foundation for converting the personal property to commercial use is the lesser of the conversion's fair market value or the conversion's cost.

What happens to the depreciable cost of personal-use property converted to the business property?

The basis for personal property used for business purposes is the lowest of the fair market value at the moment of conversion or the purchase price plus any upgrades or additions, less any casualty losses that have been subtracted up until the conversion.

You must assign the basis if the acquisition price of the property includes both depreciable and non-depreciable items (for instance, land and a building), or if you utilize the property for both commercial and private purposes.

Purchase of a structure and land in one transaction. It is common for a company to buy both property and an office building. In certain situations, the building is only responsible for paying a fraction of the fee.

Learn more about depreciation, here:

https://brainly.com/question/15024945

#SPJ1


Related Questions

A good filing system shares all of the common characteristics of a _________.
a.
Highway -- files often travel to different destinations
b.
Database -- it must store information for easy access and retrieval
c.
Business -- each folder must have a unique structure to serve different clients
d.
Library -- all files, whether they are used or not, must be in one location

Answers

Answer:

I'm pretty sure that the answer is option b (Database).

Your new marketing assistant just handed you a presentation that you are to give on
the phases of an effective social media marketing campaign. One of the slides lists the
phases of a typical campaign as follows:
1. Goal setting
2. Develop strategies
3. Target audience
4. Produce content
5. Implement the plan
6. Monitor
7. Measure
Is there anything wrong with the ordering of these phases?
O No, the phases are listed in the correct order.
O Yes, the phases are ordered incorrectly. Measure and Monitor should be switched.
O Yes, the phases are ordered incorrectly. Target audience and Develop strategies
should be switched.
O Yes, the phases are ordered incorrectly. Goal setting and Develop strategies
should be switched.
O Yes, the phases are ordered incorrectly. Produce content and Target audience
should be switched.

Answers

Yes, the phases are ordered incorrectly. audience and Develop strategies should be switch.

Tell all about slides lists ?

Goal Setting: Goal-setting is that the process of taking active steps to achieve your desired outcome.

Develop strategies: Strategy development may be a company's plan to achieve consistent growth. this system lists detailed data and objectives that describe how your team plans on accomplishing each goal.

Target audience: A audience is a group of people defined by certain demographics and behavior. Often, businesses use what they realize their target audience to create user personas. These personas guide their decisions on marketing campaigns.

Produce content: Content production is that the process of developing and creating visual or written assets, like videos, eBooks, blog posts, whitepapers, or infographics.

Implement the plan: An implementation plan—also referred to as a strategic plan—outlines the steps your team should take when accomplishing a shared goal or objective. This plan combines strategy, process, and action and can include all parts of the project from scope to budget and beyond

Monitor: Monitoring is that the regular observation and recording of activities taking place in a project or programme. it's a process of routinely gathering information on all aspects of the project. to watch is to check on how project activities are progressing. it's observation; ─ systematic and purposeful observation

Measure: the method of associating numbers with physical quantities and phenomena. Measurement is prime to the sciences; to engineering, construction, and other technical fields; and to most everyday activities.

Learn more about Social media marketing campaign

https://brainly.com/question/11698706

#SPJ9

Employment assessments are only used during the hiring phase of employment.


Please select the best answer from the choices provided

T
F

Answers

Employment assessments are only used during the hiring phase of employment. The given statement is true.

Why is pre-employment assessment important?

Without conducting an interview, you will be able to forecast a candidate's success on the job and how they will fit into the company culture. Because they are standardized, you may use them to assess both personality traits and a wider range of skills.

Saves a lot of money compared to having the exam done in person. Multiple candidates may take the tests in different places. As it is done by a computer, the outcomes are more accurate. Online tests have the advantage of allowing test-takers to take the exam whenever and wherever they'd like.

Learn more about Employment assessments here:

https://brainly.com/question/1446509

#SPJ1

What is a technique used to obtain primary data?

A. gaining access to an unpublished government report from the Federal Trade Commission (FTC)

B. conducting personal interviews with potential customers

C. establishing a database to store and cross-index articles from leading academics and researchers

D. reviewing the best-selling trade books and textbooks that present marketing principles

Answers

B. Conducting personal interviews with potential customers

Personal interviews with prospective clients are one method for gathering primary data. Thus, option (B) is correct.

What is the interview?

An interview is an organized dialogue in which one person asks questions and the other responds. The term “interview” is commonly used to refer to a one-on-one talk between an interviewer and an interviewee. Individual and group interviews are the two forms of interviews. Interviews with individuals:

There are many techniques to gather primary data. However, self-administered surveys, interviews, field observations, and experiments are the most popular methods.

Therefore, Thus, option (B) is correct.

Learn more about interviews here:

https://brainly.com/question/13073622

#SPJ2

Which one of the following accounts will not appear in a balance sheet?
a.) accounts payable.
b.) accounts receivable.
c.) retained earnings.
d.) Owners' equity.
e) utility expanse.

Answers

Answer: Owners' Equity

Explanation: Assets=Liabilities+Shareholders’ Equity

Technically owner's equity is an asset of the business owner—not the business itself

Explain how implementing these public policies could result in “trade-offs” that harm other broad social goals


Helppppppppppp

Answers

Placing a tax on soda restricts the freedom of producers and consumers to sell and buy a legal food.If the tax restricts consumption  of sugary drinks and leads to reduced obesity, this may improve economic security for workers and if this improves productivity, it can increase economic growth.

Providing subsidies for farmers increases security for the farmers and for consumers who see more stable food prices.However, subsidies result in inefficient farms remaining in business and keep food prices artificially low, harming lower-cost farm producers in other countries. Low food prices may be viewed as providing equity for consumers.

What is economic systems?

All economic systems strive to achieve a set of broad social goals, including economic efficiency, equity, freedom, growth, security and stability. How these goals are prioritized and how successful an economy is at attaining these goals influences the quality of life for all its citizens.

Achieving theses goals is difficult because although the goals complement each other in some cases but in many cases there are trade-offs to face.

What is Trade-offs?

It is a situational decision that involves diminishing or losing one quality,quantity or property of a set or design in return for gains in other aspects.

To know more about Trade-offs refers to :

https://brainly.com/question/17959332

#SPJ13

A customer paid Critter Sitters Animal Care cash for dog sitting services. Which two accounts are impacted by this transaction?
O cash and accounts payable
O Cash and sales
O Sales and accounts payable
O Sales and accounts receivable

Answers

In the books of Critter Sitters Animal Care, the two accounts impacted by the cash sales transaction are B. Cash and sales.

What are the accounting impacts of cash sales transactions?

When a customer pays for services or the sale of goods, the selling entity will debit its cash account and credit its service revenue or sales revenue account.

For the paying customer, the accounting impact is to debit purchases, expenses, or inventory and credit the cash account.

These debit and credit entries agree with the double-entry system of accounting and the accounting equation that states that assets are equal to liabilities and equity, given each business transaction.

Transaction Analysis for Critters:

Cash $ Sales $

Thus, Critters Sitters Animal Care should debit its cash account and credit its sales revenue account.

Learn more about the accounting impact of transactions at https://brainly.com/question/24004173

#SPJ1

High Step Shoes had annual revenues of $204,000, expenses of $113,200, and paid dividends of $25,600 during the current year. The retained earnings account
before closing had a balance of $316,000. The Net Income for the year is:

Answers

Based on the annual revenues to High Step Shoes and the expenses, the net income for the year can be found to be $90,800

Find out more below.

What is net income?

The net income that a company gets refers to the revenue that it gets to keep after the various expenses have been accounted for and then deducted from this revenue.

The net income to High Step Shoes is therefore:

= Annual revenues - Expenses

= 204,000 - 113,200

= $90,800

In conclusion, the net income for the year will be $90,800.

Find out more on net income at https://brainly.com/question/15530787

#SPJ1

Suppose that a company has a beta of 1.25, the current dividend is 6 euros per share, the
risk-free rate is 5% and the equity market risk premium is 4%. The stock is currently trading at 94 euros.
Determine the constant dividend growth rate that would be required to justify the market price of 94
euros.

Answers

The constant dividend growth rate that would justify the market price of 94 euros is 3.4%.

What is the growth rate?

The Gordon constant growth formula can be used to determine the value of a stock given its dividend, growth rate and the required rate of return.

Value of the stock = next dividend / (required return - growth rate)

V = D1 / r - g

Where:

D1 = current dividend x (1  + growth rate)

V = D0 / (r - g)

The first step is to determine the required return. The required return can be determined using the capital asset pricing model.

Required return = risk free rate of return + (beta x risk premium)

5% + (4 x 1.25)

5 + 5 = 10%

Substitute for r V and D0 in the constant growth formula:

94 = 6 (1 + g) / (0.1 - g)

94(0.1 - g) = 6(1 + g)

9.4 - 94g = 6 + 6g

9.4 - 6 = 94g + 6g

3.4 = 100g

g = 3.4 / 100

g = 0.034

g = 3.4%

To learn more about the constant growth model, please check: https://brainly.com/question/13033754

#SPJ1

Please help instructions are attached.

Answers

lease follow the instructions in the browser window. Press "Yes" if you have authenticated and "No" if you failed. The breakdown of this total is shown in the ...

Which of the following statements about the taxation of partnerships is true?
1) Both the partnership and the individuals are taxed for any profits earned.
2.) Partnerships file tax returns but pass profits and losses on to partners who report them on their tax returns.
3) Partnerships use corporate tax rates in filing returns.
4) Partnerships are limited in taxes depending on number of partners.
5) None of the above about the taxation of partnerships is true. ​

Answers

Answer:

answer is choice #2

- Partnerships file tax returns but pass profits and losses on to partners who report them on their tax returns.

The following statements about the taxation of partnership are true Partnerships file tax returns but pass profits and losses on to partners who report them on their tax returns. The correct option is B.

What happens to losses in a partnership?

If a partner's share of partnership losses exceeds its outside basis in a given taxable year, the losses are allowed to the extent of the basis, with any excess amount carried over to the next taxable year in which the partner has an outside basis available.

A partnership does not pay tax on capital gains or losses, and they are not reported on an income tax and benefit return. Members of the partnership, on the other hand, report their portion of the partnership's capital gains or losses on their personal returns.

Thus, the ideal selection is option B.

Learn more about the partnership here:

https://brainly.com/question/19988417

#SPJ2


Describe the impact of the COVID-19 pandemic on the PESTE environment/s and on
The accommodation industry

Answers

The COVID-19 situation is mostly having a severe impact on service-oriented industries like the hospitality sector.

Describe the COVID-19 pandemic's effects on the PESTEL settings.

The current COVID-19 epidemic has also raised concerns about the state of the world's healthcare systems. The COVID-19 outbreak has affected more than 48 million people worldwide, and roughly 1.2 million people have already died as a result (Health Bulletin, WHO, 06th Nov 2020). Therefore, health emergencies have placed a particularly heavy load on daily tasks and commercial enterprises.

Dimensions of sustainable HCWM using PESTEL

In this study, the microenvironment surrounding the COVID-19 pandemic's sustainable HCWM has been examined from six key perspectives: political, economic, social, technological, environmental, and legal.

Political aspects- Political interventions are necessary through the regulatory authority to establish and oversee the constitutional framework for managing the HCW during the COVID-19 epidemic.

Financial aspects- As part of the economic sustainability of HCWM, the current study has found the following factors: I Government investment policies during the COVID-19 outbreak; ii) Relaxed taxation during disease outbreaks; and iii) HCW disposal/treatment expenses.

Social aspects- The following sustainable HCWM dimensions have been taken into account in the current study to ensure social well-being during the COVID-19 outbreak: I Community displacements and disturbances during the COVID-19 outbreak; ii) Social awareness about infectious HCW; and iii) Compensation for the local community.

Technology-related aspects- During the COVID-19 outbreak, the following technological aspects were taken into account for sustainable HCWM: I cutting-edge incineration technology to treat infectious HCW; ii) tracking-based supply chain (collection, storage, and transportation) of HCW; and iii) routine contact point sanitization.

Aspects of the environment- The following aspects of a sustainable environment have been taken into consideration in this study for managing HCW during the COVID-19 outbreak: I Modified environmental policy for containing the outbreak; ii) Effluents and emissions management at treatment facilities.

Legal measurements- To ensure the sustainability of the HCWM system during the COVID-19 outbreak, the current study has taken into account the following legal aspects: I design a unique environmental policy for COVID-19 hospitals, and ii) comply with environmental legislation.

Give examples of how the lodging sector has been affected by the COVID-19 outbreak.

The hotel industry is among the most severely impacted by COVID-19, which has had an impact on every industry worldwide. According to our research, it might take until 2023 or later for recovery to pre-COVID-19 levels. The underperformance of US lodging real estate investment trusts indicates that investors have similar perspectives on the future of hotel companies (REITs). The hospitality sector will experience changes in the post-pandemic era, both small-scale and significant. Today, some of them are already obvious.

Learn more about the COVID-19 outbreak: https://brainly.com/question/28347122

#SPJ13

Which of the following is not an advantage of using Macabacus’ Export to PowerPoint/Word features in the Excel add-in?

Answers

Answer: Exported object/text in PowerPoint/Word are linked to Excel data and can be refreshed within the Excel add-in when the data is modified

Explanation:When refreshing links to reflect updated Excel workbook content, it can be directly done in the PowerPoint add-in by simply clicking the Refresh button. Neither the source workbook nor Excel need to be open to refresh linked shapes.

You are currently paying off a $5,000 car loan with a 5% fixed interest rate. Is inflation helping you or hurting you? Why?

Answers

If you are paying off a car loan with a fixed interest rate, then it can be inferred that inflation is helping you.

How does inflation affected fixed interest payers?

Inflation refers to the general rise in the prices of goods and services over time. It therefore leads to the value of money reducing. For instance, thanks to inflation, the value of a dollar in 1988 is more than the value of a dollar in 2023.

If one is paying a fixed interest rate on a loan, it means that they are paying the same amount in interest regardless of inflation. This means that they are actually paying less because inflation has reduced the value of the amount they pay. There are therefore being helped.

Find out more on inflation at https://brainly.com/question/28499836

#SPJ1

2. Find the single equivalent discount for the series discount 25/5/5.

Answers

The single equivalent discount for the given series is 32.32%

Single  discounts are commonly called  as “one-off” discounts that the  business offers to customers or clients when their buying  meet a specific condition that would trigger that discount.

Calculating:

Let the market price of the article be 100

Then , a single discount equivalent to discount series is

=  (100  - [tex]\frac{100-25}{100}[/tex]  × [tex]\frac{100- 5 }{100}[/tex] × [tex]\frac{100 - 5 }{100}[/tex] × 100)%

=( 100- [tex]\frac{75}{100}[/tex] ×[tex]\frac{95}{100}[/tex] × [tex]\frac{95 }{100}[/tex] × 100)%

=(100- 0.75× 0.95× 0.95× 100) %

=(100 - 67.68) %

= 32.32%

The discount equivalent is 32.32%

What is trade discount with example?

Trade discount  is a reduction in the published price of the product. For instance , a high-volume wholesaler might be entitled to a higher discount in comparison to  a medium or low-volume wholesaler. Usually, a retail customer will not get  any discount and must pay all the  published price.

Learn more about equivalent discount:

brainly.com/question/21107340

#SPJ9

Earnings (net income) $ 189,000
Preferred stock (13,100 shares at $30 par, 4%) $ 393,000
Common stock (43,700 shares no par, market value $52) 514,000
Retained earnings 581,500
$ 1,488,500
Less: Treasury stock
Preferred (1,700 shares) $ 55,000
Common (1,700 shares) 30,000 85,000
Total stockholders’ equity $ 1,403,500

Required
a. Calculate the Stuart Company’s earnings per share ratio, price-earnings ratio and return on equity ratio

Answers

The computation of the Stuart Company’s earnings per share ratio, price-earnings ratio, and return on equity ratio is as follows:

The earnings per share ratio are  $4.17.The price-earnings ratio is 12.5x.The return on equity ratio is 16.45%.

What are the earnings per share ratio?

The earnings-per-share ratio is the net income after deducting the preferred dividends divided by the number of common stock shares outstanding.

What is the price-earnings ratio?

The price-earnings ratio shows the relationship between the current market price and the earnings per share for the current period.

To compute the price-earnings ratio, which shows the market value of the shares or how much investors can pay for them, obtain the earnings per share and the current share price.

What is the return on equity?

The return on equity is the percentage of the returns available for common stockholders and the equity value at the beginning of the period.

Earnings (net income) $ 189,000

Preferred stock (13,100 shares at $30 par, 4%) $ 393,000

Common stock (43,700 shares no par, market value $52) 514,000

Retained earnings 581,500

$ 1,488,500

Less: Treasury stock

Preferred (1,700 shares) $ 55,000

Common (1,700 shares)     30,000 85,000

Total stockholders’ equity $ 1,403,500

Earnings (net income) = $189,000

Preferred Dividend = $13,680 (13,100 - 1,700 x $30 x 4%)

Net income after preferred = $175,320

Earnings per share ratio = Net income/Number of common shares outstanding

= $175,320/(43,700 - 1,700)

= $4.17

Price-earnings ratio = Current market price/Earnings per share

= $52/$4.17

= 12.5x

Return on equity ratio = Net income after preferred dividend/Equity

= $175,320/$1,065,500 x 100

= 16.45%

Learn more about balance sheet ratios at https://brainly.com/question/16400879

#SPJ1

I’m ancient times, memory was a vital component in public speaking because?

Answers

Rhetoric was the primary element of composition and speaking speech delivery in classical Greece and Rome, both of which were essential abilities for individuals to utilise in both ancient public and private life.

Citizens in ancient Greece spoke for themselves rather than having experts, such as modern lawyers, speaking on their behalf. One can better understand the present by studying history. Consider studying ancient history if you're interested in learning how the art of public speaking has changed over time. About 2,500 years ago, in ancient Athens, public speaking was invented. Men were expected to speak as part of their civic responsibilities, which included doing so in legislative bodies and in court.

To learn more about ancient, click here.

https://brainly.com/question/505050

#SPJ1

You are a newspaper publisher. You are in the middle of a one-year factory rental contract that requires you to pay $500,000 per month, and you have contractual salary obligations of $1,000,000 per month that you can’t get out of. You also have a marginal printing cost of $0.35 per paper as well as a marginal delivery cost of $0.10 per paper.

please look at the attached image, I would love some help because I'm confused!

Answers

If sales fall by 20 % from 1,000,000 papers per month to 800,000 papers per month, the AFC per paper will rise from $1.5 per paper to $1.875 per paper.

Since the marginal printing cost is $0.35 per paper and the marginal delivary cost is $0.10 per paper.It will not be affected with a decrease in the sales of paper per month

If the sales decrease from 1,000,000 to 800,000 then for break-even point, the minimum price charged will increase from $1.95 per paper to $2.325 per paper

How to calculate the value?

Total fixed cost = 500,000+ 1,000,000

=$ 1,500,000 per month

If the sales of paper falls from 1,000,000 per month to 800,000 paper per month.

AFC= total cost / quantity of paper

if salesis 1000,000

AFC=1,500,000/1,000,000

=$1.5 per paper

If sales is 800,000

AFC=1,500,000/800,000

=$1.875 per paper

Learn more about sales on:

https://brainly.com/question/25586322

#SPJ1

True or False: Logistics management is the primary process of supply chain management.

True or False: The Economic Production Quantity depends in part on the maximum inventory and setup costs.

Answers

Answer:

1 .)True

2.)True

Explanation:

thanks for the points

We're Not Broke - The Corporate Tax Cheats of America - Discussion Questions

Answers

We're Not Broke film describes the consequences of a rigid tax policy so riddled with loopholes that multinational corporations with billions of dollars in annual revenue can get away with paying no federal taxes. We're Not Broke film contends that there is the untapped political will to change this.

We're Not Broke tells the story of how corporations have been able to hide over a trillion dollars from the government, and how citizens across the country take to the streets to express their displeasure—and vow to hold them accountable.

To learn more about ethics of taxes, refer:

https://brainly.com/question/28738412

#SPJ1

What company was sued in 2004 for claiming that their products were made in the
United States when components of the finished products actually came from China,
Austria, and Denmark?
Rawlings
Craftsman
Beats
Stetson

Answers

Craftsman was the company that was sued in the year 2004 due to the claims that they made their products in USA while it was made in other nations.

Why was Sears Craftsman sued?

This business was known to be hit by a lawsuit in the year 2004. The case was based on the fact that the business had conducted false advertising at the time in the nation. This was the Craftsman tool line that was said to be made in America.

The lawsuit had that the people that went on to buy the tools did so because they were being patriotic since it was said to have been made in America.

The pictures that were attached in the lawsuit went on to show that hthe parts of the product were made in different areas of the world such as India, Austria, Denmark and also in places such as Mexico.

The plaintiffs that were the ones making the case at the time were people such as Sidney Hyatt and Elaine Hyatt in this court case.

Read more on lawsuits here:

https://brainly.com/question/1065754

#SPJ1

The company, where you are working, wants to implement a quality management system based on the standard of ISO 9001:2015. As a quality consultant to the company, elaborate on the steps that you will undertake to achieve its implementation.
Include in your answer the different types of documentations required.

Answers

The steps which i will take will be as followed - i will Identify the Responsibilities, Policies, and Objectives, clear and Develop the Documents, Launch the Quality Management System, review the Performance, Assess and Register for Certification and maintain Continual Improvement.

How to keep your company's ISO 9001 certification ?Determine the best implementation strategy for your business.Conduct planning and diagnostics.Run training sessions. .Include your staff in this upkeep. Conducting internal audits. Think about using a software planning and development company's support.How is the Quality Management System maintained?Suggestions for enhancing your Quality Management SystemSubstitute processes for procedures. .Change the system so that more people, not fewer, control it. Remove Extraneous Documents. Investigate Using Lean Management Principles. Utilize software that can save archival data.

To know more about ISO 9001 here-
https://brainly.com/question/13541387
#SPJ9

what would be the most important factors to consider for the network channel design

Answers

The most important factors to consider for the network channel design would be network resilience and redundancy; software and hardware standards; and integrated security mechanisms.

There are four crucial factors in network design that you must take into account if you want a network that is dependable, secure, and efficient. Solid network architecture will be more durable and provide overall higher performance. The ideal platform for all the apps you want to utilize is provided by effective networks, which operate swiftly and effectively.

Network design is the process of organizing and putting into place a computer network architecture. The majority of the time, network designers, engineers, IT administrators, and other relevant staff members do network design. It is carried out prior to the installation of a network infrastructure.

Learn to know more about network channels on

https://brainly.com/question/19734489

#SPJ9

A target return profit pricing objective implies that a company chooses to

Answers

A target return profit pricing objective implies that a company chooses to select a profit target, which is frequently decided by its board of directors.

A target return is a pricing strategy that is tightly linked to an investment in a particular project or product. The target return is determined using the total amount invested in a certain project, as well as the profit the investor expects to get in return, and adjusting for the time value of money. Target return pricing is a method for determining a product's price based on the anticipated rate of return on investment.

Target return pricing is a pricing approach used by e-commerce specialists to assist them to establish the price of a product based on the projected rate of return of their business. In other words, it is the profit that the firm may expect in the future from a specific investment.

Learn to know more about return profit on

https://brainly.com/question/16725994

#SPJ9

A decrease in the Supply of Loanable
Funds increases the interest rate. With
which of the following does this
correlate?
A. leftward shift in supply
B. rightward shift in supply
C. no shift in supply

Answers

A decrease in the supply of loanable funds causes a leftward shift in the supply curve.

Hence, Option A is Correct

A movement to the left on the demand curve indicates a decline in the demand for loanable funds. The amount of loanable money will decline, and real interest rates will rise, as a result of these two changes.

The actual interest rate will decline as loanable funds become more plentiful.

The actual interest rate will rise as the availability of loanable money declines.

To learn more about Supply Curve, click the links

https://brainly.com/question/6075885

#SPJ9


What are some public policies and what the broad social goals that are most likely targeted by the policies?


Help please:/

Answers

Answer:

Students work in small groups and are assigned a version of diary excerpts written by a student intern working for a policymaking legislator. Half the groups read a diary that focuses on stability, security, and equity as broad social goals. The other half read a diary that focuses on freedom, efficiency, and growth. Students determine which broad social goals are emphasized in their reading.  During a debriefing, students will discuss broad social goals and identify how trade-offs arise when a society pursues competing social goals. Finally, students choose a current social issue and develop a public policy to deal with that issue, identifying the goals they are attempting to achieve and trade-offs that might arise in terms of other worthy goals.

Explanation:

A coin sold at auction in 2019 for $1,965,500. The coin had a face value of $5 when it
was issued in 1794 and had been previously sold for $305,000 in 1971.
b.
At what annual rate did the coin appreciate from its first minting to the 1971 sale?
(Do not round intermediate calculations and enter your answer as a percent
rounded to 2 decimal places, e.g., 32.16.)
What annual rate did the 1971 buyer earn on his purchase? (Do not round
intermediate calculations and enter your answer as a percent rounded to 2
decimal places, e.g., 32.16.)
At what annual rate did the coin appreciate from its first minting to the 2019 sale?
(Do not round intermediate calculations and enter your answer as a percent
rounded to 2 decimal places, e.g., 32.16.)
Answer is complete but not entirely correct.

Answers

At the annual rate of 0.0642 or 6.42% the coin did appreciate from its first minting to the 1971 sale.

Given,

Coin sold at auction in 2019 for - $1,965,500

Face value - $5

Previously sold for - $305,000

Annual rate - ?

The period 't' between the year when the coin was issued, 1794, and 1971 is:

t = 1971 - 1794

t = 177 years

So, if the coin had a value of $5 and after a period of t=177 years it was worth $305,000, the annual rate by which the coin appreciated from its first minting to the 1971 sale is determined by:

[tex]305, 000 = 5 * (1+r)^{177} \\r = \sqrt[177]{61,000} - 1\\r = 0.0642\\r = 6.42%[/tex]

Hence, the annual rate is 0.0642 or 6.42%.

To learn more about the annual rate here:

https://brainly.com/question/17613825

#SPJ1

Two countries, the United States and the United Kingdom, produce only one good, saying wheat. Suppose the price of wheat is $2 in the United States and is £1 in England.
b) Suppose the price of wheat over the next year is expected to rise to $3.50 in the United States and to £1.5 in the United Kingdom. What should the one-year $:£ forward rate be? (8marks)

Answers

The one-year $:£ forward rate is 2.33 between the United States and the United Kingdom.

What is the price?

The amount of compensation that a person is willing to pay for the goods or services that they are acquiring can be referred to as the price. The amount of money being supplied or needed to be paid for a good or service is as the price.

Next year change in the price will be

the United States expected rise in the upcoming year will be $3.50

the United Kingdom is expected to rise in the upcoming year will be £1.5

If there is no ambiguity, the forward rate, will be The price of the united states with respect to the price of the united kingdom will be $3.50/  £1.5

This will result in 2.33 which will be changed in the next year in the price change of the wheat.

Learn more about the price, here:

https://brainly.com/question/20703640

#SPJ1

Mars Electronic Company receives cash from a stockholder, John Tilden, and issues common stock to him. The two accounts involved in this transaction are ________.
Select one:

A.
Common Stock and Accounts Payable

B.
Common Stock and Accounts Receivable

C.
Accounts Payable and Cash

D.
Cash and Common Stock

Answers

The two accounts involved in this transaction are Cash and Common Stock. Thus the correct option is D.

What is Stockholder?

A stockholder is referred to as an individual who purchases the stock of any company and holds the authority of selling that stock. The stockholders who own a higher percentage in any company will receive voting rights.

A remaining right to a company's present and future earnings is represented by its common stock. In the account of this, shareholders are referred to as co-owners of a business.

In the given case,  Mars electronic companies receive cash from the stockholder and issue common stock to him refer as a transaction of Cash and Common Stock

Therefore, option D is appropriate.

Learn more about Stock, here:

https://brainly.com/question/14649952

#SPJ1

A business during which stage of a business life-cycle is most likely to have profits without cash?
a. Start up
b. Mature
c. Declining
d. Bankrupt

Answers

During a growth stage, your business may begin to make more money, breaking even, becoming profitable or increasing profitability.

What is growth stage?

Growth stage or the growth and expansion stage is the second of five key phases in the business life cycle. The life cycle also includes launch, shake-out, maturity, and decline. During the growth stage, a startup will see sales increase rapidly. This is the phase in which businesses start to see profit.

What is business maturity stage?

The maturity stage is when the sales begin to level off from the rapid growth period. At this point, companies begin to reduce their prices so they can stay competitive amongst the growing competition.

To know more about buisness life cycle visit:-

https://brainly.com/question/13123294

#SPJ1

Other Questions
A car travels at 15 m/s for 10,0s. It speedsup with an acceleration of 0.2 M/S for 15.0 s. At theend of this time What is its velocity? Determine if the function below is continuous.A. not continuous, >2 holesOB. not continuous, 1 holeOC. not continuous, 2 holesOD. continuousReset Selection A fact about social support networks Water, table salt, and tin metal are all pure substances. Which of these pure substances are compounds Changes in behavior and cognitive processes over time are studied by _____. changes in behavior and cognitive processes over time are studied by _____. evolutionary genetcists evolutionary psychologists behavioral psychologists behavioral geneticists an investor notices that a company is paying a cash dividend to its stockholders and that today is the record date on which an investor must own the stock to be entitled to the distribution. what means of settlement could the investor use to receive the dividend? a regular-way b buyer's option c cash d when issued Speed is calculated by the equation S = d/t, where S = speed, d = distance, and t = time travelled. For what amount of time (in hours) did a car travel if its speed was 75 miles per hour and it travelled a distance of 187.5 miles? Can someone help me with this open response question???How did the federal governments policies towards the freedmen change from the Reconstruction years to the 1880s and 90s? What worked and what didnt? Illustrate. Pls help me with all of this I will give a lot of points away pls complete all the sentences plsssssssssss god bless you What is one of the most important transformations for Virginia after Bacon's Rebellion?A) Governor Berkeley will be put in jail and eventually hung B)Virginia will begin to become a slave colony, importing large numbers of African slaves C)Native people and the colonists will sign a treaty of mutual respect D)Bacon becomes the new governor PLEASE HELP ME I NEED HELP What is the surface area of the cube below?A. 96 unitsB. 120 unitsC. 64 unitsD. 80 units which one of edwin hubbles findings support the big bang theory Given the right DEF, DE = 30, EF = 72 and DF = 78. Find the cos F= Match the terms with the correct definitions. 1. Taking a deep breath Signals the brain to calm down 2. External stressor 1 A person enters a deep state of relaxation 3. During meditation A sense of pessimism 4. Internal stressor Conflict with coworkers Gross Income 3 Ted gets paid a monthly salary of $5,000 and receives 6% commission on all sales over $8000. 1 point Which of the following is an equation that can be gross income? y = 5000+ 6(x - 8000) y = 5000+.06 (x - 8000) y = 8000 +.06 (x - 5000) O y = 5000+.06 (8000 - 2) Previous 3 4 Mary Beth collected 8 pounds of aluminum cans to recycle to start. She plans on collecting 3 more pounds each week.How many total pounds of aluminum cans will she have collected after 3 weeks? daryl has 1/4 of a pound of chocolate he wants to divide it into 2 equal parts for his siblings how much will each sibling get Can you teach me how to divide fractions? In her introduction to Persepolis, Satrapi explains that she wrote this book to show that Iran is not only a country of fundamentalism, fanaticism, and terrorism. How does Satrapi go about challenging this myth? How does Persepolis dispel or confirm your views on Iran?