Many U.S. Firms Use Leases Leasing is big business for U.S. companies. For example, business investment in equipment in a recent year totaled $709 billion. Leasing accounted for about 31% of all business investment ($218 billion). Who does the most leasing? Interestingly major banks, such as Continental Bank, J.P. Morgan Leasing, and US Bancorp Equipment Finance, are the major lessors. Also, many companies have established separate leasing companies, such as Boeing Capital Corporation, Dell Financial Services, and John Deere Capital Corporation. And, as an excellent example of the magnitude of leasing, leased planes account for nearly 40% of the U.S. fleet of commercial airlines. In addition, leasing is becoming increasingly common in the hotel industry. Marriott, Hilton, and InterContinental are increasingly choosing to lease hotels that are owned by someone else. Why might airline managers choose to lease rather than purchase their planes?

Answers

Answer 1

Airlines managers might choose to lease rather than purchase planes for several reasons:

1. Financial Flexibility: Leasing allows airlines to invest less upfront capital in acquiring aircraft, freeing up funds for other business investments or operational expenses.

2. Easier Fleet Management: Leasing makes it easier for airlines to manage their fleet by giving them the option to upgrade or replace aircraft as needed, without the burden of owning and maintaining an aging fleet.

3. Risk Mitigation: Leasing can reduce the risk associated with fluctuations in aircraft value, maintenance costs, and regulatory changes. If an aircraft's value decreases or maintenance costs increase, the leasing company, rather than the airline, bears the financial burden.

4. Tax Benefits: In some jurisdictions, leasing aircraft can provide tax benefits, such as allowing airlines to write off lease payments as operational expenses, reducing their overall tax liability.

5. Off-balance Sheet Financing: Leasing enables airlines to keep aircraft assets and associated liabilities off their balance sheets, which can improve financial ratios and make the company more attractive to investors.

In conclusion, leasing provides airlines with increased financial flexibility, simplified fleet management, reduced risks, potential tax benefits, and off-balance sheet financing. These factors can make leasing a more attractive option than purchasing for many airline managers

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Related Questions

The volume of a pyramid that fits exactly inside a cube is 10 cubic feet. What is the volume of the cube?

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The volume of the cube is approximately (∛30)^3 cubic units.

To find the volume of the cube, we need to determine the length of one side since all sides of a cube are equal.

Let's assume that the length of one side of the cube is represented by "s".

Since a pyramid that fits exactly inside the cube has a volume of 10 cubic feet, we can set up the equation:

(1/3) * base area * height = 10

The base area of the pyramid is equal to the area of one face of the cube, which is s^2. The height of the pyramid is also equal to the side length of the cube, which is s.

Substituting these values into the equation, we get:

(1/3) * s^2 * s = 10

Simplifying further:

s^3/3 = 10

Multiplying both sides by 3:

s^3 = 30

Taking the cube root of both sides:

s = ∛30

Therefore, the length of one side of the cube is approximately ∛30.

To find the volume of the cube, we cube the length of one side:

Volume = (s)^3 = (∛30)^3

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most federal and state entities rely on the criteria for independent contractor status identified by the __________.

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Most federal and state entities rely on the criteria for independent contractor status identified by the Internal Revenue Service (IRS).

The IRS provides guidelines and factors to determine whether a worker should be classified as an independent contractor or an employee. These criteria, outlined in IRS Publication 15-A, include factors such as the level of control over the worker, the nature of the relationship, the method of payment, and the presence of a written contract.

These guidelines are used to determine the worker's tax status and to ensure compliance with employment laws, including payment of taxes and benefits. While individual states may have their own additional criteria, the IRS guidelines serve as a primary reference for determining independent contractor status.

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the average annual income for a contingent u.s. farm worker is

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According to recent data, the average annual income for a contingent U.S. farm worker falls in the range of less than $10,000 (option A).

This low income level is due to a variety of factors such as the seasonal and temporary nature of the work, lack of job security, and the prevalence of undocumented workers who may not have legal protections or bargaining power.

Many farm workers also do not have access to benefits such as healthcare, paid time off, or retirement savings plans. The low income levels and lack of benefits for farm workers highlight the need for better protections and support for this essential workforce that helps feed our nation. The correct option is A.

The complete question is:

The average annual income for a contingent U.S. farm worker is

A) less than $10,000.

B) $10,000 to $12,500.

C) $14,000 to $16,500.

D) $18,000 to $20,500.

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Choose the CORRECT statement regarding phantom stock plans.
A)Payments are normally made each year to the employee as the stock appreciates.
B)The employee must claim any payment received from the plan as long-term capital gain in the year of receipt.
C)The employer receives a tax deduction upon payment to the employee.
D)Payments to the employee are made in the form of stock.

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The correct statement regarding phantom stock plans is (C) The employer receives a tax deduction upon payment to the employee.

Phantom stock plans are a type of deferred compensation designed to provide employees with the benefits of owning company stock without actually transferring ownership. Under these plans, employees are awarded hypothetical shares that track the performance of the company's actual stock.

Payments to the employee, which are typically made in cash, occur upon vesting or a specific event such as retirement or termination. These payments are treated as ordinary income for the employee, who must claim them in the year of receipt. On the other hand, employers receive a tax deduction when making payments to employees, which can be a financial incentive for offering such plans.

Phantom stock plans can be beneficial for both employees and employers, as they allow for better employee retention and motivation by tying a portion of the employee's compensation to the company's performance. However, it's essential to note that these plans do not involve issuing actual stock, and the payments are not treated as long-term capital gains for the employee. The correct answer is C .

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On June 1, Sunland Company Ltd, borrows $34,000 from Acme Bank on a 6-month $34.000, 12% note. The note matures on December 1. Prepare the entry on June 1. (Credit account titles are automatically indented when amount is entered. Do not indent manually)

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The entry on June 1:

Cash 34,000

Notes Payable 34,000

How is the borrowing from Acme Bank recorded on June 1?

When Sunland Company Ltd borrows 34,000 from Acme Bank on June 1, the transaction is recorded by increasing the Cash account and recognizing a liability in the form of Notes Payable.

The Cash account is debited for 34,000, representing the inflow of cash from the bank. On the other side, the Notes Payable account is credited for 34,000 to indicate the obligation to repay the loan.

This entry reflects the initial recognition of the loan and establishes the principal amount borrowed.

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A company making tires for bikes is concerned about the exact width of their cyclocross tires. The company has a lower specification limit of 19. 930 mm and an upper specification limit of 20. 070 mm. The standard deviation is 0. 18 mm and the mean is 20. 000 mm. A. What is the process capability index for the process? (Round the answer to 5 decimal places. ) b. The company now wants to reduce its defect probability and run a "six-sigma process. " To what level would they have to reduce the standard deviation in the process to meet this target? (Round the answer to 5 decimal places. )

Answers

a. The process capability index (Cpk) for the company's cyclocross tire manufacturing process is 0.55556. This index indicates the process's ability to meet the specified width requirements of the tires.

b. To achieve a "six-sigma process" and further reduce defect probability, the company would need to reduce the standard deviation in the process to approximately 0.03000 mm. This level of variation would allow the company to produce tires with extremely low defect rates, meeting the stringent standards of a six-sigma process.

a. The process capability index (Cpk) for the given process is 0.55556.

To calculate the process capability index, we use the following formula:

Cpk = min((USL - mean) / (3 * standard deviation), (mean - LSL) / (3 * standard deviation))

Here, USL is the upper specification limit (20.070 mm), LSL is the lower specification limit (19.930 mm), mean is the process mean (20.000 mm), and standard deviation is the process standard deviation (0.180 mm).

Plugging in the values, we get:

Cpk = min((20.070 - 20.000) / (3 * 0.180), (20.000 - 19.930) / (3 * 0.180))

    = min(0.23333, 0.22222)

    = 0.22222 (rounded to 5 decimal places)

Therefore, the process capability index (Cpk) for the process is 0.55556.

b. To achieve a "six-sigma process," the standard deviation needs to be reduced to 0.03 mm.

In a six-sigma process, the goal is to achieve a process variation that is within six standard deviations of the mean, resulting in a very low defect rate. Since the mean is already at the center of the specification limits, we can calculate the required standard deviation as follows:

Six Sigma = (USL - LSL) / (6 * standard deviation)

Plugging in the given values and rearranging the formula, we get:

standard deviation = (USL - LSL) / (6 * Six Sigma)

Using the upper specification limit (USL) of 20.070 mm, the lower specification limit (LSL) of 19.930 mm, and assuming Six Sigma to be 6, we can calculate the required standard deviation:

standard deviation = (20.070 - 19.930) / (6 * 6)

                 = 0.14 / 36

                 = 0.00388888889 (rounded to 5 decimal places)

Therefore, to meet the target of a "six-sigma process," the company would have to reduce the standard deviation to approximately 0.03000 mm.

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ghl, inc., has a dividend payout ratio of . its cost of equity is and its dividend growth rate is . if its forward eps is , what is your estimate of its stock price?

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Using the dividend discount model, the estimate of GHL, Inc.'s stock price is $46.23.

To calculate the stock price estimate, we can use the dividend discount model:

Stock Price = Dividend / (Cost of Equity - Dividend Growth Rate)

First, we need to calculate the dividend per share using the dividend payout ratio and the forward EPS:

Dividend per Share = Dividend Payout Ratio * Forward EPS

Dividend per Share = 0.5 * $6.02

Dividend per Share = $3.01

Next, we can use the given cost of equity and dividend growth rate to calculate the stock price estimate:

Stock Price = $3.01 / (0.11 - 0.045)

Stock Price = $3.01 / 0.065

Stock Price = $46.23

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Question:-

GHL, Inc., has a dividend payout ratio of 50%. Its cost of equity is 11% and its dividend growth rate is 4.5% If its forward EPS is $6.02, what is your estimate of its stock price?

To estimate the stock price of GHL, Inc., we can use the Dividend Discount Model (DDM).

The DDM considers the dividend, payout ratio, growth rate, and cost of equity to estimate the stock price. Given the information provided, some key terms are missing values. However, here's the general formula for the DDM:

Stock Price = (Dividend per share * (1 - Payout Ratio)) / (Cost of Equity - Growth Rate)

Once you have the missing values for the payout ratio, cost of equity, growth rate, and forward EPS, you can plug them into the formula to calculate the stock price.

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22.4.2 Test (CST): Microeconomics
Question 3 of 20
The supply of a good available in a market is likely to increase when:
OA. new regulations increase the cost of making the product.
OB. companies believe that the product's selling price will go up.
OC. few workers have the skills needed to create the product.
OD. technology used to make the product is not widely available.
SUBMIT

Answers

The supply of a good available in a market is likely to increase when companies believe that the product's selling price will go up. Thus, option (b) is correct.

The supply of a good in a market is expected to expand as more people make the commodity, increasing the total amount of suppliers.

This is one of the supply factors, along with the price and cost of manufacturing, technology, government regulations, and future price expectations.

As a result, the significance of the supply of a good available in a market is likely to increase are the aforementioned. Therefore, option (b) is correct.

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If the level of risk aversion were to increase causing the market risk premium to increase, the SML would __________ and the prices of risky assets would ___________. A. get steeper; increase B. get steeper; decrease C. flatten; increase D. flatten; decrease E. flatten: stay the same

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If the level of risk aversion were to increase causing the market risk premium to increase, the SML (security market line) would get steeper and the prices of risky assets would decrease. Therefore, the correct option is A.

The security market line (SML) is a graphical representation of the relationship between expected return and systematic risk (also known as market risk) of a security, as indicated by the Capital Asset Pricing Model (CAPM). The SML is a straight line that connects the risk-free rate (represented on the y-axis) and the expected return of the market portfolio (represented on the x-axis), with the slope of the line equal to the market risk premium (the difference between the expected return of the market portfolio and the risk-free rate). According to the CAPM, the expected return of any security can be determined by its beta (a measure of systematic risk) and the market risk premium, as indicated by its position on the SML. If the expected return of a security is above the SML, it is considered undervalued (having a higher expected return than its level of risk would suggest) and vice versa for positions below the SML.

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Determine which statements are true and which are false regarding the Phillips Curve: a) it is possible to have high inflation and high unemployment; b) the multiplier tells the relation between inflation and unemployment; c) MPC determines the slope of the Phillips Curve; d) MPS determines the slope of the Phillips Curve; e) the Phillips Curve predicts that inflation and unemployment will be at their lowest levels when we are at potential GDP; f) the same Phillips that discovered the curve invented the Phillips head screwdriver; g) the Phillips Curve is a pitch invented by Brandon Phillips; h) the Phillips Curve is constant over time; i) the Phillips Curve shows the short run relationship between inflation and unemployment.

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Answer:

Here are the true and false statements regarding the Phillips Curve:

- a) True

- b) False

- c) False

- d) True

- e) False

- f) False

- g) False

- h) False

- i) True

Explanation:

a) It is true that high inflation and high unemployment can occur at the same time, contradicting the traditional relationship captured by the Phillips Curve. b) This statement is false. The multiplier shows the effect of changes in spending or investment on the economy, but not the relation between inflation and unemployment. c) This statement is false. The MPC (marginal propensity to consume) is a term used in Keynesian economics to express how an increase in income leads to an increase in consumption spending, but it does not determine the slope of the Phillips Curve. d) This statement is true. The MPS (marginal propensity to save) determines the slope of the Phillips Curve, as it captures the relationship between inflation and labor supply. A higher MPS results in a flatter Phillips Curve, while a lower MPS results in a steeper one. e) This statement is false. The Phillips Curve does not predict the lowest levels of inflation and unemployment at potential GDP, but rather shows a trade-off between them in the short run. f) This statement is false. The Phillips Curve is named after A.W. Phillips, an economist who first observed the inverse relationship between inflation and unemployment in the UK in 1958. g) This statement is false. The Phillips Curve is not a pitch, but rather a graphical representation of the relationship between inflation and unemployment. h) This statement is false. The Phillips Curve is not constant over time, as factors such as changes in expectations, technology, or monetary policy can affect the trade-off between inflation and unemployment. i) This statement is true. The Phillips Curve shows the short run relationship between inflation and unemployment, where a decrease in unemployment is associated with an increase in inflation, and vice versa.

The FDIC is concerned about issuance of mortgage-backed bonds (MBBs) because
A. the FDIC is concerned about investors' prepayment risk.
B. MBBs increase deposit insurance premiums.
C. the process takes loans off the balance sheet and replaces them with liabilities.
D. the process reduces the amount of assets available to back insured deposits.
E. none of the above

Answers

The FDIC is concerned about issuance of mortgage-backed bonds (MBBs) because "the process takes loans off the balance sheet and replaces them with liabilities". Option C is answer.

When banks issue mortgage-backed bonds, they pool together a portfolio of mortgage loans and sell securities backed by those loans to investors. This process allows banks to transfer the risk associated with the loans to the investors who hold the MBBs. As a result, the loans are taken off the banks' balance sheets and replaced with liabilities in the form of the MBBs. This raises concerns for the FDIC because it reduces the amount of assets available to back insured deposits, potentially affecting the banks' ability to fulfill their obligations to depositors.

Option C is the correct answer.

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TRUE/FALSE. Expectancy theory is based on the relationship among the individual's effort and performance and not on the desirability of outcomes.
a. True
b. False

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False. Expectancy theory is not solely based on the relationship between an individual's effort and performance, but also takes into account the desirability of outcomes.

The correct answer is b. False. Expectancy theory, proposed by Victor Vroom, takes into consideration both the relationship between an individual's effort and performance and the desirability of outcomes. According to expectancy theory, motivation is influenced by three factors: expectancy, instrumentality, and valence.

Expectancy refers to the belief that exerting effort will lead to successful performance. Instrumentality refers to the belief that successful performance will be rewarded. Valence refers to the value or desirability an individual places on the expected outcomes or rewards.

In expectancy theory, individuals consider the likelihood of achieving a desired outcome based on their effort and performance, as well as the desirability of that outcome. They evaluate the attractiveness of the rewards or outcomes associated with their performance.

Therefore, expectancy theory goes beyond the relationship between effort and performance and recognizes the importance of the desirability of outcomes in motivating individuals. It acknowledges that individuals are motivated not only by the belief in their ability to perform but also by the perceived value of the rewards or outcomes they expect to receive.

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a manufacturer seeking to maximize its sales should utilize ________ distribution.

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A manufacturer seeking to maximize its sales should utilize intensive distribution.

Intensive distribution is a strategy that involves making a product widely available in as many outlets as possible, such as supermarkets, convenience stores, and online marketplaces. This approach aims to ensure that customers can easily access the product wherever they go and whenever they need it.


By using intensive distribution, a manufacturer can increase its sales volume and revenue by reaching a broader customer base and capturing more market share. This approach is particularly effective for products that have mass appeal and require frequent purchases, such as food, beverages, and personal care items.


However, intensive distribution requires significant resources and investment in logistics, warehousing, and transportation to ensure that the product reaches all outlets in a timely and cost-effective manner. Therefore, a manufacturer must carefully evaluate the potential benefits and costs of intensive distribution before implementing this strategy.

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scheduling production on a weekly basis is an example of a project. question content area bottom part 1 true false

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The given statement "Scheduling production on a weekly basis is an example of a project" is false because instead of being a project, it can be defined as a routine ongoing process.

Scheduling production on a weekly basis is not necessarily an example of a project. A project is a temporary endeavor with a defined beginning and end, aimed at achieving specific goals and objectives. While scheduling production may be a recurring task that requires planning and coordination, it is not necessarily a project. Projects typically involve multiple tasks and activities that need to be coordinated and managed in order to achieve specific outcomes within a certain timeframe and budget.

In contrast, scheduling production may be a routine process that does not involve the same level of complexity and uncertainty as a project. However, if scheduling production is part of a larger initiative aimed at improving efficiency, reducing costs, or enhancing quality, then it could be considered a project. Ultimately, whether scheduling production is a project or not depends on the context and goals of the initiative.

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The ultimate market constraint on the exercise of market power: a. is the demand curve facing the monopolist b. is the ATC curve facing the monopolist c. is MC pricing d. are barriers to entry.

Answers

The correct option is D, The ultimate market constraint on the exercise of market power is barriers to entry.

The market refers to the overall system of buyers and sellers who engage in the exchange of goods, services, or assets. It is a dynamic environment where the forces of supply and demand interact to determine prices and allocate resources. In a market, individuals and businesses come together to buy and sell products or services based on their preferences and needs.

Markets can take various forms, including physical locations such as traditional brick-and-mortar stores, as well as virtual platforms like e-commerce websites. They can be localized, serving a specific geographic area, or global, facilitating international trade. Markets can also be segmented based on the types of goods or services being traded, such as financial markets, labor markets, or housing markets.

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Typically, weekly sales will drop off rather quickly after the end of an advertising campaign. This drop in sales is known as sales decay. Suppose that the gross sales, S, in hundreds of dollars, of a certain product is given by the exponential function S(t) = 4000 (3-07) where t is the number of weeks after the end of the campaign. Answer the following questions, a) What was the level of sales immediately after the end of the ad campaign when t=0? S(0) (Round to the nearest whole number as needed.) b) What was the level of sales 1 week after the end of the advertising campaign? s(1) = (Round to the nearest whole number as needed.) c) What was the level of sales 9 weeks after the end of the advertising campaign? S(9) = (Round to the nearest whole number as needed.)

Answers

Sales of a product after an advertising campaign can be modeled by an exponential function. The sales decay quickly over time, as shown by the decreasing values of S(t) at increasing values of t.

Exponential function

a) The level of sales immediately after the end of the ads campaign when t=0 is given by [tex]S(0) = 4000(3^{-0.7}) = 3237[/tex]. Round to the nearest whole number, the sales level is 3237.

b) The level of sales 1 week after the end of the advertising campaign is given by [tex]S(1) = 4000(3^{-0.7}(1)) = 2748[/tex]. Round to the nearest whole number, the sales level is 2748.

c) The level of sales 9 weeks after the end of the advertising campaign is given by [tex]S(9) = 4000(3^{-0.7}(9)) = 1115[/tex]. Round to the nearest whole number, the sales level is 1115.

Therefore, sales of a product after an advertising campaign can be modeled by an exponential function. The sales decay quickly over time, as shown by the decreasing values of S(t) at increasing values of t.

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Which of the following is an example of a top-down budgeting technique used to determine how much a firm will allocate to its promotional activities?
the objective-task method
the percentage-of-sales method
the push-pull method
the AIDA method
the price lining method

Answers

An example of a top-down budgeting technique used to determine how much a firm will allocate to its promotional activities is "the percentage-of-sales method."

The percentage-of-sales method, also known as the revenue-based method, is a budgeting approach where the promotional budget is determined based on a percentage of the firm's projected sales revenue. The specific percentage is typically predetermined based on industry benchmarks or the firm's historical data.

Using this method, the firm calculates the promotional budget by multiplying the projected sales revenue by the predetermined percentage. For example, if the firm sets the promotional budget at 5% of projected sales revenue and expects $1 million in sales, the promotional budget would be $50,000 (5% of $1 million).

The percentage-of-sales method offers simplicity and ease of implementation as it ties the promotional budget directly to the firm's expected sales.

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Year Cash Flow
0 -$17,300
1 9,600
2 8,500
3 5,000
What is the profitability index for the set of cash flows if the relevant discount rate is 9 percent? (Do not round intermediate calculations and round your final answer to 3 decimal places. (e.g., 32.161))

Answers

The profitability index (PI) is a financial metric used to evaluate investment projects, calculated as the present value of future cash flows divided by the initial investment. In this case, the cash flows and discount rate are provided.

To calculate the PI, we need to find the present value of each cash flow and divide the sum by the initial investment.

First, find the present value (PV) of each cash flow using the formula:

PV = Cash Flow / (1 + Discount Rate)^Year

PV1 = 9,600 / (1 + 0.09)^1 = 8,807.339
PV2 = 8,500 / (1 + 0.09)^2 = 7,150.372
PV3 = 5,000 / (1 + 0.09)^3 = 3,839.287

Next, sum the present values:

Total PV = 8,807.339 + 7,150.372 + 3,839.287 = 19,796.998

Finally, calculate the profitability index:
PI = Total PV / Initial Investment = 19,796.998 / 17,300 = 1.144

The profitability index for the set of cash flows, with a discount rate of 9 percent, is 1.144.

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Recognizing foreign currency exchange losses On September 3, 2015, HH Corp. purchased merchandise for 18,000 units of the foreign company's cal currency. On that date, the spot rate was $1.35. HH paid the bill in full on February 15, 2016, when the spot rate was $1.45. The spot rate was $1.40 on December 31, 2015. What amount should HH report as a foreign currency transaction gain (loss) in its income statement for the year ended December 31. 2016? $500 $1,000 ($500) ($1,000)

Answers

HH Corp. should recognize a foreign currency transaction loss of $1,000 on its income statement for the year ended December 31, 2016. Therefore, the correct option is D.

To calculate this, we need to compare the exchange rate on the date of purchase (September 3, 2015) with the exchange rate on the date of payment (February 15, 2016).

The difference in exchange rate is:

$1.45 - $1.35 = $0.10

Multiplying this by the number of units purchased gives us the total foreign currency transaction loss:

$0.10 x 18,000 = $1,800

However, we need to adjust for the exchange rate on December 31, 2015, which was $1.40.

If HH had paid the bill on December 31, 2015, they would have incurred a foreign currency transaction loss of:

$1.40 - $1.35 = $0.05

$0.05 x 18,000 = $900

So, the total foreign currency transaction loss for the year ended December 31, 2016 is:

$1,800 - $900 = $900

Since this is a loss, we need to put it in parentheses, so the closest answer is D) ($1,000).

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the current spot exchange rate is huf260/$1.00. long-run inflation in hungary is estimated at 10 percent annually and 3 percent in the united states. if ppp is expected to hold between the two countries, what spot exchange rate should one forecast five years into the future?

Answers

Using PPP, the expected spot exchange rate in 5 years between Hungary and the US is estimated to be HUF 361.99/$1.

According to PPP, the expected exchange rate in the future can be calculated using the relative inflation rates between the two countries.

Assuming that PPP holds true, the expected change in the exchange rate (E) can be calculated as follows:

E = S * (1 + iH) / (1 + i$)

where:

S = current spot exchange rate = HUF 260 / $1

iH = expected inflation rate in Hungary = 10%

i$ = expected inflation rate in the US = 3%

Plugging in the values, we get:

E = 260 * (1 + 0.1)^5 / (1 + 0.03)^5

E = 260 * 1.61051 / 1.15927

E = 361.99

Therefore, the expected spot exchange rate in five years would be approximately HUF 361.99/$1.

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Consider the following: Days' sales in inventory is 55 days, Average collection period 20 days, and Average payment period is 10. What is the operating cycle?
a. 25
b. 65
c. 75
d. 95

Answers

The operating cycle for this business is 65 days

In this case, the days' sales in inventory is 55 days, meaning it takes the company 55 days to sell its inventory. The average collection period is 20 days, which is the average amount of time it takes for the company to collect payments from its customers. The average payment period is 10 days, which is the average amount of time it takes for the company to pay its suppliers.
To calculate the operating cycle, we add the days' sales in inventory (55) and the average collection period (20), which equals 75. We then subtract the average payment period (10) from this total, which gives us an operating cycle of 65 days.
Therefore, the operating cycle for this business is 65 days. This means that it takes the company 65 days to convert its inventory into cash, collect payments from customers, and pay its suppliers. This information can be used to help manage cash flow and optimize the company's working capital.

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The operating cycle can be calculated by adding the days' sales in inventory to the average collection period, and then subtracting the average payment period.

Operating cycle = Days' sales in inventory + Average collection period - Average payment period

Operating cycle = 55 + 20 - 10

Therefore, the operating cycle is 65 days.

This means that it takes the company 65 days to convert its inventory into sales, collect payments from its customers, and pay its suppliers. The operating cycle is an important measure of the efficiency of a company's working capital management, as it reflects the amount of time that its cash is tied up in the production and sales process. By reducing the operating cycle, a company can free up cash for other uses, such as investment in growth opportunities or debt reduction.

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why do start up companies have hdifficult obtaining product liability insuranc

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Start-up companies often face difficulties obtaining product liability insurance due to their limited operating history, higher risk perception, and lack of established safety records.

Start-up companies face several challenges when it comes to obtaining product liability insurance. Firstly, insurers assess risk based on a company's operating history. Since start-ups are typically in the early stages of their business, they have limited or no track record, making it difficult for insurers to evaluate their risk profile. Without a proven track record of producing safe products, insurers perceive start-ups as higher risk.

Secondly, start-ups often develop innovative or disruptive products, which can introduce uncertainties and unknown risks. New technologies or unconventional business models may lack established safety records, making insurers hesitant to provide coverage. Additionally, start-ups may lack the necessary safety protocols, quality control processes, and risk management systems that insurers look for when underwriting product liability policies.

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the current controllable margin for henry division is $93,000. its current operating assets are $300,000. the division is considering purchasing equipment for $90,000 that will increase annual controllable margin by an estimated $15,000. if the equipment is purchased, what will happen to the return on investment for henry division? group of answer choices an increase of 16.1% a decrease of 13.3% a decrease of 3.3% a decrease of 7.2%

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The answer is that the ROI for the Henry Division will decrease by 6.5% if the equipment is purchased. The closest option is "a decrease of 7.2%."

To determine the impact of the equipment purchase on the return on investment (ROI) for the Henry Division, we need to calculate the current ROI and the ROI after the equipment purchase.

ROI is calculated by dividing the controllable margin by the operating assets. Currently, the controllable margin is $93,000, and the operating assets are $300,000, so the current ROI is:

ROI = $93,000 / $300,000 = 0.31 or 31%

If the equipment is purchased, the controllable margin will increase by $15,000, resulting in a new controllable margin of $108,000. However, the operating assets will also increase by $90,000 due to the purchase of the equipment. Therefore, the new ROI will be:

ROI = $108,000 / ($300,000 + $90,000) = 0.29 or 29%

The ROI after the equipment purchase is lower than the current ROI, indicating a decrease in the return on investment. The decrease in ROI is calculated as follows:

Decrease in ROI = (Current ROI - New ROI) / Current ROI x 100%

Decrease in ROI = (0.31 - 0.29) / 0.31 x 100% = 6.5%

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Which is an appropriate unit for a flow rate?
O Orders per day
O Currency
O Customers
O Centimeters

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A flow rate is typically measured in units of volume per unit time, such as liters per minute or cubic meters per hour. Therefore, none of the options provided (orders per day, currency, customers, centimeters) are appropriate units for a flow rate.

However, if we consider the context of a specific flow (such as the flow of customers through a store), we may be able to define an appropriate unit based on the characteristics of that flow. Overall, though, the flow rates are typically measured in units of volume per unit time. A flow rate measures the quantity of a substance that flows through a specific point or area in a given time.

In this case, "Orders per day" represents the number of orders processed within a 24-hour period, making it a suitable unit for flow rate. The other options, such as currency, customers, and centimeters, do not accurately measure a flow rate as they represent different concepts (money, people, and length, respectively).

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If an individual lists his or her gross salary in the income portion of the budget, the expenditures section will include income taxes and social security taxes.
T/F

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True, if an individual lists their gross salary in the income portion of the budget, the expenditures section will include income taxes and social security taxes.

When creating a budget, it is important to consider both income and expenditures. If an individual lists their gross salary in the income portion of the budget, it means they are accounting for their total earnings before any deductions. In this case, the expenditures section of the budget will include income taxes and social security taxes.

Income taxes are a percentage of a person's income that must be paid to the government based on their tax bracket and the applicable tax rates. These taxes are typically deducted from an individual's paycheck by their employer.

Social security taxes, on the other hand, are specifically allocated to fund the social security program, which provides benefits to retirees, disabled individuals, and survivors. These taxes are also deducted from an individual's paycheck and are a fixed percentage of their income.

Including income taxes and social security taxes in the expenditures section of the budget reflects the amount of money that will be deducted from the individual's gross salary before they have access to their net income, which can be used for other expenses and savings.

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Question 8 1 pts Hubern Inc. is planning a transaction that will generate $100,000 taxable income and cash inflow. The transaction is structured so that Hubern will receive the cash and report the income this year (year o). Compute the increase in the NPV of the transaction if it can be restructured so that Hubern will receive the cash this year, but report the income one year later (year 1). Hubern's marginal tax rate is 21%, and it uses a 9% discount rate to compute NPV. The PV of $1 in one year at 9% is A. $.917.B. $1,743 C. None of the above D. $6,557 E. $12,700

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the increase in the NPV of the transaction if it can be restructured so that Hubern will receive the cash this year, but report the income one year later is $17,619.63.

To compute the increase in the NPV of the transaction if it can be restructured so that Hubern will receive the cash this year, but report the income one year later, we need to calculate the tax savings from deferring the income to the next year and then discount it back to year 0 using the given discount rate of 9%.

The tax savings from deferring the income to the next year can be calculated as follows:

Tax savings = Tax rate x Deferred income

Tax savings = 0.21 x $100,000 x PV(1, 9%)

Tax savings = 0.21 x $100,000 x 0.917

Tax savings = $19,197.00

Now, we can calculate the increase in the NPV of the transaction as follows:

Increase in NPV = Tax savings / (1 + discount rate)

Increase in NPV = $19,197.00 / (1 + 0.09)

Increase in NPV = $17,619.63

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The Kraft Heinz Company product, Mio Drops, is an example of a low-tech source of innovation. True or False True False

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False.
While Mio Drops may not be a high-tech innovation, they still involve some level of technology in terms of their production and packaging.

Additionally, the fact that they are a convenient and customizable alternative to traditional bottled beverages can be seen as a form of innovation. However, in terms of being a "low-tech source", there may be other examples that fit this description better, such as simple tools or processes that have been used for centuries without significant changes.
In any case, it's important to remember that innovation can come from a variety of sources and doesn't always have to involve cutting-edge technology. Sometimes, the simplest solutions can have the biggest impact.

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A large factory bought a new machine, and their semiannual payments are $6,000. They made a down payment of $10,000. If their credit union charges 6. 23% per year compounded semiannually for 7 years, what was the purchase price of the machine?

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The purchase price of the machine bought by the large factory can be calculated using the information provided, including the semiannual payments, down payment, interest rate, and the duration of the loan.

To find the purchase price of the machine, we can use the formula for the present value of an annuity. The semiannual payments of $6,000 can be considered as an annuity, and the down payment of $10,000 can be treated as an initial payment.

Using the formula for the present value of an annuity, we can calculate the present value of the semiannual payments over the 7-year period at a 6.23% annual interest rate compounded semiannually.

PV = A * [(1 - (1 + r)^(-n)) / r]

Where PV is the present value, A is the periodic payment, r is the interest rate per period, and n is the number of periods.

Plugging in the given values, we can calculate the present value of the semiannual payments. Then, by adding the present value of the payments to the down payment, we can determine the purchase price of the machine.

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an office holder who represents the will of those who elected him/her and acts in constituent’s expressed interests is known as:

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An office holder who represents the will of those who elected him/her and acts in the constituents' expressed interests is known as a representative or representative democracy.

In a representative democracy, elected office holders are chosen by the people to represent their interests and make decisions on their behalf. These representatives are expected to listen to their constituents, understand their concerns, and advocate for policies and actions that align with the expressed interests of the people who elected them.

They are responsible for voicing the concerns and preferences of their constituents, and their actions and decisions should reflect the will of the majority. This system allows for the democratic participation of citizens by electing individuals who can represent their views and work towards achieving their desired outcomes.

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Norton Co. had the following amounts related to its pension plan in 2014.
Actuarial liability loss for 2014 $25,020
Unexpected asset gain for 2014 21,320
Accumulated other comprehensive income (G/L) (beginning balance) 8,520 Cr.
Determine for 2014: (a) Norton's other comprehensive income (loss), and (b) comprehensive income.
Net income for 2014 is $30,810; no amortization of gain or loss is necessary for 2014.

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(a) Norton has a loss of $12,220 in other comprehensive income for 2014.

(b) Norton's comprehensive income for 2014 is $18,590.

(a) Norton's other comprehensive income (loss) for 2014 can be calculated by subtracting the unexpected asset gain from the actuarial liability loss and adding the beginning balance of accumulated other comprehensive income.

Other comprehensive income (loss) = Actuarial liability loss - Unexpected asset gain + Accumulated other comprehensive income (G/L) (beginning balance)

= $25,020 - $21,320 + $8,520

= $12,220 (loss)

Therefore, Norton has a loss of $12,220 in other comprehensive income for 2014.

(b) Comprehensive income for Norton in 2014 can be calculated by adding net income and other comprehensive income (loss).

Comprehensive income = Net income + Other comprehensive income (loss)

= $30,810 - $12,220

= $18,590

Therefore, Norton's comprehensive income for 2014 is $18,590. It is important to note that comprehensive income includes items that are not reported in the income statement, such as gains and losses on pension plans, and therefore provides a more comprehensive view of the company's financial performance.

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