On February 1, 2022, Clayton Corp. (lessee) enters a ten-year non-cancellable lease with Academy Ltd. (lessor) for equipment having an estimated useful life of 12 years and a fair value of $8,800,000 with payments at the beginning of each period. Clayton's incremental borrowing rate is 7%, but they do not know Academy's implicit rate. Clayton uses the straight-line method to depreciate assets. The lease contains the following provisions: 1. Semi-annual lease payments of $605,000 (including $45,000 for property taxes), payable on February 1 and August 1 of each year. 2. A guarantee by Clayton Corp. that Academy Ltd. will realize $300,000 from selling the asset at the expiration of the lease (residual value). Both companies adhere to ASPE. Instructions a. Calculate the undiscounted minimum lease payments over the life of the lease. (3 marks) Calculate the present value of the minimum lease payments. (3 marks) b. C. What kind of lease is this to Clayton Corp.? Why? (2 marks) d. Present the journal entries that Clayton would record during the first year of the lease. Include the final entry on February 1, 2023. Also, include an amortization schedule through February 1, 2023, and round values to the nearest dollar. Clayton's year-end is January 31st.

Answers

Answer 1

The amortization schedule through February 1, 2023, would show the gradual reduction in the Lease Liability balance due to the semi-annual payments and the corresponding increase in the Accumulated Depreciation for the depreciation expense.

To calculate the undiscounted minimum lease payments over the life of the lease, we need to consider the semi-annual lease payments. The lease term is ten years, which means there will be 20 semi-annual payments.Each semi-annual lease payment is $605,000, which includes $45,000 for property taxes. Therefore, the undiscounted minimum lease payments over the life of the lease can be calculated as follows:

Undiscounted minimum lease payments = Semi-annual lease payment x Number of payments

Undiscounted minimum lease payments = $605,000 x 20

Undiscounted minimum lease payments = $12,100,000

To calculate the present value of the minimum lease payments, we need to discount the future cash flows using an appropriate discount rate. Since the implicit rate is not given, we will use Clayton's incremental borrowing rate of 7%.Using the present value of an ordinary annuity formula, the present value of the minimum lease payments can be calculated as follows:

PV of minimum lease payments = Semi-annual lease payment x [1 - (1 + discount rate)^(-number of payments)] / discount rate

PV of minimum lease payments = $605,000 x [1 - (1 + 7%)^(-20)] / 7%

PV of minimum lease payments = $6,383,788

This lease is a finance lease to Clayton Corp. A finance lease is characterized by transferring substantially all the risks and rewards incidental to ownership to the lessee. In this case, Clayton Corp. has entered into a lease for a significant portion of the useful life of the equipment, and it guarantees a specific residual value to the lessor. These factors indicate that Clayton Corp. assumes the risks and rewards associated with ownership, making it a finance lease.The journal entries that Clayton Corp. would record during the first year of the lease are as follows:

On February 1, 2022 (lease commencement):

  Lease Right-of-Use Asset            $6,383,788

  Lease Liability                             $6,383,788

On August 1, 2022 (first semi-annual payment):

  Lease Liability                             $605,000

  Cash                                                $605,000

On January 31, 2023 (year-end adjustment):

  Depreciation Expense             $531,982

  Accumulated Depreciation      $531,982

On February 1, 2023 (second semi-annual payment):

  Lease Liability                             $605,000

  Cash                                                $605,000

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Related Questions

1) Describe the five factors that may limit how fast a project can be completed. Give an example of each.
2) Discuss at least four potential problems in creating accurate duration estimates for activities and two methods for dealing with each potential problem.
3) List at least four factors a project manager should consider when identifying individuals to work on a project. Why is each important?

Answers

Five factors that may limit how fast a project can be completed include project scope, resource availability, technical requirements, project complexity, and project risk.

Project scope: The project scope is the work that needs to be done to deliver the project successfully. If the project scope is too big or too complicated, the project will take more time than expected. Resource availability: The resources available to the project team can limit how quickly the project can be completed.

Technical requirements: Technical requirements refer to the necessary skills, knowledge, and expertise required for the project. Project complexity: The complexity of the project can limit how fast the project can be completed. The project may have too many stakeholders, dependencies, or unknown variables.

Project risk: Project risk refers to the factors that could cause the project to fail. If the project has a high level of risk, more time will be needed to manage the risk factors.  A project manager should consider at least four factors when identifying individuals to work on a project. The four factors are skills, availability, experience, and personality.

Skills: The skills required for the project must match the skills of the individuals selected for the project. This ensures that the project is completed successfully.Availability: The availability of the individuals to work on the project must be considered. The individuals must be available throughout the project timeline to ensure the project is completed on time.

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Based on the period 1926-2019, the actual real return on large-company stocks has been around: Can you please explain the answer. Thank you

Answers

Based on the period 1926-2019, the actual real return on large-company stocks has been around 7% to 8%.

Over the period of 1926-2019, the actual real return on large-company stocks, also known as the equity premium, has averaged around 7% to 8%. This means that after adjusting for inflation, the average annual return on large-company stocks has been in that range.

The actual real return on stocks is determined by various factors such as economic conditions, market performance, dividends, and price appreciation. Historical data spanning several decades provides insights into long-term trends and average returns. However, it's important to note that past performance does not guarantee future results, and stock market returns can vary significantly over shorter periods.

Investors and analysts use historical returns to assess investment performance and make projections, but it's crucial to consider other factors, such as diversification, risk tolerance, and individual financial goals, when making investment decisions.

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Suppose you buy four 900-stike puts and sell two 1000-strike calls that will expire in 3 months. Premium for 900 strike put is of $10 while 1000-strike call has a premium of $15. Annual Effective interest rate is 10 percent. | a. Write the profit function for this strategy. b. Draw the Profit graph of this strategy c. Find the profits for the following spot prices: $800 and $1100.

Answers

The profit is = min(900 - 800, 0) * 4 - min(800 - 1000, 0) * 2 + $70 - 10% * $2,100 * 3/12 = -$67.5If S = $1100, the profit is = min(900 - 1100, 0) * 4 - min(1100 - 1000, 0) * 2 + $70 - 10% * $2,100 * 3/12 = $122.5

The profit function for this strategy:The profit function is the income from buying puts minus the cost of buying calls. Total premium received from selling call options is subtracted from the total premium paid for buying put options. $10 * 4 + $15 * 2 = $70, which is the total premium received from selling calls.

Profit function = P(S) = min(900 - S, 0) * 4 - min(S - 1000, 0) * 2 + $70 - 10% * $2,100 * 3/12 b. The Profit graph of this strategy: [tex]\frac{P(S)}{S}[/tex] = (min (900 – S, 0) * 4 – min (S – 1000, 0) * 2 + $70 – 0.1*2,100*3/12)/S * 100% = [(400-S) * 4 – (S-1000) * 2 + $70 - $157.5]/S * 100% = [(850-S) * 2.5 – $87.5]/S * 100%The profit graph is as follows:c. The profits for the following spot prices: $800 and $1100.

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A bond has a face value of ​$1,000 and ​10% coupon​ rate, its
current price is ​$940​, and it is expected to increase to ​$980
next year.
(Enter your response rounded to one decimal place)

Answers

The current yield is 10.6 percent, rounded to one decimal place

A bond is a debt security that businesses and governments use to raise money. Bonds are also known as fixed-income securities because they produce a stable stream of income for investors. Bonds are basically loans given to a corporation, municipality, or government agency to fund its operations, and in exchange, the issuer promises to pay the bondholder a set rate of interest at regular intervals over the bond's life.

A coupon rate is the annual rate of return on a bond's principal, expressed as a percentage. The coupon rate is computed by dividing the total annual coupon payments by the face value of the bond.For instance, if a bond with a face value of $1,000 has an annual coupon payment of $100, the coupon rate is calculated by dividing $100 by $1,000, or 10%.

The face value of a bond is the amount of money a bond will be worth at maturity. This is the amount of money the issuer will pay the bondholder when the bond matures.What is the current price of a bond?The current price of a bond is the market value of a bond that is currently trading. The price of a bond is influenced by a number of factors, including the bond's coupon rate, its yield to maturity, and its credit rating.

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When two nations open trade, which group benefits from trade?

Answers

When two nations open trade, both groups can benefit from trade if the trade is done correctly. However, the group that mainly benefits from the trade depends on several factors like how competitive the goods of each nation are, how open the economies of the two nations are, and how elastic the demand is for goods and services from the nations.



For example, if one nation has a more productive workforce and has advanced technology, then they have a comparative advantage in producing certain goods or services. In this case, the nation with the comparative advantage can specialize in producing these goods and services and sell them to the other nation at a lower price. This allows the nation to make profits and sell more products, leading to an increase in its GDP.

In general, trade helps to raise the income and standard of living of both nations by creating jobs, boosting economic growth, and increasing investment. When two nations open trade, the most significant benefit goes to the group that can sell its goods and services at the highest price, provided that the demand is relatively elastic. On the other hand, the group that purchases goods and services at a lower price can also benefit.

Therefore, when two nations engage in trade, it is beneficial for both groups because it helps to promote healthy competition and specialization, which increases the efficiency of both nations. By specializing in certain goods and services, both groups can produce more goods and services at a lower cost, which ultimately benefits consumers in both nations. Thus, both nations benefit from trade.

When two nations open trade, both groups benefit from trade. The group that mainly benefits from the trade depends on several factors, such as how open the economies of the two nations are, how competitive the goods of each nation are, and how elastic the demand is for goods and services from the nations. Trade helps to increase economic growth, create jobs, and improve the standard of living of both nations, ultimately benefiting consumers in both countries.

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Discuss which strategic marketing assumptions and decisions led to Boo.com's inevitable failure? 2. Compare and contrast the marketing strategy of Boo.com with successful online travel and leisure retaller lastminute.com (also founded in 1998) and suggest what made the difference between success and failure. 3. Use the framework of the marketing mix to appraise the marketing tactics of Boo.com in the areas of Product, Pricing, Place, Promotion, Process, People and Physical evidence. 4. In many ways, the vision of Boo's founders were 'ideas before their time'. Give examples of e-retail techniques adopted by Boo to create an engaging online customer experience that are now commonplace.

Answers

Boo.com was an e-commerce business that was established in 1998 with the aim of selling designer clothing and accessories. However, Boo.com became insolvent after only six months of operation. The following are some of the strategic marketing assumptions and decisions that resulted in Boo.com's inevitable failure:Boo.com failed to understand its target audience Boo.com's target audience was young, affluent, and trendy.

The company failed to understand the requirements and preferences of its target audience. Boo.com's website was packed with flashy graphics, slow, and difficult to use, which resulted in the target audience being turned off. Additionally, the high prices of Boo.com's items were incompatible with the requirements of the target audience. Boo.com was ahead of its timeBoo.com was established during the dot-com boom, and the business adopted some of the latest internet technology of the time.

However, Boo.com was too advanced and went too far too quickly. The site was extremely innovative, but it lacked the basic features that were essential to make an e-commerce site usable.Boo.com's cost structure was unsustainableBoo.com's expenditures were far too high. The firm spent $135 million on the website's creation and promotion. The website took too long to develop and launch, and its production expenses were far too high.

Additionally, the firm had a vast number of staff, and its marketing and distribution expenses were unmanageable.Boo.com's pricing strategy was inappropriateBoo.com's pricing strategy was inappropriate for the target audience. The company's high prices, coupled with the difficulty in using the site, led to low conversion rates. Furthermore, the high costs and low conversion rates combined to make the business unprofitable compared to the competition.

Product Strategy:Boo.com's product strategy was to sell high-end designer clothing and accessories. The company failed to understand the requirements of its target audience, which ultimately led to its demise. lastminute.com's product strategy, on the other hand, was to offer affordable travel packages.

Price: Boo.com's pricing strategy was too high for its target audience. Place: Boo.com's online store was difficult to use, which turned off its target audience. Promotion: Boo.com's promotion strategy focused on attracting attention to the website rather than selling its products. Process: Boo.com's process was difficult to use, which discouraged customers from purchasing its products.

People: Boo.com's customer service was inadequate, and it failed to keep up with the requirements of its target audience. Physical Evidence: Boo.com's website's design was flashy and difficult to use, which turned off its target audience.Boo.com's e-retail strategies can be summarized as follows:Boo.com was ahead of its time, and its design was far too advanced for the era in which it was launched.

The company was able to develop a website that included innovative features such as 3D models and multilingual support, but it failed to provide the basic features that were necessary to make the site usable.Boo.com attempted to create an engaging online customer experience by using video, sound, and 3D models to bring products to life. This is now a common approach to e-commerce, but it was not the case in 1998.

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Volkswagen has sold the Bugatti Veyron for about 15 years. Each Bugatti has an average selling price of $2.4 million and thus the market is very exclusive. One of the potential limitations of this "concentrated" marketing strategy is:

Group of answer choices

concentration can generate very high levels of customer satisfaction

the size of the segment limits revenue growth

concentrating on a segment may deter other competitors from entering

a specialized market may have a very short product life cycle

Answers

One of the potential limitations of this "concentrated" marketing strategy is: the size of the segment limits revenue growth. (Option b)

When a company adopts a concentrated marketing strategy, it focuses its efforts on a specific segment or niche market. In the case of Volkswagen selling the Bugatti Veyron, they target a very exclusive and high-end market with a high selling price of $2.4 million per car.

One limitation of this concentrated approach is that the size of the segment is limited. The number of potential customers who can afford or are interested in purchasing such an expensive and exclusive vehicle is relatively small. As a result, the company may face challenges in generating significant revenue growth from this limited customer base alone.

In contrast, if the company were to target a broader market segment, it would have a larger pool of potential customers, which could lead to higher revenue growth. By concentrating on a small segment, the company may be missing out on the opportunity to tap into a larger market and expand its customer base.

Therefore, the limitation of a concentrated marketing strategy like this is that the size of the segment can limit revenue growth potential. To overcome this limitation, companies may consider diversifying their product offerings or expanding their target market to reach a broader audience and increase their revenue opportunities.

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Calculate the marginal rate of substitution (MRS12) for the following utility function: U(91, 92) = 72√₁ +0.9(92)4 What is the value of MRS12 at bundle (6, 2)? Please round your final answer to two decimal places if necessary.

Answers

The value of MRS12 at bundle (6, 2) is 0.000035.

Given, U(91, 92) = 72√₁ + 0.9(92)^4, The marginal rate of substitution (MRS12) is the rate at which a consumer is ready to exchange one good for another good while maintaining the same level of utility. In general, the formula for MRS is, MRS12=∂U/∂X1∂U/∂X2. Here, the first derivative will be with respect to the first variable and the second derivative will be with respect to the second variable. Differentiate the utility function, U(91, 92) = 72√₁ + 0.9(92)^4, with respect to x1 and x2. Then substitute the given value in the MRS formula and calculate MRS.∂U/∂X1= 36/√₁∂U/∂X2= 3.24×10^5x1= 6 and x2= 2So,∂U/∂X1= 36/√₁= 36/√6∂U/∂X2= 3.24×10^5= 3.24×10^5MRS12=∂U/∂X1/∂U/∂X2= (36/√6)/(3.24×10^5)≈0.000035By substituting x1= 6 and x2= 2 in the given utility function, U(6, 2) = 72√6 + 0.9(2)^4= 283.17Therefore, the value of MRS12 at bundle (6, 2) is 0.000035.

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How do the random assignment and multiple regression methods
differ in identifying causal effects?

Answers

Random assignment and multiple regression methods are two commonly used methods for identifying causal effects. The random assignment is the method used to assign participants to different groups randomly in an experiment. It is considered to be the most powerful method for identifying causal effects in research.

On the other hand, multiple regression is a statistical method used to analyze the relationship between one dependent variable and two or more independent variables. Random assignment involves assigning participants to different groups in an experiment randomly. It is the method used to create equivalent groups, which can help in ruling out alternative explanations for differences between groups. In randomized experiments, participants are randomly assigned to two or more groups such that each participant has an equal chance of being assigned to each group.

This method is used to ensure that any observed differences between groups are not due to confounding variables, but rather due to the treatment or intervention.Multiple RegressionMultiple regression is a statistical method used to analyze the relationship between one dependent variable and two or more independent variables. It is a commonly used method in observational research. In multiple regression, a dependent variable is predicted using one or more independent variables.

Random assignment is considered the most powerful method for identifying causal effects because it rules out alternative explanations for observed differences between groups. However, it is not always possible or practical to use random assignment in research, which is where multiple regression can be useful.

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4. Adhere to the concepts of organizational behaviour
and apply decision-making and problemsolving techniques in
formulating business policy.
This Week’s Detailed Case Study Information
Managing emp

Answers

The concept of organizational behavior has gained significance in recent times due to the complexity of human behavior.

It refers to the study of the behavior of people within an organization. The organization behavior concept provides insights into the employees' needs, expectations, and the process of motivation, which in turn helps in formulating better business policies.

Organizational behavior is an important aspect of any organization. It helps in understanding the employees and their needs, attitudes, and behavior. By utilizing decision-making and problem-solving techniques, the organization can formulate better policies to improve productivity and profitability

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Calculate the Expected Revenue based on the scenarios in the table below: Scenario Boom Average Weak Bust Probability 0.15 0.40 0.35 0.10 Units Sold 1,000 750 500 Unit Selling Price $11 $10 $8 Revenue (Omit $ sign and answer in dollars but no cents) 250 $5

Answers

Expected revenue based on the above scenarios = E(X) is $6,050.

Given: Probability of scenarios = {0.15, 0.40, 0.35, 0.10}

Units sold in respective scenarios = {1,000, 750, 500}

Selling Price in respective scenarios = {$11, $10, $8}

To find: Expected revenue in all four scenarios

Formula used: Expected Value = E(X) = Σ (Xi * Pi) where, Xi is the value of the i-th outcome and Pi is the probability of the i-th outcome

Step-by-step solution:

In Boom scenario:

Xi = Revenue = 1000 × 11

= $11,000

Pi = Probability = 0.15

So, E(X) for Boom = 11000 × 0.15

= $1,650

In Average scenario:

Xi = Revenue = 750 × 10

= $7,500

Pi = Probability = 0.4

So, E(X) for Average = 7500 × 0.4

= $3,000

In Weak scenario:

Xi = Revenue = 500 × 8

= $4,000

Pi = Probability = 0.35

So, E(X) for Weak = 4000 × 0.35

= $1,400

In Bust scenario:

Xi = Revenue = 0

Pi = Probability = 0.10

So, E(X) for Bust

= 0 × 0.10

= $0

Therefore, Expected revenue based on the above scenarios = E(X)

= Σ (Xi * Pi)

= $1,650 + $3,000 + $1,400 + $0

= $6,050

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Which approach is best for displaying the actual slack values for your project tasks?
Select an answer:
Apply the Critical Filter to the view.
On the Format tab, turn on the Slack checkbox.
Insert the Total Slack column in a table.
On the View tab, turn on the Slack checkbox.

Answers

The methodology is best for showing the actual Slack values for your project tasks on the View tab, turn on the Slack checkbox.

The option (D) is correct.

As a slack checkbox when turned on in the view tab, it shows the unmistakable and exact leeway values for the different venture errands while otherwise called the best way to deal with figuring out the genuine slack values.

By empowering this choice, you can straightforwardly see the Slack values for each assignment inside your undertaking, making it simpler to recognize errands with Slack and focus on them appropriately. This approach gives a helpful and direct method for getting to and envisions Slack qualities without the requirement for extra customization or column insertion.

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This question is not complete, Here I am attaching the complete question:

Which approach is best for displaying the actual slack values for your project tasks? Select an answer:

(A) Apply the Critical Filter to the view.

(B) On the Format tab, turn on the Slack checkbox.

(C) Insert the Total Slack column in a table.

(D) On the View tab, turn on the Slack checkbox.

here is the problem
Assuming the relevant range is 20,000-50,000 units, total fixed costs at 45,000 units would be O $176,000. O $25,000. unknown. O $135,000.
30.000 units 45,000 units Variable Costs $135,000 ??? Fixed

Answers

Assuming the relevant range is 20,000-50,000 units, total fixed costs at 45,000 units would be "$25,000" (Option B)

What is the relevant range?

The relevant range refers to the range of activity levels in which certain assumptions or relationships remain valid for decision-making purposes.

It is the range within which the company's fixed and variable costs and other operational factors are expected to behave consistently.

Note that the option here is Option B - $25,000 because fixed costs don't change with an increase in units produced.

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Full Question

See attached image.

Consumption function expresses functional relationship between aggregate_______and national income.
Savings
Expenditure
Investment
Consumption

Answers

The consumption function expresses the relationship between aggregate consumption and national income. Aggregate consumption is influenced by disposable income, wealth, expectations of future income and inflation, and interest rates.

The functional relationship between consumption and national income is expressed as C = a + bYd where C is the level of aggregate consumption, a is the autonomous consumption, Yd is disposable income, and b is the marginal propensity to consume.Investment is defined as the purchase of capital goods that are not intended for consumption but are expected to generate future income.

It is an important component of aggregate demand and contributes to economic growth. Investment decisions are influenced by factors such as interest rates, expected returns on investment, technological changes, and business confidence levels.

The relationship between investment and national income is expressed through the investment function. The investment function is expressed as I = I0 + bY where I is the level of investment, I0 is the autonomous investment, Y is national income, and b is the marginal propensity to invest.

The level of autonomous investment is determined by factors such as technological changes, business confidence, and expectations of future profits.The consumption function and investment function are both important components of aggregate demand.

Changes in either of these functions will have an impact on the level of national income. For example, an increase in autonomous consumption or investment will lead to an increase in national income through the multiplier effect. Similarly, a decrease in autonomous consumption or investment will lead to a decrease in national income.

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Apple stock prices provided realized returns of 10%, -5%, 23%, and 14% over four consecutive quarters. What was the annual realized return for Apple stock for the year?

Answers

To calculate the annual realized return for Apple stock, we need to consider the cumulative effect of the quarterly returns over the year.

The annual realized return can be calculated using the following formula:

Annual Realized Return = (1 + Quarterly Return 1) * (1 + Quarterly Return 2) * (1 + Quarterly Return 3) * (1 + Quarterly Return 4) - 1

Given the quarterly returns of 10%, -5%, 23%, and 14%, we can substitute these values into the formula:

Annual Realized Return = (1 + 0.10) * (1 - 0.05) * (1 + 0.23) * (1 + 0.14) - 1

Calculating this expression gives us:

Annual Realized Return = (1.10) * (0.95) * (1.23) * (1.14) - 1

Annual Realized Return = 1.50363 - 1

Annual Realized Return = 0.50363 or 50.36%

Therefore, the annual realized return for Apple stock for the year is approximately 50.36%.

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consumer federation of america. "credit card debt imposes huge costs on many college students." consumer federation of america. consumer federation of amer., 8 june 1999. web. 4 mar. 2001.

Answers

The statement suggests that credit card debt imposes significant costs on many college students. This is a common concern in personal finance, as college students may be more susceptible to accumulating credit card debt due to factors such as limited income, lack of financial literacy, and easy access to credit.

Credit card debt can lead to several negative consequences for college students. It can result in high-interest payments, which can become burdensome and make it difficult for students to manage their finances effectively. Additionally, excessive credit card debt can impact their credit scores, making it harder to secure loans or favorable interest rates in the future.

It's important to be aware of the potential risks associated with credit card debt and practice responsible borrowing habits. This includes using credit cards wisely, making timely payments, and keeping debt levels manageable.

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Which of the following is least likely to be required by the binomial option pricing model? Select one: O a. Actual probabilities of the up and down moves. b. Two possible prices one period later. O c. Strike Price. O d. Spot price.

Answers

The following is least likely to be expected by the binomial model evaluating model genuine probabilities of the up and down moves.

The option (A) is correct.

The actual probabilities of the all-over moves in the fundamental don't show up in the binomial choice evaluating model, just the pseudo or "hazard unbiased" probabilities. Both the spot cost of the fundamental and two potential costs one period later are expected by the binomial pricing model.

In the binomial choice valuing model, the likelihood appropriation is regularly accepted or assessed given elements, for example, authentic information, economic situations, or suggested unpredictability. It isn't important to know the real probabilities of the up and down moves for the model to work.

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If $972,000 of 6% bonds are issued at 102 1/2, what is the amount of cash received from the sale? Select the correct answer. $729,000 $1,030,320 $972,000 $996,300

Answers

The amount of cash received from the sale of the bond is calculated as follows: Amount of cash received = Issue price × Par value Amount of cash received = 102.5% × $972,000Amount of cash received = 1.025 × $972,000Amount of cash received = $996,300Therefore, the amount of cash received from the sale of the bond is $996,300. Therefore, option (D) is the correct answer.

Bonds are a kind of financial instrument used by firms to raise money from investors. Companies can issue bonds instead of borrowing money from a bank.

It allows the company to borrow a large amount of money at a lower rate than it would have to pay if it borrowed from a bank. Bondholders receive interest in return for lending money to the issuer of the bond. Bonds can be purchased at a premium (above par value), at par (equal to par value), or at a discount (below par value).

The amount of cash received from the sale of a bond is determined by the bond's issue price. When a bond is issued, it has a par value, which is the amount that the issuer promises to pay the bondholder when the bond matures.

The issue price is the price at which the bond is sold to investors. If the issue price is greater than the par value, the bond is sold at a premium. If the issue price is less than the par value, the bond is sold at a discount. If the issue price is equal to the par value, the bond is sold at par.

Let us use this information to answer the question.

If $972,000 of 6% bonds are issued at 102 1/2, what is the amount of cash received from the sale? The issue price is 102 1/2, which is equal to 102.5%.

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Which of the following functions is a marketing department LEAST likely to perform? ed out of 4.0 question Select one: O A. defining the brand O B. establishing distribution channels OC. creating a CRM process O D. securing financing O E creating promotions ion 

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The functions is a marketing department LEAST likely to perform is securing financing (option D).

They are responsible for defining the company's brand, as well as creating and executing marketing campaigns to increase sales. Securing financing, on the other hand, is not a task that is typically performed by the marketing department.

The marketing department is least likely to perform the function of securing financing. Securing financing typically falls under the responsibility of the finance department or the organization's financial team. While the marketing department plays a crucial role in promoting products or services, creating promotions, defining the brand, establishing distribution channels, and implementing a CRM (Customer Relationship Management) process, securing financing is not typically within their purview. The correct option is D.

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in the BASIC valuation model risk is generally incorporated into the___.
a. total value
b. cash flows
c. timming
d. discount rate

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In the BASIC valuation model, risk is generally incorporated into the discount rate. The correct answer is option (D).

The discount rate is used to calculate the present value of future cash flows, and it reflects the level of risk associated with the investment. The discount rate takes into account factors such as the risk-free rate of return, market risk premium, and specific risks related to the investment. When an investment carries higher risk, investors require a higher return to compensate for that risk. Therefore, the discount rate will be higher for riskier investments. Hence, the right answer is option (D).

By increasing the discount rate, the valuation model reduces the present value of future cash flows, reflecting the higher risk associated with the investment. This adjustment helps to account for the uncertainty and potential variability in the cash flows. By incorporating risk into the discount rate, the BASIC valuation model ensures that the estimated value of an investment reflects the level of risk associated with it, providing a more realistic and accurate valuation.

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the __________ heralded the introduction of mass production, improved transportation, technological progress, and the industrial factory system.

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The Industrial Revolution heralded the introduction of mass production, improved transportation, technological progress, and the industrial factory system.

It started in the late 18th century in Britain and spread across Europe and the Americas during the 19th century. It marked a significant turning point in human history as it led to the transformation of agrarian and handicraft economies into industrial ones. The use of machines, such as the steam engine, revolutionized the way goods were produced, leading to a surge in production levels. This, in turn, increased the demand for raw materials, transportation, and labor, leading to further economic growth.

The Industrial Revolution brought about numerous social and economic changes, including the rise of urbanization and the middle class, new patterns of work and leisure, and improvements in public health and living standards. However, it also had negative consequences such as poor working conditions, pollution, and widening economic inequalities. Overall, the Industrial Revolution was a transformative event that shaped the world we live in today.

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First year economics students approach you with what they believe would be the best way to ensure market efficiency is realized in an African economy. Their belief is that there should be no governmen

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While free markets can bring numerous benefits, it is essential to recognize that government intervention is often necessary to address market failures, provide public goods, regulate markets, and promote inclusive and sustainable development. The optimal balance between government intervention and market forces varies depending on the specific circumstances and challenges faced by African economies.

When discussing market efficiency in an African economy, it is essential to consider the specific context and characteristics of the region. While some economic principles suggest that free markets can lead to efficient outcomes, it is important to recognize that the role of government can be crucial in addressing market failures and promoting overall economic development. Here are a few points to consider when responding to first-year economics students who argue against any government intervention:

1. Market failures: Free markets do not always operate efficiently due to various market failures, such as externalities, information asymmetry, public goods, and natural monopolies. These market failures can hinder efficient resource allocation and require government intervention to correct them. For instance, in many African countries, inadequate infrastructure, such as roads or electricity, may require government investment to overcome market failures and promote economic growth.

2. Public goods and services: Some goods and services, like education, healthcare, and infrastructure, have significant positive externalities and are unlikely to be adequately provided by the private sector alone. Government intervention is often necessary to ensure the provision of these public goods, which contribute to long-term economic development and social welfare.

3. Market regulation: In a laissez-faire approach without government oversight, there is a risk of market abuses, unfair competition, and exploitation of consumers or workers. Regulations, such as consumer protection laws, labor standards, and antitrust measures, can help prevent market distortions, ensure fair competition, and protect the well-being of individuals in the market.

4. Development priorities: African economies often face unique challenges related to poverty, inequality, and structural transformation. Government intervention is crucial in addressing these challenges and implementing policies that foster inclusive growth, reduce poverty, and promote sustainable development. This may involve targeted social programs, investment in human capital, and industrial policies to support local industries.

5. Market-supporting institutions: Governments play a vital role in establishing and maintaining institutions that support market efficiency, such as legal systems, property rights protection, contract enforcement, and financial regulation. These institutions provide the necessary framework for markets to function effectively and ensure trust, stability, and investor confidence.

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A stock just paid $2.3 dividend yesterday. The dividend is expected to grow at 1.1% per year thereafter. If the required rate of return of the stock is 11.8%, then using the dividend discount model, the stock price should be (Round your answer to two decimal places, such as 12.34).

Answers

The stock price, when using the dividend discount model, and the growth rate would be $ 21. 73.

How to find the stock price ?

Using the dividend discount model, the stock price can be found to be :

Stock Price = Next Dividend / ( Required Rate of Return - Dividend Growth Rate )

Dividend just paid = $2. 3

Dividend growth rate = 1 .1 % per year

Required rate of return = 11.  8%

The stock price is therefore ;

Stock Price = ( 2. 3 x ( 1 + 1. 1 %))  / ( 0. 118 - 0. 011 )

Stock Price = $ 2.3253 / 0.107

Stock price = $ 21. 73

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On March 31, 2010, the balances of the accounts appearing in the ledger of El Dorado Furnishings Company, a furniture wholesaler, are as follows:
Administrative Expenses $ 250,000
Office Supplies 21,200
Retained Earnings 937,600$ 21,200
Building 1,025,000
Capital Stock 200,000
Salaries Payable 6,000
Cash 97,000
Sales 2,550,000
Cost of Merchandise Sold 1,400,000
Sales Discounts 40,000
Dividends 50,000
Sales Returns and Allowances 160,000
Interest Expense 15,000
Selling Expenses 410,000
Merchandise Inventory 260,000
Store Supplies 15,400
otes Payable 59,000
a. Prepare a multiple-step income statement for the year ended March 31, 2010.
b. Compare the major advantages and disadvantages of the multiple-step and single-step forms of income statements.

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The choice between a multiple-step and single-step income statement depends on the specific needs of the users and the level of detail required for financial analysis.

a. Multiple-Step Income Statement for the year ended March 31, 2010:

Sales $2,550,000

Sales Returns and Allowances -160,000

Sales Discounts -40,000

Net Sales $2,350,000

Cost of Merchandise Sold $1,400,000

Gross Profit $950,000

Operating Expenses:

Selling Expenses $410,000

Administrative Expenses $250,000

Interest Expense $15,000

Total Operating Expenses $675,000

Operating Income $275,000

Other Income and Expenses:

Dividends -50,000

Net Income before Taxes $225,000

Income Tax Expense (if applicable) -

Net Income $225,000

Advantages and Disadvantages of Multiple-Step and Single-Step Income Statements:

Multiple-Step Income Statement:

Advantages:

Provides a more detailed analysis of revenues, expenses, and profitability by separating various components.

Allows for better evaluation of business operations and performance by distinguishing between different sources of revenue and expenses.

Enables easier identification of trends, such as changes in sales, costs, and operating expenses over time.

Provides valuable information for decision-making, as it highlights the key drivers of profitability.

Disadvantages:

More complex and time-consuming to prepare compared to a single-step income statement.

Requires additional effort to track and classify various revenue and expense items accurately.

May result in information overload for users who prefer a simpler overview of the company's financial performance.

Single-Step Income Statement:

Advantages:

Simpler and easier to prepare, as it combines all revenues and expenses into two main categories: total revenue and total expenses.

Provides a quick snapshot of overall profitability without the need to analyze multiple components separately.

Offers a straightforward presentation of net income, which can be useful for users who prefer a concise view of financial results.

Disadvantages:

Lacks the detailed breakdown of revenues, expenses, and profitability that is provided by a multiple-step income statement.

Does not differentiate between different sources of revenue and expenses, making it harder to identify specific areas affecting profitability.

May not provide sufficient information for decision-making, as it lacks the granularity needed for in-depth analysis.

Overall, the choice between a multiple-step and single-step income statement depends on the specific needs of the users and the level of detail required for financial analysis. While a multiple-step income statement offers more comprehensive insights, it requires more time and effort to prepare. On the other hand, a single-step income statement provides a simplified overview but may lack the depth necessary for a thorough analysis of a company's financial performance.

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Provide an example of an indirect cost and how a company might
assign the cost to the individual products or services. Or describe
why it is important to properly allocate overhead costs (be sure to
i

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Indirect costs are costs that are not directly traceable to a specific cost object such as a product, service, or department. They are necessary to produce a good or service, but they are not directly related to the production process. Examples of indirect costs include rent, utilities, and administrative expenses.

One way a company might assign indirect costs to individual products or services is through the use of activity-based costing (ABC). ABC allocates indirect costs based on the activities that drive them. The company identifies the activities that are involved in producing each product or service and then assigns the indirect costs to those activities.For example, a company that produces different types of bicycles may have indirect costs such as rent and utilities that cannot be traced directly to a specific bicycle. However, the company can identify the activities involved in producing each bicycle, such as designing the frame, painting the frame, assembling the bicycle, and packaging the bicycle. The company can then allocate the indirect costs based on the activities that drive them.It is important to properly allocate overhead costs because it provides a more accurate picture of the cost of producing each product or service. This information is important for pricing decisions and profitability analysis. If overhead costs are not properly allocated, a company may overprice or underprice its products or services, which can result in lost sales or reduced profitability. In addition, proper allocation of overhead costs can help a company identify areas where it can reduce costs and improve efficiency.

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On December 31, 2015, Martin Corp invested in Marlin's 5-year, $200,000 bond with a 5% interest rate for $191,575. The bond pays semiannual interest on June 30th and December 31st. The fair values of the bonds at the end of 2016-2018 are $194,500, $194,200, and $195,750. Martin sold its investment in Marlin's bond on July 1, 2019 at 98%½ (i.e. selling price is = 98.5% of the face value). Please answer all following questions using Excel Template.
A. What is the market interest rate for Marlin's bond?
B. Prepare an amortization schedule related to the bond investment in Marlin. How does Martin's investment classification (as HTM, AFS, or Trading) influence this amortization schedule?
C. Assuming the bonds are classified as held-to-maturity investments,
• Prepare the journal entries on December 31, 2015
Prepare the journal entries related to the bond on December 31, 2016.
Prepare the journal entries related to the bond on December 31, 2018.
• Prepare the journal entries related to the bond on July 1 2019.
D. Assuming the bonds are classified as AFS investment, prepare the journal entries on aforementioned dates.
E. Assuming the bonds are classified as Trading investment, prepare the journal entries on aforementioned dates.

Answers

Determining the market interest rate, preparing the amortization schedule, and recording the journal entries depend on the classification of Martin's investment (HTM, AFS, or Trading), which determines how changes in fair value are recognized.

A. To determine the market interest rate for Marlin's bond, we can calculate the yield to maturity (YTM) using the bond's purchase price, face value, coupon rate, and remaining years to maturity. By finding the YTM that results in a present value close to the purchase price, we can estimate the market interest rate.

B. The amortization schedule for the bond investment in Marlin will outline the interest income, premium or discount amortization, and carrying value of the investment over time.

The classification of Martin's investment as held-to-maturity (HTM), available-for-sale (AFS), or trading will influence the amortization schedule by determining how changes in fair value are recorded.

C. Assuming the bonds are classified as held-to-maturity investments:

On December 31, 2015: Martin would record the purchase of the bond by debiting the investment in Marlin's bond and crediting cash for the purchase price.

On December 31, 2016: Martin would record the semiannual interest payment by debiting interest receivable, crediting interest income, and adjusting the carrying value of the bond.

On December 31, 2018: Similar to 2016, Martin would record the interest payment and adjust the carrying value.

On July 1, 2019: Martin would record the sale of the bond at a discount by debiting cash (proceeds from the sale), debiting or crediting the gain or loss on sale of investment, and crediting the investment in Marlin's bond.

D. Assuming the bonds are classified as available-for-sale investments:

The journal entries would be similar to the HTM classification, but any changes in the fair value of the bond would be recorded in other comprehensive income (OCI) instead of affecting net income.

E. Assuming the bonds are classified as trading investments:

The journal entries would be similar to the HTM classification, but any changes in the fair value of the bond would be recorded directly in net income.

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3. (15 points) Suppose a government moves to reduce a budget deficit. a. (5 points) Using the long-run closed economy model, graphically illustrate the impact of reducing a government's budget deficit

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The main answer to this question is to illustrate the impact of reducing a government's budget deficit using the long-run closed economy model. This can be achieved by following these steps:Step 1: Understand the long-run closed economy modelThe long-run closed economy model refers to a macroeconomic model that takes into account the assumptions of fixed prices, fixed interest rates, and fixed exchange rates.

It also assumes that the economy is in equilibrium in the long run, which means that output and employment are at their natural rates, and inflation is constant. Step 2: Understand the impact of reducing a budget deficit-reducing a budget deficit means that the government is spending less than it is receiving in revenue.

This will result in a decrease in the demand for goods and services in the economy since the government is a major buyer of these goods and services. This decrease in demand will lead to a decrease in output and employment in the short run.Step 3: Graphical illustration of the impact of reducing a budget deficitTo graphically illustrate the impact of reducing a budget deficit, se the AD-AS model. In the short run, the reduction in government spending will shift the AD curve to the left,  In conclusion, reducing a government's budget deficit will have a short-term impact of decreasing output and employment but will lead to long-term equilibrium.

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Oakmont Company has an opportunity to manufacture and sell a new product for a four-year period. The company’s discount rate is 13%. After careful study, Oakmont estimated the following costs and revenues for the new product:

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This investment opportunity has a net present Value (NPV) with a discount factor of $32,991.

How to solve for the NPV

The cost of the required equipment is provided as $135,000. The working capital needed is identified as $61,000, bringing the total to $196,000.

For annual revenues and costs:

The sales revenues are presented as $260,000. The variable expenses amount to $125,000, while the fixed out-of-pocket operating costs total $71,000.

This results in a Net Profit/Cashflow of $64,000.

It's noted that an overhaul of the equipment, which will occur in two years, is projected to cost $7,000.

In terms of terminal inflow, the equipment is estimated to have a salvage value of $11,000 in four years. The working capital needed at that time will be $61,000. Thus, the total becomes $72,000 (sum of $61,000 and $11,000).

Below is the discounted cash flow analysis at a discount rate of 13%:

Year Cashflow Discount Factor 13% Discounted Cashflow

0 -$196,000 1 -$196,000

1 $64,000 0.885 $56,640

2 $57,000 ($64,000-$7,000) 0.783 $44,631

3 $64,000 0.693 $44,352

4 $136,000 ($64,000+$72,000) 0.613 $83,368

This results in a Net Present Value (NPV) of $32,991.

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Question

Oakmont Company has an opportunity to manufacture and sell a new product for a four-year period. The company’s discount rate is 13%. After careful study, Oakmont estimated the following costs and revenues for the new product:

Cost of equipment needed  $ 135,000

Working capital needed  $ 61,000

Overhaul of the equipment in two years  $ 7,000

Salvage value of the equipment in four years  $ 11,000

Annual revenues and costs:  

Sales revenues  $ 260,000

Variable expenses  $ 125,000

Fixed out-of-pocket operating costs  $ 71,000

When the project concludes in four years the working capital will be released for investment elsewhere within the company.

Required:

Calculate the net present value of this investment opportunity. (Round discount factor(s) to 3 decimal places.)

If your personal belongings are all reduced to ashes in a fire, what is the best way to document your loss?
A. Show pictures of the ashes from the fire and request the full amount of coverage.
B. Provide from your memory a list of your belongings and their worth.
C. Provide the report from the fire department.
D. Prepare and safeguard a visual (video or photographic) inventory that is kept in a safe deposit box.

Answers

If your personal belongings are all reduced to ashes in a fire, the best way to document your loss is "prepare and safeguard a visual (video or photographic) inventory that is kept in a safe deposit box". The correct option is D.

By preparing and safeguarding a visual inventory (such as a video or photographic record) of your belongings, you can provide concrete evidence of the items you owned before the fire.

This documentation should be kept in a safe deposit box or another secure location separate from your home, ensuring it is not destroyed in the event of a disaster.

This type of documentation serves as reliable proof for insurance claims and helps establish the value of the lost items.

Therefore, the correct option is D.

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Katz reports total revenue of $245,600, cost of goods sold of $18,950 and net income of $121,000. Their total assets are $585,000 and total liabilities are $250,000. What is their return on equity (ROE)?

Answers

As per the given values, the return on equity is A) 36.12%

Total Revenue = $245,600,

Net Income = $121,000

Total Assets = $585,000

Total Liabilities = $250,000

Calculating the shareholder's equity -

Shareholders' Equity = Total Assets - Total Liabilities

= $585,000 - $250,000

= $335,000

Among the financial ratios is the return on equity. Financial ratios are data gleaned from an organization's financial records and used to anticipate and draw certain conclusions about the organization.

Calculating the return on equity -

ROE = (Net Income / Shareholders' Equity) x 100

= ($121,000 / $335,000) x 100

= 36.12

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Complete Question:

1) Katz reports total revenue of $245,600, cost of goods sold of $18,950 and net income of $121,000. Their total assets are $585,000 and total liabilities are $250,000. What is their return on equity (ROE)?

A) 36.12%

B) 48.40%

C) 20.68%

D) 41.98%

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