Suppose RZBack purchases a machine for $298,000 and puts it on a straight-line depreciation schedule over 8 years with no salvage value. If the firm sells the machine for $138,000 exactly 4 years after the original purchase and its marginal tax rate is 26%, what is the cash flow from the sale net of taxes? Round your answer to the nearest dollar.

Answers

Answer 1

The cash flow from the sale net of taxes is $140,860.

To calculate the cash flow from the sale net of taxes, we need to consider the gain or loss on the sale and the tax implications.

The machine was purchased for $298,000 and depreciated straight-line over 8 years with no salvage value. Therefore, the annual depreciation expense is $298,000 / 8 = $37,250.

After 4 years, the accumulated depreciation would be 4 * $37,250 = $149,000.

The book value of the machine at the time of sale is the original cost minus accumulated depreciation: $298,000 - $149,000 = $149,000.

Since the machine is sold for $138,000, there is a loss on the sale: $138,000 - $149,000 = -$11,000.

However, we need to consider the tax implications. The tax rate is 26%, so the tax savings from the loss on the sale will be 26% of the loss.

Tax savings = Tax rate * Loss on sale = 0.26 * (-$11,000) = -$2,860.

The cash flow from the sale net of taxes is the sale proceeds minus the tax savings:

Cash flow = Sale proceeds - Tax savings = $138,000 - (-$2,860) = $140,860.

Therefore, the cash flow from the sale net of taxes is approximately $140,860.

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Related Questions

Please help me, I’ll give brainliest

Which two things are workers in the Arts, A/V Technology, and Communications cluster most focused on? Check all that apply.

A.calculating
B.training
C.communicating
D.organizing
E.performing

Answers

Answer:

communicating and performing

Explanation:

i just answered it

The two things that workers in the Arts, A/V Technology, and Communications cluster focus on are C. communicating and E. performing

Workers in the cluster cannot focus on calculating, training, and organizing. These activities are left for the management cluster.

Workers in the Arts use creative and imaginative skills to perform and communicate the visual effects of their emotional expressions. Similarly, A/V (Audio/Video) Technology workers engage in the communication industry.

Thus, these Arts, A/V Technology, and Communications workers do not focus on calculating, training, and organizing because these activities are carried out at the higher level of the cluster.

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Assuming sales remain unchanged, if COGs increases then Gross Profit

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Assuming sales remain unchanged, if COGs (Cost of Goods Sold) increases, then the Gross Profit will decrease. Gross profit is the difference between the revenue earned from sales and the cost of goods sold.


When COGs increase, it means that the cost of producing each unit of the product has increased. This will lower the Gross Profit margin since the revenue earned from sales will now have to cover the increased cost of production. Therefore, the Gross Profit margin will decrease by the same percentage as the increase in COGs.

A decrease in Gross Profit margin can have serious implications for a business. It will lower the net profit margin, which is the overall profitability of the business. The business may also have to increase the selling price of its products to maintain its profit margin, which can result in a decrease in sales volume.

Additionally, an increase in COGs may result in reduced profit margins and cash flow, which can lead to financial difficulties and a decrease in the company's overall financial health.

In conclusion, assuming sales remain unchanged, if COGs increase, then the Gross Profit margin will decrease, which can have significant implications for the overall financial health of a business.

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Which of the following is the government agency that polices advertising claims about edible products and pharmaceuticals?
The Consumer Products Safety Commission
The National Advertising Division
The Food and Drug Administration
The Federal Trade Commission

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The Food and Drug Administration is the government agency that polices advertising claims about edible products and pharmaceuticals.  Option C is the correct answer.

The FDA is in responsibility of defending consumers from tainted, dangerous, and falsely labeled goods. Products other than livestock, poultry, and egg products covered by FSIS are regulated by FDA via its Center for Food Security and Applied Nutrition (CFSAN). Option C is the correct answer.

Pharmaceuticals, medical equipment, biologics, animal feed and cosmetics, and radiation emitting devices are all subject to FDA regulation. By constantly providing strong leadership and monitoring that has been crucial to preserving public health, the FDA has successfully carried out its job. The FDA is in charge of improving public health by speeding up developments that make medical goods more efficient, safe, and economical as well as by assisting the general public in obtaining the precise, science-based information they require to utilize medical products and foods.

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The complete question is, "Which of the following is the government agency that polices advertising claims about edible products and pharmaceuticals?

A. The Consumer Products Safety Commission

B. The National Advertising Division

C. The Food and Drug Administration

D. The Federal Trade Commission"

what is the impact of atm on banking sector? ​

Answers

Answer:

Explanation:

ATM s are of great use to the banks as the reduce the number of people storming the banks for withdrawal of money as well as deposit of money it reduces cost of operation and from customer point of view it is available easily near by hence travelling further distance to the bank is not required

ATMs are one of the most convenient services provided by the banks to customers. It is beneficial to banks as it is to its customers. It helps banks to save cost and time in withdrawing money and various other services which are now provided by ATM.

Automated teller machines, or ATMs as they are more commonly referred to, are a convenient way to conduct one-on-one transactions quickly and easily. One can do self-serviced transactions with these machines without a physical teller's aid or a trip to the bank branch. Cash withdrawals, cash deposits, and fund transfers are just a few of the many transactions possible with automated teller machines, or ATMs. Although the majority of customers only use ATMs to withdraw cash, these additional transactions make the service more effective.

With the advent of the ATM, users' financial lives became simpler because they could now perform simple transactions on their own with the aid of an ATM, which was much more practical than often visiting the bank. The ability for users to transact between banks is another significant advantage of an ATM. This means you can still use basic services like cash withdrawals from the ATM even if you don't have an account with the bank that runs the machine. Again, this saves you time and comes in handy in an emergency because you won't need to go to the ATM at your bank every time you need a quick infusion of cash. ATM helps banks operate more cheaply by lowering the number of human operations. The ATM provides service 24 hours a day which means customers can avail of money and other services at any time of the day.

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an investment project has multiple irrs. what must be true about this project?

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If an investment project has multiple internal rates of return (IRRs), it means that the cash flows of the project are such that there are multiple discount rates that could make the net present value (NPV) of the project equal to zero. This situation arises when the project has non-normal cash flows, i.e., when there are more than one sign change in the cash flows.

For example, if a project has an initial investment of $100,000, followed by cash inflows of $50,000, $60,000, and $70,000 in consecutive years, then there are multiple IRRs. The IRRs could be calculated by solving the following equation for r:
-$100,000 + $50,000/(1+r) + $60,000/(1+r)^2 + $70,000/(1+r)^3 = 0
The equation would have multiple roots because of the multiple sign changes in the cash flows. In this case, the IRRs would be around 22.9%, 57.1%, and 300%, which implies that the project is highly risky and unstable.
In general, if a project has multiple IRRs, it implies that the project has non-normal cash flows and is risky. It also implies that the traditional method of using IRR to evaluate the project may not be appropriate, as it does not provide a unique solution. Instead, other methods such as the modified internal rate of return (MIRR) or the net present value (NPV) should be used to evaluate the project. These methods provide a unique solution and take into account the time value of money and the cost of capital.

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At December 31,2025 , Whispering Corporation had an estimated warranty liability of $80.000 for accounting purposes and $0 for tax purposes. (The warranty costs are not deductible until paid.) The effective tax rate is 30%. Compute the amount Whispering should report as a deferred tax asset at December 31,2025. Deferred tax asset at December 31,2025$5

Answers

Whispering Corporation should report a deferred tax asset of $5,000 at December 31, 2025, based on the given information. This amount represents the tax benefit associated with the estimated warranty liability for accounting purposes.  Whispering Corporation should report a deferred tax asset of $24,000 at December 31, 2025.

To calculate the deferred tax asset, we need to determine the tax benefit associated with the estimated warranty liability. Since the warranty costs are not deductible until paid, the tax benefit will arise in the future when the warranty expenses are actually incurred and deducted for tax purposes.

Given:

Estimated warranty liability for accounting purposes = $80,000

Warranty liability for tax purposes = $0

Effective tax rate = 30%

To calculate the tax benefit, we subtract the warranty liability for tax purposes from the warranty liability for accounting purposes:

Tax benefit = (Estimated warranty liability for accounting purposes - Warranty liability for tax purposes) * Effective tax rate

Substituting the given values:

Tax benefit = ($80,000 - $0) * 30%

Performing the calculation:

Tax benefit = $80,000 * 0.30

Tax benefit = $24,000

Therefore, Whispering Corporation should report a deferred tax asset of $24,000 at December 31, 2025.

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What does it mean for the country to have a strong or healthy economy? What does it mean for the country to have a weak economy? What are some actions that can turn a weak economy into a strong economy?

Answers

Answer:

A strong economy country is a country with wealth and has a high currency value. While the currency value is low for the weak economy country.

Explanation:

A country having a strong economy means that the country is thriving and prospering. The economic growth of a strong economy have a high rate. It means the national GDP of a country is high and there is an increase in the average income of the people.

While a country with a weak economy has a lower growth rate. The poverty and unemployment rate of the country is also high. GDP growth is minimum.

Some of the important measures that can be taken to make a strong economy is that employment, education, increase national produce and services, controlling inflation, eliminating corruption and many more.

Write a business report about a trend or demographic element that may influence the future of the Varsity Tutors organization. It should be about a general trends in a society or industry.
Length: 800 - 1500 words

Answers

The growing demand for online education presents Varsity Tutors with an opportunity to thrive in a rapidly evolving educational landscape.

The following reasons explain the amazing expansion of online education:

Technological Developments: Online education is now more accessible and engaging because of technological advancements like high-speed internet and mobile devices. With the help of these technologies, remote learning is made simple.Flexibility and Convenience: Online learning allows students to set their own schedules, locations, and rates of learning. It fits into people's hectic schedules, enabling them to juggle schoolwork with other responsibilities.Customization & Personalization: Online learning environments may be adapted specifically to the demands of each student. Targeted training and tracking of progress are made possible by adaptive learning technology and data-driven insights.

There are many chances for Varsity Tutors as a result of the rising demand for online education.

Market Expansion: Varsity Tutors may enter new markets by providing a large selection of online courses to meet the demands of various learners. Expanding topic subjects, taking professional development classes, and receiving specialized skill training are some examples of this.Technology Inclusion: Varsity Tutors should keep spending money on cutting-edge technology to improve their online platform. Including elements like interactive exams, virtual reality simulations, and AI-powered coaching can improve the learning process and draw in more students.Strategic Partnerships: Varsity Tutors may reach a wider audience and gain access to a broader consumer base by working with businesses, companies, and other online platforms.

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onfinancial rewards that are designed to enrich employees' lives. A. Company stock B. Health and dental insurance C.Fitness club memberships D.Employee

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Nonfinancial rewards designed to enrich employees' lives can refer to a wide range of employee benefits that are not directly tied to compensation or salary. Option D is correct.

These benefits can include things like flexible work schedules, opportunities for professional development, and access to resources that help improve employees' quality of life, such as counseling or wellness programs. Employee benefits can be an effective way for companies to attract and retain top talent, as well as build a positive company culture that values and invests in its employees.

However, it's important for employers to evaluate the cost and impact of different benefits offerings to ensure they are aligned with their business goals and resources, and meet the needs and preferences of their employees.

Therefore, option D is correct.

Nonfinancial rewards that are designed to enrich employees' lives.

A. Company stock

B. Health and dental insurance

C. Fitness club memberships

D. Employee benefit

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education opens the door to employment.

Answers

Answer:

yes education opens the door to employment as Education give us a new identity and talent which people are looking for the employment. Education can lead to success and employement.

Yes correct perfect

if you are the owner of a firm that is at a comparative cost disadvantage and compete in a bertrand game, would you rather be in an industry with differentiated products or an industry with homogenous products? why?

Answers

If I am the owner of a firm that is at a comparative cost disadvantage and competes in a Bertrand game, I would rather be in an industry with homogenous products

Comparative advantage enables trading partners to specialize where each has the lowest opportunity cost, increasing overall output and giving both more money to spend through reciprocal exchange. Benefits start to flow as soon as each party "discovers" its advantage and specialized accordingly.

Thus, the Bertrand competition model of competition pits two or more businesses against one another on pricing for a uniform good. This price competition leads to enterprises selling their products at marginal costs and making no profit since the commodities are perfect substitutes.

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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???

Answers

Answer : Monopolistic competition

Answer:

Monopolistic Competition

Explanation:

In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.

When the mortgage rates get high, the housing market will collapse, as fewer people will take loans for buying houses because of higher interest rates, and this will result in a

Answers

Loss in profit for the housing market.

although anorexics feel a(n) __________ over eating, bulimics feel a _____________.

Answers

Answer:

Although anorexics feel a(n) _Sense of control_____ over eating, bulimics feel a _ lack of control._____  Unfortunately, the drive for thinness in ...

Explanation:

Which career is best suited for people who have a high school diploma?

- Administration and information support.

- Human resources.

- Business financial management and accounting.

- Business analysis.

Answers

Answer:

It should be Human resources because it is the least technical compared to the other three options.

Steve has worked 36 hours this week at $10/hour. On his last shift of the week he clocks in at 8:05 am and takes his lunch at 11:53. He comes back from lunch at 12:35 and clocks out at 4:56. How much will Steve's Gross Pay be?

Answers

Answer:

$441.5

Explanation:

Hours already worked = 36 hours

Rate = $10 / day

Number of hours worked on last shift :

8:05 - 11:53 = 3 hours 48 minutes

12:35 - 4:56 = about 4 hours 21 minutes

Total hours (3 hours 48) + (4 hours 21 minutes). = 8 hours 9 minutes

Hence, total hours worked that week :

36 hours + 8hours 9 minutes

44 hours 9 minutes

Rate = $10 / hour

(44*$10) + (9/60 * $10)

$440 + $1.5

Gross pay = $441.5

The advertising industry was worth how much money in 1920

Answers

Answer:

nearly 3 billon

Explanation:

Total advertising volume in the United States grew from about $200 million in 1880 to nearly $3 billion in 1920.

(a) A firm produce under the marginal cost (MC) and marginal revenue (MR) function, in thousands of Ghana cedis, for a product defined by Where q is the quantity produced and sold. It is known that the firm breaks even at 5 units per MC = q + 20 MR620+11q- q² week. You are required to:
(10) Determine the total cost and the total revenue function in terms of q
(11) Determine the output at which profit is maximized.
(11) Calculate the maximum profit.
b) The Economics department of Bank of Ghana has estimated that during periods of high economic growth, the Ghana cedi will appreciates with probability 0.70; in periods of moderate economic growth, it appreciates with probability 0:40, and during periods of low economic growth, the cedi appreciates with probability 0.20. During any period of time the probability of high economic growth in Ghana is 0.30; the probability of moderate economic growth is 0.50 and the probability of low economic growth is 0.20.

Answers

The probability of the Ghana cedi appreciating during any period of time is 0.45, or 45%.

(a) To determine the total cost and total revenue functions, we need to find the equations for each.

Given:

Marginal Cost (MC) function: MC = q + 20

Marginal Revenue (MR) function: MR = 620 + 11q - q^2

To find the total cost (TC) function, we integrate the marginal cost function with respect to q:

\(\[TC = \int(MC)dq = \int(q + 20)dq = \frac{1}{2}q^2 + 20q + C1\]\)

To determine the constant of integration (C1), we know that the firm breaks even at 5 units, which means TC = 0 at q = 5:

\(0 = (1/2)(5)^2 + 20(5) + C1\)

0 = 25/2 + 100 + C1

C1 = -225/2

So the total cost function is:

\(TC = (1/2)q^2 + 20q - (225/2)\)

Next, to find the total revenue (TR) function, we multiply the quantity (q) by the price (p):

TR = p * q

However, the price (p) is not given in the problem. We need more information or an equation relating price to quantity or revenue to determine the total revenue function accurately.

To determine the output at which profit is maximized, we need to find the quantity that maximizes profit. Profit (P) is calculated as:

P = TR - TC

To maximize profit, we find the quantity (q) where the marginal revenue (MR) equals the marginal cost (MC):

MR = MC

Substituting the given MR and MC functions:

\(620 + 11q - q^2 = q + 20\)

Simplifying the equation:

\(q^2 - 10q + 600 = 0\)

Solving this quadratic equation, we find the roots q = 10 and q = 60. Since profit is maximized at the quantity where MR = MC, the output at which profit is maximized is q = 10.

To calculate the maximum profit, substitute q = 10 into the profit equation:

P = TR - TC

\(= (p \times 10) - [(1/2)(10^2) + 20(10) - (225/2)]\)

P = 10p - 225

The maximum profit is determined by the price (p) of the product. Without additional information or an equation relating price to quantity or revenue, we cannot calculate the maximum profit.

(b) The Economics department of the Bank of Ghana has estimated the probabilities of the Ghana cedi appreciating during different economic growth periods. In periods of high economic growth, the cedi appreciates with a probability of 0.70; during moderate economic growth, the probability is 0.40, and during low economic growth, the probability is 0.20.

Additionally, the probabilities of each economic growth scenario occurring are given. The probability of high economic growth is 0.30, moderate economic growth is 0.50, and low economic growth is 0.20.

Based on this information, we can calculate the overall probability of the cedi appreciating by multiplying the probability of each economic growth scenario by the corresponding appreciation probability and summing the results.

The overall probability of the cedi appreciating =

(0.30 * 0.70) + (0.50 * 0.40) + (0.20 * 0.20) =

0.21 + 0.20 + 0.04 = 0.45

Therefore, during any period of time, the probability of the Ghana cedi appreciating is 0.45, or 45%.

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Which of the following statements is a strong reason for giving credit to sources of data in a formal business doccument

Answers

Answer:

It shows you have done solid research to back up your conclusions.

Multiple choice options for this question are as follows:  online source

A). It shows you have done solid research to back up your conclusions.

B). Readers of a business document do not pay attention to sources

C). Giving credit is easier than treating others' ideas as your own

D). It is a requirement of MLA and APA styles

Explanation:

Giving credit to your sources is a phrase that refers to Referencing or citing the source of your information. It is important to the reader or user of the document because they can always go back and verify the data's accuracy. Referencing also leaves a trail that can be used to see the views and opinions of other business people or researchers .

Giving credit to your sources in a formal business document shows you took the time to research the subject matter. It gives the impression that you can relate your ideas to the views of other professionals in the industry.

Answer:

A). It shows you have done solid research to back up your conclusions

Explanation:

Cash from operating activities differs between the direct and indirect method with respect to the:

Answers

The cash flows from operating expenses represent the primary distinction between the direct technique and the indirect approach of creating cash flow statements. By using the direct method, you display the cash flow from operational operations as actual cash outflows and inflows on a cash basis rather than starting with net income on an accrual basis.

Your ability to successfully manage cash flow is aided by the cash flow statement, a crucial financial document that shows how money leaves and enters a business. When preparing this report, you can use a variety of techniques, including direct and indirect techniques, even if it has set and particular aims. We examine direct and indirect cash flow in this article, give instances for each, discuss their distinctions, and list their benefits and drawbacks.

The term "direct cash flow" refers to the direct method, one of the two accounting methods used to produce a thorough statement of cash flow that displays changes in cash throughout the course of the period. The direct approach is often referred to as the cash flow statement method or the "income statement method."

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What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

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You plan on making payments on a new car too. you want to spend 15% of your monthly net pay on the car payment, insurance, registration, and taxes combined. what is your monthly car allowance? $149.46 $298.91 $448.37 $597.83

Answers

Taking into account the car payment, insurance, registration, and taxes combined, the monthly car allowance is $ 448.37.

What is an insurance?Most individuals have insurance of some type, whether it is for their life, their home, or their car.However, the majority of us rarely pause to consider what insurance is or how it functions. In a nutshell, insurance is a contract, symbolised by a policy, under which a policyholder receives financial security or compensation from an insurance firm against losses. In order to make payments to the insured more manageable, the company pools the risks of its clients. Insurance policies are intended to protect against the possibility of monetary losses, large and little, that may be brought on by harm to the insured or their property or by liability for harm or injury given to a third party.

Given that you want to spend 15% of your monthly net pay on the car payment, insurance, registration, and taxes combined. your monthly net pay is $2989. Then the monthly car allowance can be determined by 15% of $2989.

15 × \(\frac{2989}{100}\) = $ 448.37.

Therefore, The monthly car allowance is $ 448.37.

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Answer:

correct answer is 448.37

Explanation:

Is it possible for everyone to agree on what is in ""the common good""? How should we make decisions that concern natural resources?

Answers

Answer:

Follows are the solution to this question:

Explanation:

The necessary resources, irrespective of human actions could be defined as natural resources. Wind, light, water, land, rock, plants, animals, and coal power were common examples of natural resources.

For the development of any country, the resource is important. For instance, energy sources are necessary to generate power so, we need mineral reserves for industrial development.For the population increasing it is important to preserve them, that's why we decide because each person has a different viewpoint so, they can't be unanimous agreement.

Chapter 7 Homework 10 1 points eBook Print References Saved Help KP Incorporated is negotiating a 10-year lease for three floors of space in a commercial office building. KP can't use the space unless a security system is installed. The cost of the system is $50,000, and it will qualify as seven-year recovery property under MACRS. The building's owner has offered KP a choice. The owner will pay for the installation of the security system and charge $79,000 annual rent. Alternatively, KP can pay for the installation of the security system, and the owner will charge only $72,000 annual rent. Assume that KP has a 21 percent marginal tax rate, cannot make a Section 179 election to expense the $50,000 cost, and uses a 9 percent discount rate. Use Table 7-2, Appendix A and Appendix B. Required: a-1. Calculate the NPV of the security system. a-2. Calculate the NPV of the after-tax cost of each alternative. b. Which alternative should it choose? Complete this question by entering your answers in the tabs below. Req A1 Req A2 Req B Calculate the NPV of the security system. (Round intermediate computations and final answers to the nearest whole dollar amount. Cash outflows and Negative amount should be indicated by a minus sign.) Cost of Recovery Tax Savings Improvements Deduction at 21% Net Cash Flow Present Value at 9% Year 0 Year 1 Year 2 Year 3 Year 4 Year 5 Year 6 Year 7 NPV of the security system $ < Req A1 Req A2 > 10 1 points eBook Print References Complete this question by entering your answers in the tabs below. Req A1 Req A2 Req B Calculate the NPV of the after-tax cost of each alternative. (Round intermediate computations and final answers to the nearest whole dollar amount. Cash outflows and Negative amount should be indicated by a minus sign.) First alternative: Annual rent Tax savings of rent deduction After-tax cost of annual rent $ 0 After-tax cost of year 0 rent NPV of after-tax cost of rent for years 1-9 NPV of annual rent cost Second alternative: Annual rent Tax savings of rent deduction After-tax cost of annual rent After-tax cost of year 0 rent NPV of after-tax cost of rent for years 1-9 NPV of annual rent cost NPV of cost of leasehold improvement Total NPV $ $ $ S 0 0 0 0

Answers

The NPV of the security system is $-27,260. The NPV of the after-tax cost for the first alternative is $29,826, and for the second alternative is $34,858.

To calculate the NPV of the security system, we need to determine the cash flows associated with the investment. The initial cash outflow is the cost of the security system, which is $50,000. We then calculate the tax savings from the depreciation deduction using the MACRS recovery period of 7 years. Applying a 21% tax rate, we find the tax savings for each year and subtract it from the net cash flow. Finally, we discount the net cash flows at a 9% discount rate and sum them up to calculate the NPV, which is -$27,260. KP should choose the first alternative, as it has a higher NPV and therefore results in a more favorable financial outcome.

For the after-tax cost of each alternative, we consider the annual rent and the tax savings from the rent deduction. We subtract the tax savings from the annual rent to obtain the after-tax cost of the rent for each year. Then, we calculate the NPV of the after-tax cost by discounting the cash flows at a 9% discount rate. For the first alternative, the NPV of the after-tax cost is $29,826, and for the second alternative, it is $34,858.

Based on the NPV analysis, KP should choose the first alternative as it has a higher NPV, indicating a better financial outcome. This means that paying a higher annual rent while having the owner install the security system results in a more favorable financial position for KP compared to paying a lower rent but bearing the cost of the security system installation.

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Horst company has 50,000 stock options outstanding. The option exercise price is $13 per share, the average market price of the stock was $12 per share during the year, and the end-of-year stock price was $14. For the purpose of calculating eps, these stock options are multiple choice question. Neither dilutive nor antidilutive. Antidilutive. Dilutive

Answers

There are 50,000 exercisable stock options at Horst Company. The average market price of the stock over the year was $12 per share, the exercise price of the option is $13 per share, and the stock price at the end of the year was $14. These stock options are antidilutive when determining eps.

Activities that maintain or boost EPS and shareholder voting power are referred to as antidilutive. On the other hand, dilutive refers to the result of certain actions or activities that lower EPS. Dilutive actions decrease the ownership rights of current shareholders. When another security mechanism would normally erode the owners' ownership interests, several security instruments contain clauses or ownership rights that let the owners to buy more shares. These are frequently referred to as anti-dilution clauses. This can occur when a decline in an owner's ownership interest results from a rise in the number of outstanding shares. Due to additional shares being issued during a round of equity financing, the total number of shares outstanding may rise. Anti-dilution clauses give shareholders the right to preserve their ownership proportions in the event that additional shares are issued. When new shares are issued, the ownership of an existing shareholder is diluted.

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What is an Individual Asynchronous Communicator? And provide 2 examples of people who are like that

Answers

Answer:

asynchronous communication is when you send a message without expecting an immediate response. For example, you send an email. I open and respond to the email several hours later. You can choose anyone you know for the example of people who are like that part. <3

Explanation:

when using a roth plan, you invest your money after paying taxes, and the investment grows tax-free.

Answers

True - When using a roth plan, you invest your money after paying taxes, and the investment grows tax-free.

That is, when you contribute to a Roth IRA with money that you have already paid taxes on, there is no additional tax due when you remove funds from the account in retirement.

A Roth IRA is an individual retirement account that accepts after-tax contributions. While there are no tax benefits for the current tax year, after you turn 59 \(\frac{1}{2}\) and the account has been open for five years, your contributions and earnings can grow tax-free and you can withdraw them without paying taxes or penalties.

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What might be an example of corporate social responsibility

Answers

funding water conservation technologies.

An example of corporate social responsibility is funding for planting trees in the city or country.

What is corporate social responsibility?

Corporate social responsibility is kind of a social responsibility of business owners and organizations towards the betterment of the society and environment. There are many ways to fulfill corporate social responsibility, such as planting trees, giving jobs to the underprivileged, funding for water and sanitation facilities, and many more.

At present times, this act of corporate social responsibility is being taken really seriously by business people, and they are fulfilling this responsibility with great zeal. There are dedicated departments in organizations that look after these activities.

Thus, planting trees is one example of corporate social responsibility.

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Which demographic groups does Women in Motion serve?(keep it clear and short)

Answers

The demographic group Women in Motion serve is Women who are all talented and Young giving in their best contribution to Cinema.

What is demographic?

Demographic is referred to defining a set of populations based on the characteristics like age, gender, social status, education, qualification, and so on.

"Women in Motion" has referred to a kind of award which was given to effective young female personalities who are raising the position of women in society and providing a contribution to their growth.

The event has emerged as a go-to platform for starting discussions and influencing perceptions around the representation of women in the arts and entertainment industries.

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Tony earned a bachelor's degree at a public school. Which type of higher education institution did he attend?
A.
A 2-year college.
B.
A propriety school.
C.
A theological school.
D.
A 4-year university.

Answers

Answer:

D

Explanation:

Bachelor Degree is 4 years

Answer:

D.  

A 4-year university.

Explanation: