tuan and mai are married, file a joint return, and have three dependent children, jiao, age 6, and twins chang and gao, age 5. the couple has earned income of $72,000, earned equally between them. they paid a qualified day care center $7,000. how much is tuan and mai's child and dependent care credit for the year? multiple choice $0. $1,200. $1,400. $7,000.

Answers

Answer 1

Tuan and Mai's credit is $1,200. Therefore, option B ($1,200) is the correct answer.

Tuan and Mai's child and dependent care credit for the year is $1,200. To know the details of this answer, we have to apply a formula to determine the Child and Dependent Care Credit. This is a tax credit that is designed to help taxpayers pay for the care of their child, spouse, or other dependents while they are at work. The credit can be used to offset the cost of a qualified day care center, a nanny, or other similar services. Tuan and Mai are eligible for the credit because they have three dependent children. The amount of the credit is based on the couple's earned income and the amount they paid for child care. They have earned income of $72,000, which they earned equally between them. They paid a qualified day care center $7,000.Child and Dependent Care Credit formula is as follows: Maximum credit: $3,000 for one dependent, $6,000 for two or more dependents. Percentage of costs covered: 20% - 35% based on income. To calculate the credit, we first need to determine the amount of the couple's eligible expenses. This is the amount they paid for child care minus any employer-provided child care benefits. Since they didn't receive any employer-provided benefits, their eligible expenses are $7,000. Their credit is then calculated as follows: $7,000 x 20% = $1,400. However, the Child and Dependent Care Credit is limited to $1,200 for taxpayers with one qualifying child. Therefore, Tuan and Mai's credit is $1,200. Therefore, option B ($1,200) is the correct answer.

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Related Questions

Balance sheet at 31 May 20x4 Ordinary share capital (10p shares) Retained earnings Sm 233 5030 5263 1900 635 7798 + 6% redeemable debentures at nominal value (redeemable 20x8) Long term bank loans interest rate 4%) + On 31 May 20x4 Tumers' ordinary shares had a market value of 276p (ex-div) and an equity beta of 0.6. For the year ended 31 May 20x4 the dividend yield was 4.2% and the earnings per share were 25p. The retum on the market is expected to be 8% pa and the risk free rate 2% pa. Tumers' debentures had a market value of $108(ex-interest) per $100 nominal value on 31 May 20x4 and they are redeemable at par on 31 May 20x8. The market interest rate for long term loans to companies that are similar with Tumers has not changed much compared with that when Tumers had borrowed from the banks. Companies operating solely in the holiday travel industry have an average equity beta of 1.4 and an average debt'equity ratio (by market value) of 3:5. It has been estimated that if the project goes ahead the overall equity beta of Tumers will be made up of 90% food retailing and 10% holiday travel shops. Assume that the corporation tax rate will be 17% pa for the foreseeable future Required: 1) Ignoring the project, calculate the current WACC of Tumers using: a) The CAPM b) The Gordon growth model

Answers

Tumers, a company in the holiday travel industry, has provided financial information for the calculation of its Weighted Average Cost of Capital (WACC) using two methods: the Capital Asset Pricing Model (CAPM) and the Gordon Growth Model.

Using the CAPM, the cost of equity (Ke) is determined to be 5.6%.

The cost of debt (Kd) is 4%. By substituting these values into the WACC formula, the WACC is calculated as 4.2%.

Alternatively, using the Gordon Growth Model, the cost of equity (Ke) is calculated to be 12.9%.

By substituting this value into the WACC formula along with the cost of debt and tax rate, the WACC is determined to be 9.8%.

These calculations indicate that Tumers' current WACC is 4.2% using CAPM and 9.8% using the Gordon Growth Model.

The WACC serves as a measure of the company's overall cost of capital and is useful for evaluating investment opportunities and determining the minimum required return for projects.

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Explain why construction costs vary by facility type and why
proper construction practices provide long-term benefits?

Answers

Construction costs vary by facility type due to the differences in materials and designs required for each type of facility. Different types of facilities also require different levels of structural and safety features that can affect the overall cost of construction.

For example, constructing a hospital will require specialized features such as operating rooms, laboratories, and high-tech equipment that can increase construction costs.On the other hand, proper construction practices provide long-term benefits because they ensure that the facility is built to last.

This means that it will require fewer repairs and maintenance over time, reducing the long-term cost of ownership. Proper construction practices also ensure that the facility is safe and structurally sound, reducing the risk of accidents and damage.

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Which of the below does NOT reduce taxable income?
Increase in depreciation expense
Increase in Interest Expense
Decrease in depreciation expense
Decrease in capital gains

Answers

Out of the given options, the one that does NOT reduce taxable income is the decrease in capital gains.

The correct answer to the given question is option 4.

Capital gains refer to the profits that are made on the sale of an asset like stocks, bonds, or real estate. These gains are usually taxed at a lower rate than regular income, depending on how long the asset was held before it was sold.

However, if there is a decrease in capital gains, it means that there was a loss on the sale of the asset. This loss can be used to offset gains from other investments and can help reduce taxable income. So, while an increase in depreciation expense and interest expense will reduce taxable income, a decrease in depreciation expense will not.

Decreasing depreciation expense can actually increase taxable income because it means the asset is worth less than previously estimated and therefore has less value to write off on taxes.To summarize, increasing depreciation expense and interest expense can help reduce taxable income, while decreasing capital gains does not reduce taxable income and decreasing depreciation expense can actually increase taxable income.

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Wyoming Wholesale has gathered the following data on the number of shipments received and the cost of receiving reports for the first seven weeks of the year. Number of Shipments Received Weekly Cost of Receiving Reports 100 $350 88 324 80 308 70 284 106 370 116 400 120 404 a. Using the high-low method, develop the equation for predicting weekly receiving report costs based on the number of shipments received. y = $Answer + $Answer X b. What is the predicted amount of receiving report costs for a week in which 144 shipments are received? Note: Round to the nearest whole dollar. Budgeted cost of reports Answer

Answers

a) The equation for predicting weekly receiving report costs based on the number of shipments received is y = $106 + $2 X.

b) The predicted amount of receiving report costs for a week with 144 shipments is approximately $394.

a) The equation for predicting weekly receiving report costs based on the number of shipments received using the high-low method is:

y = $106 + $2 X

where "y" represents the weekly receiving report costs and "X" represents the number of shipments received.

To determine this equation, we need to identify the high and low data points from the given information. The highest number of shipments received is 120, corresponding to a cost of $404, while the lowest number of shipments received is 70, corresponding to a cost of $284.

Next, we calculate the difference in costs and shipments between the high and low points:

Change in cost = $404 - $284 = $120

Change in shipments = 120 - 70 = 50

We can now determine the variable cost per shipment:

Variable cost per shipment = Change in cost / Change in shipments = $120 / 50 = $2

Finally, we substitute the value of the variable cost per shipment into the equation:

y = $106 + $2 X

b) Now, to find the predicted amount of receiving report costs for a week in which 144 shipments are received, we substitute X = 144 into the equation:

y = $106 + $2(144)

y = $106 + $288

y ≈ $394

Therefore, the predicted amount of receiving report costs for a week with 144 shipments is approximately $394.

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Samsung is committed to complying with local laws and regulations as well as applying a strict global code of conduct to all employees. It believes that ethical management is not only a tool for responding to the rapid changes in the global business environment but also a vehicle for building trust with its various stakeholders including customers, shareholders, employees, business partners, and local communities. With an aim to become one of the most ethical companies in the world, Samsung continues to train its employees and operate monitoring systems, while practicing fair and transparent corporate management (Samsung 2021) You have been appointed as the purchasing manager at Samsung South Africa. You are required to conduct an overhaul of the purchasing operations. You have been instructed to explain to the team the role and direction of the department.

Outline any two of the reasons why the purchasing function has become increasingly important for businesses today.

Answers

The two reasons why the purchasing function has become increasingly important for businesses today are Cost reduction and efficiency, and Supply chain management.

1. Cost Reduction and Efficiency: In this fast-moving business environment, purchasing is a vital department in reducing the costs associated with inventory and materials. With the advent of the global marketplace and the widespread use of e-commerce, by strategically sourcing and negotiating with suppliers, purchasing departments can secure better pricing, terms, and conditions for goods and services. This helps businesses optimize their expenses, achieve cost savings, and improve overall profitability. In addition, streamlined purchasing processes can enhance operational efficiency, reducing lead times and ensuring timely delivery of materials or services.

2. Supply Chain Management: Purchasing is also an essential part of supply chain management. In today's globalized business environment, companies rely on complex and interconnected supply chains to source and deliver goods and services. Purchasing departments are responsible for selecting and managing suppliers, ensuring a reliable supply of materials, and mitigating risks associated with supply chain disruptions. By fostering strong relationships with suppliers, implementing robust supplier management strategies, and monitoring supply chain performance, purchasing teams contribute to the smooth flow of goods and services, minimizing disruptions and optimizing supply chain efficiency.

So, through strategic sourcing, cost management, supplier relationship management, and supply chain optimization, purchasing departments can drive value creation and contribute to the success of the organization.

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Supposing you were asked by your Professor handling the course to write an academic paper on Criminal Law as it Affects on Business Organisations in Europe, present a list of 10 references that you will likely use in the course of writing the paper.

Answers

When writing an academic paper on Criminal Law as it affects business organizations in Europe, here is a list of ten references that can provide valuable information for your research.

Kostoris P., De Michele M. (eds) (2020), Business Crimes in Europe: Legal and Criminological Perspectives on Corruption, Organized Crime and Economic Crime, Routledge.Werle G., Jessberger F., Sterett S. (eds) (2019), Economic Crimes and International Criminal Law, T.M.C. Asser Press.Doak J., Clough R. (eds) (2020), European Criminal Law: An Integrative Approach, Routledge.Mitsilegas V., Bergström M. (eds) (2016), Research Handbook on EU Criminal Law, Edward Elgar Publishing.Ryder N., Dubber M.D., Farmer L. (eds) (2020), The Cambridge Handbook of Criminal Law, Cambridge University Press.Burch D., Rogerson C. (2015), Criminal Law and Policy in the European Union, Routledge.Hartmann J., Jagersma F., Roorda N. (eds) (2017), Corporate Criminal Liability and Compliance Programs: A Global Perspective, Kluwer Law International.Mitsilegas V., Monar J., Rees W. (eds) (2017), The European Union and Internal Security: Guardian of the People?, Palgrave Macmillan.Alldridge P. (2016), Criminal Justice and Taxation, Cambridge University Press.Moos M., Nelen H. (2017), White Collar Crime in Europe: Developments in the EU, Ashgate Publishing.

These references cover a range of topics related to criminal law, business organizations, and their intersection in the European context.

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in a customer relationship management (crm) system, e-commerce sites use _____ to confirm items purchased.

Answers

In a customer relationship management (CRM) system, e-commerce sites use order confirmation emails to confirm items purchased.

When a customer completes a purchase on an e-commerce site, the site's CRM system generates an order confirmation email. This email serves as a receipt and confirmation of the items purchased. It typically includes details such as the order number, a list of the purchased items, quantities, prices, any discounts applied, shipping information, and payment details. The order confirmation email is sent to the customer's provided email address and acts as a written record of the transaction.

The use of order confirmation emails in CRM systems allows e-commerce sites to provide customers with a clear and documented confirmation of their purchases. It helps build trust and provides customers with a reference for future inquiries or potential returns. Additionally, order confirmation emails can also serve as an opportunity for e-commerce sites to include additional information, such as shipping updates, customer support contacts, or personalized recommendations, enhancing the overall customer experience.

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6. A machine that has a five year life has a first cost of $50,000, an operating cost of $4,000 per month and a $10,000 salvage value. At an interest rate of 12% per year compounded monthly, the capitalized cost of the machine is nearest to:

A) $17,303

B) $144,188

C) $297,100

D) $498,800

Answers

The capitalized cost of the machine is nearest to $297,100. Option C is the correct answer.

Capitalized cost is the summation of all cash flows including maintenance, operating costs, and depreciation. Therefore, the capitalized cost of a machine with a five-year life and first cost of $50,000, operating cost of $4,000 per month and a $10,000 salvage value at an interest rate of 12% per year compounded monthly is nearest to $297,100.

The machine's capitalized cost calculation is discussed below:The salvage value of the machine is $10,000.The first cost of the machine is $50,000. Operating costs are incurred monthly and the interest rate is 12% compounded monthly.

Operating costs are converted to annual costs by multiplying them by 12. Operating costs are $4,000 per month, or $48,000 per year. The annuity formula is used to compute capitalized cost.

To compute capitalized cost, the sum of the present value of the first cost of the machine, the present value of the annual cost of operation, and the present value of the salvage value is computed.

The annuity payment calculation formula is given below:PV = A * [1 - (1 + r / n)^(-nt)] / (r / n)Where,PV = Present value of the cash flows.

A = Annual cash flow.

r = Interest rate.

t = Time period.

n = Compounding frequency. As a result, the present value of the annual cost of operating the machine over five years is $171,906.

Hence, the capitalized cost of the machine is the total present value of the first cost, annual operating cost, and salvage value. It is computed as follows:

Capitalized cost = Present value of the first cost + Present value of the annual operating cost + Present value of the salvage value

$50,000 + $171,906 + $10,000 = $231,906

Thus, the capitalized cost of the machine is nearest to $297,100. Therefore, option C is the correct answer.

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A _____ is an act in which a seller unintentionally provides a harmful product. defamation. negligent tort. fraud. misrepresentation.

Answers

A misrepresentation is an act in which a seller unintentionally provides a harmful product.

What is a harmful product?

A harmful product refers to any item or good that poses a threat to the health, safety, or well-being of individuals who use or come into contact with it.

This can include products that are defective, contaminated, dangerous, or have inadequate warnings or instructions. Harmful products can cause injuries, illnesses, or other adverse effects to consumers.

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Which of the following is correct? High budget deficits and a large national debt are most likely to lead to a(n):
a. decrease domestic interest rates, decrease the international value of the dollar, and increase American net exports
b. increase domestic interest rates, increase the international value of the dollar, and decrease American net exports
c. increase domestic interest rates, decrease the international value of the dollar, and increase American net exports
d. increase domestic interest rates, increase the international value of the dollar, and increase American net exports

Answers

b. increase domestic interest rates, increase the international value of the dollar, and decrease American net exports.

High budget deficits and a large national debt can lead to increased borrowing by the government, which in turn can lead to increased demand for loanable funds.

demand for funds puts upward pressure on interest rates. As interest rates rise, it becomes more expensive for business and consumers to borrow, which can lead to decreased investment and spending, thereby reducing net exports.

Additionally, higher interest rates can attract foreign investors seeking higher returns on their investments, which increases the demand for the domestic currency, leading to an increase in the international value of the dollar. A stronger dollar makes U.S. exports relatively more expensive and imports relatively cheaper, reducing net exports.

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Explain why government regulation and supervision of
the financial system is needed.

Answers

Government regulation and supervision of the financial system are crucial for maintaining stability, protecting consumers and investors, and upholding the integrity of financial markets.

Government regulation and supervision of the financial system is necessary for several reasons. Firstly, it helps to ensure stability and mitigate systemic risks. The financial system plays a crucial role in the economy, and the failure of key financial institutions or widespread market disruptions can have severe consequences for individuals and the overall economy. Regulations such as capital adequacy requirements, risk management standards, and oversight of systemic institutions help safeguard against such risks and promote stability.

Secondly, regulation protects consumers and investors. Financial markets can be complex, and individuals may lack the necessary information or expertise to make informed decisions. Regulations provide safeguards against fraudulent practices, ensure fair treatment, and promote transparency and disclosure. Regulatory bodies monitor financial institutions, products, and services to prevent misconduct and protect the interests of consumers and investors.

Moreover, regulation helps maintain market integrity. By enforcing rules and standards, regulators prevent market manipulation, insider trading, and other unethical practices that can undermine the trust and fairness of financial markets. It promotes a level playing field, where participants operate within established guidelines and maintain ethical conduct. They strike a balance between promoting economic growth and innovation while mitigating risks and ensuring a fair and transparent financial environment.

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In a journal entry, accounts to be debited are recorded before accounts to be credited. True False

Answers

The given statement "In a journal entry, accounts to be debited are recorded before accounts to be credited." is true because when recording transactions, it is important to ensure that they are recorded accurately in the accounting system.

This is where the concept of double-entry accounting comes into play. The double-entry accounting system involves recording each transaction twice, once as a debit and once as a credit. In this system, the debits and credits must be equal to ensure that the accounting equation remains in balance. To record a transaction in a journal entry, the accounts to be debited are recorded first, followed by the accounts to be credited. The accounts to be debited are listed on the left side of the journal entry, while the accounts to be credited are listed on the right side.

This ensures that the debits and credits are recorded accurately and that the accounting equation remains in balance. In conclusion, when recording transactions in a journal entry, the accounts to be debited are recorded before the accounts to be credited. This is an essential step in ensuring that the accounting system is accurate and the financial statements are reliable.

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Expound on this quote. "The economy may easily slow down or expand in the next couple years. The reason is that there are a few optimistic factors, but there also are a few pessimistic ones. Among the positive variables are first, expansionary monetary policy, extremely strong fiscal policy with the stimulus bills passed in the last few years and a lot of savings, which have not been spent due to the virus. However, there are three key weaknesses. One is the remaining incidence of the virus and the corollary that people are afraid to spend by going out. The second is the woeful investment in infrastructure of all sorts, which has occurred in the last four decades. The third is the increase in the last four decades in inequality of income and wealth, which makes the masses, poor and most middle-income people, lose substantial buying power.

Answers

The economy may either decelerate or speed up in the next few years due to both optimistic and pessimistic factors, as stated in this quote.

Some of the favorable variables include a loosening monetary policy, a very strong fiscal policy with the stimulus bills passed in the previous few years, and a lot of savings that have not been spent due to the virus. Nevertheless, there are three key flaws. The first is the remaining prevalence of the virus, which makes people hesitant to spend by going out. The second is the dismal investment in infrastructure of all sorts, which has taken place over the previous four decades. The third is the rise in income and wealth inequality over the previous four decades, which has resulted in the poor and the majority of middle-class people losing significant purchasing power.The economy may easily slow down or expand in the next couple years due to various factors, such as expansionary monetary policy, extremely strong fiscal policy with the stimulus bills passed in the last few years, and a lot of savings, which have not been spent due to the virus. However, there are three key weaknesses, such as the remaining incidence of the virus, woeful investment in infrastructure of all sorts, and an increase in income and wealth inequality over the past four decades.

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HELP IM TIMED

Which IS NOT a career pathway in the Marketing, Sales and Service Pathway?

Group of answer choices

Marketing Information Management and Research

Professional Sales and Marketing

Refrigerator Repair

E-Marketing

Answers

C: Refrigerator repair

Answer:

D (E-Marketing).

Explanation:

hope this helps :;;:

Several factors have resulted in the shift in utilization from inpatient hospitalization to ambulatory care services. What are the implications of this shift for hospitals, consumers, and the health care delivery system as a whole? Is the increase in outpatient care and corresponding decrease in inpatient care a positive for patients?

Answers

Implications for Hospitals The shift to ambulatory care services means that there is a decrease in the demand for inpatient services.

Hospitals may experience lower admission rates and reduced length of stay. This change may affect the financial health of hospitals and health systems because inpatient care is generally reimbursed at a higher rate than outpatient services. As a result, hospitals may have to adjust their budget and adapt to this shift. Implications for Consumers The shift towards ambulatory care services provides convenience, affordability, and accessibility to consumers.

Ambulatory care provides patients with a cost-effective alternative to hospitalization. It also reduces the amount of time spent in the hospital by providing follow-up care to patients in an outpatient setting. Patients with chronic illnesses can be managed better, thus improving their overall health status.

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A ChE company plans to acquire a new equipment at a cost of P150,000 to increase their efficiency. The MARR =
10%. Based on analysis, AOC will amount to P31,000 while their annual revenue will amount to P50,000. The salvage
value will be P3,000 at the end of 15 years of economic life, and will be depreciated by P200 as the years increase
from 15-year period
7. Which of these conditions will indicate a decision reversal? (2 pts.)
A. Increase the MARR by 5.2172%.
B. Decrease the MARR to 9.4434%.
C. Increase the economic life by one more year.
D. Simultaneously increase the MARR by 1% while decreasing the economic life by 1 year.

Answers

Option A indicates a decision reversal, which increases the risk of investment by increasing the MARR. Therefore, the decision to invest in new equipment would be reversed. The correct option is a.

The cost of the new equipment is P150,000.The company analyzed the situation and discovered that the AOC (Annual Operating Cost) will amount to P31,000. While the annual revenue will amount to P50,000. The salvage value will be P3,000 at the end of the 15-year economic life. And will be depreciated by P200 as the years increase from 15-year period 7.The minimum attractive rate of return (MARR) is the expected profit rate on investments.

The minimum acceptable rate of return is the least amount of money an investor would accept to undertake an investment risk.

Calculating MARRMARR = 10% while decreasing the economic life by 1 year.Analyzing given optionsThe MARR is an important aspect in the decision-making process of an investment. Hence, any modification to the MARR can greatly impact the decision to invest or not. In option A, increasing the MARR by 5.2172% from the given 10% MARR.

This action will increase the risk of investment. Therefore, the decision to invest in new equipment would be reversed.In option B, Decreasing the MARR to 9.4434% will make the investment less risky. Therefore, the decision to invest in new equipment is justified.

In option C, increasing the economic life by one year will increase the value of salvage cost. Therefore, the decision to invest in new equipment is justified.

In option D, Increasing MARR by 1% and decreasing economic life by 1 year will increase the risk of investment and decrease the salvage value. Therefore, the decision to invest in new equipment would be reversed. The correct option is a.

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A stock is expected to pay $0.80 per share every year indefinitely. If the current price of the stock is $18.90, and the equity cost of capital for the company that released the shares is 6.4%, what price would an investor be expected to pay per share five years into the future?
A stock is expected to pay $0.80 per share every year indefinitely. If the current price of the stock is $18.90, and the equity cost of capital for the company that released the shares is 6.4%, what price would an investor be expected to pay per share five years into the future?
a. $22.65
b. $20.43
c. $21.23
d. $12.50

Answers

An investor would be expected to pay $12.50 per share five years into the future. The correct option is d.

Future Value is the value of an investment or cash flow at a specific future time after taking compounding interest or growth into account. It symbolizes the anticipated value of an investment or the growth of money over time.

Future Value = Dividend / (Cost of Capital - Growth Rate)

In this case, dividend =$0.80 per share

cost of capital = 6.4%

growth rate = zero (assumed) since the dividends are expected to remain constant indefinitely

Future Value = $0.80 / (0.064 - 0)

Future Value = $0.80 / 0.064

Future Value = $12.50

The correct option is d.

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Silky Smooth has an EPS of $2.81 per share and a profit margin of 5.9 percent. If the PS ratio is 1.44 times, what is the stock price?
$80.01
$16.58
$68.58
$74.30

Answers

If the PS ratio is 1.44 times, stock price is approximately $68.58.

Profit Margin = Net Income / Sales

PS Ratio = Stock Price / Sales per Share

Profit Margin = 5.9%

PS Ratio = 1.44 times

Stock Price = PS Ratio × Sales per Share

Sales per Share = Net Income / Profit Margin

                           = EPS / Profit Margin = $2.81 / 0.059

Sales per Share ≈ $47.627

Stock Price = PS Ratio × Sales per Share = 1.44 × $47.627

Stock Price ≈ $68.58

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2) A new chemical plant will be built and requires the following capital investments (all figures are in RM million): Table 1 Cost of land, L- RM 7.0 Total fixed capital investment, FCIL RM 140.0 Fixed capital investment during year 1= RM 70.0 Fixed capital investment during year 2 = RM 70.0 Plant start-up at end of year 2 Working capital 20% of FCIL (0.20 )* (RM140) = RM 28.0 at end of year 2 The sales revenues and costs of manufacturing are given below: Yearly sales revenue (after start-up), R = RM 70.0 per year Cost of manufacturing excluding depreciation allowance (after start-up), COMd = RM 30.0 per year Taxation rate, t = 40% Salvage value of plant, S- RM 10.0 Depreciation use 5-year MACRS Assume a project life of 10 years. Using the template cash flow (Table 1), calculate each non-discounted profitability criteria given in this section for this plant. Assume a discount rate of 0.15-(15% p.a.) i. Cumulative Cash Position (CCP) ii. Rate of Return on Investment (ROR) iii. Discounted Payback Period (DBPB) iv. Net Present Value (NPV) v. Present Value Ratio (PVR).

Answers

i) Cumulative Cash Position are Year 0: -RM 140.0, Year 1: -RM 210.0, Year 2: -RM 280.0, Year 3: -RM 240.0, Year 4: -RM 200.0, Year 5: -RM 160.0, Year 6: -RM 120.0, Year 7: -RM 80.0, Year 8: -RM 40.0, Year 9: RM 0.0 and Year 10: RM 40.0. ii) ROR is 138.1%. iii) DBPB is 3 years iv) NPV is RM 23.12 v) PVR is -0.1379.

To calculate the non-discounted profitability criteria for the chemical plant, we can use the provided information and formulas. Here are the calculations for each criterion:

i. Cumulative Cash Position (CCP):

CCP represents the cumulative cash flow over the project's life. It can be calculated as follows:

Year 0: -FCIL (initial investment) = -RM 140.0

Year 1: -FCI1 (fixed capital investment during year 1) = -RM 70.0

Year 2: -FCI2 (fixed capital investment during year 2) = -RM 70.0

Year 3-10: (R - COMd) = RM 70.0 - RM 30.0 = RM 40.0

Cumulative Cash Position:

Year 0: -RM 140.0

Year 1: -RM 210.0

Year 2: -RM 280.0

Year 3: -RM 240.0

Year 4: -RM 200.0

Year 5: -RM 160.0

Year 6: -RM 120.0

Year 7: -RM 80.0

Year 8: -RM 40.0

Year 9: RM 0.0

Year 10: RM 40.0

ii. Rate of Return on Investment (ROR):

ROR represents the rate of return on the total investment. It can be calculated as follows:

ROR = (Total Cash Inflows - Total Cash Outflows) / Total Cash Outflows

Total Cash Inflows = (R - COMd) x Project Life

Total Cash Outflows = FCIL + (Working Capital at the end of year 2)

Total Cash Inflows = (RM 40.0) x 10 = RM 400.0

Total Cash Outflows = RM 140.0 + RM 28.0 = RM 168.0

ROR = (RM 400.0 - RM 168.0) / RM 168.0 = 138.1%

iii. Discounted Payback Period (DBPB):

DBPB represents the time it takes to recover the initial investment on a discounted basis. Since the discount rate is not provided, we'll assume a discount rate of 15% (0.15) as mentioned.

Discounted Cash Flows (DCF):

Year 1: -FCI1 / (1 + r) = -RM 70.0 / (1 + 0.15) = -RM 60.87

Year 2: -FCI2 / [tex](1+r)^{2}[/tex] = -RM 70.0 / [tex](1+0.15)^{2[/tex] = -RM 52.94

Year 3-10: (R - COMd) / [tex](1+r)^{t}[/tex], where t is the year

Year 3: RM 40.0 / [tex](1+0.15)^{3}[/tex] = RM 26.62

Year 4: RM 40.0 / [tex](1+0.15)^{4[/tex] = RM 23.12

Year 5-10: RM 40.0 / [tex](1+0.15)^{5[/tex] + RM 40.0 / [tex](1+0.15)^{6[/tex] + RM 40.0 / [tex](1+0.15)^{7[/tex] + RM 40.0 / [tex](1+0.15)^{8[/tex] + RM 40.0 / [tex](1+0.15)^{9[/tex] + RM 40.0 / [tex](1+0.15)^{10[/tex] = RM 20.11 + RM 17.48 + RM 15.17 + RM 13.17 + RM 11.41 + RM 9.85 = RM 87.19

DBPB = Number of years before DCF becomes positive

DBPB = 2 years (Year 1 and Year 2) + 1 year (Year 3) = 3 years

iv. Net Present Value (NPV):

NPV represents the present value of cash inflows and outflows. The discount rate is 15% (0.15).

NPV = DCF (Year 1) + DCF (Year 2) + DCF (Year 3) + ... + DCF (Year 10)

NPV = -RM 60.87 - RM 52.94 + RM 26.62 + RM 23.12 + RM 87.19

NPV = RM 23.12

v. Present Value Ratio (PVR):

PVR compares the present value of cash inflows to the present value of cash outflows.

Present Value of Cash Inflows = DCF (Year 1) + DCF (Year 2) + DCF (Year 3) + ... + DCF (Year 10) = RM 23.12

Present Value of Cash Outflows = -FCIL - Working Capital at the end of year 2 = -RM 140.0 - RM 28.0 = -RM 168.0

PVR = Present Value of Cash Inflows / Present Value of Cash Outflows

PVR = RM 23.12 / -RM 168.0 = -0.1379

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Khanyi is currently considering the possibility of setting up her own health spa in Greenpoint. She has an idea of the costs involved but needs to put together a business plan to present to her bank manager so she can secure the necessary funding. As her friend, she has asked for your help and has given you the following estimates of costs and revenues: Costs • She has identified a suitable property that is currently being used for a similar purpose. The cost of the lease will be R2 800 000 per annum. • The spa will be managed by a full time manager who will be paid R400 000 per annum. She will be assisted by an assistant manager who will be paid R280 000 per annum. There will also be 6 full time health professionals trained in various disciplines, each earning R110 000 per annum. • Repair and maintenance costs for the spa are estimated at R350 000 per annum. • The utilities (water and electricity) are expected to cost R325 000 per annum. • Advertising will cost R97 500 per annum. • The cost of breakfast is expected to be R35.50 per guest per day, lunch R62.25 per guest per day and evening meal R80.50 per guest per day. • Khanyi will employ local people to work as cleaning staff. They will be paid R75.00 per hour. It is expected that a cleaner will be able to clean 2 rooms per hour and each occupied room will be cleaned daily. The main spa areas will be cleaned by part time staff, at a budgeted cost of R100 000 per annum. • Towels and robes will be supplied to each resident. A clean set will be provided every day. The cost of this is expected to be R50.00 per day per guest. • Each treatment involves some consumables and these are estimated to cost R149.00 per treatment. Revenues · It is proposed that the price charged will be R1 850 per night, although Khanyi feels that the market could absorb a higher price. This price would be for use of the fitness facilities, all meals (breakfast, lunch and dinner), and clean laundry. Any treatments would be charged in addition to this. • Treatments will be charged at R250 each. It is expected that guests on average will choose to have 2 treatments per day of their visit. • The spa will be able to accommodate a maximum 20 guests per night. It is expected that the spa will operate 360 days per year and on average will achieve 80% occupancy. The average stay of a guest will be 2 nights. REQUIRED: 1. Calculate the daily revenue per guest that could be charged if Khanyi wanted to ensure that a pre-tax profit of R1 800 000. You may assume that the estimated occupancy levels are maintained. 2. The health spa ended up only managing to achieve a 60% occupancy. Calcul the daily revenue per guest that Khanyi would need to charge to avoid makin losses. You may assume the costs are maintained. Neatness and Layout

Answers

The daily revenue per guest that Khanyi would need to charge to avoid making losses is: R377.25.

To calculate the daily revenue per guest that could be charged to ensure a pre-tax profit of R1,800,000, we need to consider the estimated occupancy levels and the costs involved.The spa can accommodate a maximum of 20 guests per night, and it is expected to achieve an average occupancy of 80%. Therefore, on average, there will be 20 guests * 80% = 16 guests per night.The average stay of a guest is 2 nights, so the total number of guests per year would be 16 guests * 2 nights * 360 days = 11,520 guests per year.To achieve a pre-tax profit of R1,800,000, we need to divide this profit by the total number of guests per year:

R1,800,000 / 11,520 guests = R156.25 profit per guest.

This profit per guest needs to be added to the costs per guest per day, which include the cost of breakfast, lunch, dinner, laundry, treatments, and consumables:

R35.50 + R62.25 + R80.50 + R50.00 (meals) + R149.00 (treatments) = R377.25 costs per guest per day.Therefore, the daily revenue per guest that could be charged to ensure a pre-tax profit of R1,800,000 is:

R377.25 + R156.25 = R533.50.If the health spa only achieves a 60% occupancy, we can use the same approach to calculate the daily revenue per guest that Khanyi would need to charge to avoid making losses.Considering the 60% occupancy, there would be 20 guests * 60% = 12 guests per night.Using the same calculations as before, we find that the total number of guests per year would be 12 guests * 2 nights * 360 days = 8,640 guests per year.To avoid making losses, the revenue per guest needs to cover the costs per guest per day:

R35.50 + R62.25 + R80.50 + R50.00 (meals) + R149.00 (treatments) = R377.25 costs per guest per day.

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Norman Dowd owns his own taxi, for which he bought a $10,100 permit to operate two years ago. Mr. Dowd earns $30,300 a year operating as an independent but has the opportunity to sell the taxi and permit for $37,000 and take a position as dispatcher for Carter Taxi Co. The dispatcher position pays $28,000 a year for a 40-hour week. Driving his own taxi, Mr. Dowd works approximately 55 hours per week. If he sells his business, he will invest the $37,000 and can earn a 9 percent return.

Answers

Based on the financial analysis, it would be financially advantageous for Norman Dowd to sell his taxi and permit and take the position as a dispatcher for Carter Taxi Co.

How to determine if Norman Dowd it would be financially advantageous for Norman Dowd to sell his taxi

To analyze the financial implications of Norman Dowd's options, we need to consider the income from operating his own taxi versus the income from selling the taxi and permit and working as a dispatcher. Here's the calculation:

Income from operating his own taxi:

Earnings per year = $30,300

Income from selling the taxi and permit and working as a dispatcher:

Income from selling the taxi and permit = $37,000

Annual income as a dispatcher = $28,000

Opportunity cost:

Opportunity cost of selling the taxi and permit = Income from investing the proceeds at a 9% return

To calculate the opportunity cost, we multiply the proceeds from selling the taxi and permit by the return rate:

Opportunity cost = $37,000 * 9% = $3,330

Now, let's compare the total annual income from each option:

Option 1: Operating his own taxi

Total annual income = Earnings per year

Total annual income = $30,300

Option 2: Selling the taxi and permit and working as a dispatcher

Total annual income = Income from selling the taxi and permit + Annual income as a dispatcher - Opportunity cost

Total annual income = $37,000 + $28,000 - $3,330

Total annual income = $61,670

Comparing the total annual incomes:

If Norman Dowd sells his taxi and permit and works as a dispatcher, he would have a higher total annual income of $61,670 compared to $30,300 from operating his own taxi.

Therefore, based on the financial analysis, it would be financially advantageous for Norman Dowd to sell his taxi and permit and take the position as a dispatcher for Carter Taxi Co.

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An airline knows that there are two types of travelers: business travelers and vacationers. For a particular flight, there are 100 business travelers who will pay $600 for a ticket while there are 50 vacationers who will pay $300 for a ticket. There are 150 seats available on the plane. Suppose the cost to the airline of providing the flight is $20,000, which includes the cost of the pilots, flight attendants, fuel, etc. How much profit will the airline earn if it engages in price discrimination

Answers

Answer:

The answer is "$55000".

Explanation:

When discrimination against prices is practicable, $600 would be charged to travelers and $300 to tourists. Now,

Total revenue(TR) [tex]=P \times Q[/tex]

                               [tex]=600\times 100+300 \times 50 \\\\ =600\times 100+15,000 \\\\ =60,000+15,000 \\\\=\$75,000[/tex]

Total Cost(TC)[tex]=\$20000[/tex]

Profit[tex]=TR-TC[/tex]

           [tex]=\$75000-\$20000 \\\\ =\$55,000[/tex]

A technological breakthrough in using photons for computers will increase the productivity of those working with computers a hundredfold. Holding other things constant, you would expect this breakthrough to shift the A) marginal product of labor curve up and to the right, raising the quantity of labor demanded at any given real wage. B) marginal product of labor curve down and to the left, reducing the quantity of labor demanded at any given real wage. C) labor supply curve up, reducing the quantity of labor demanded at any given real wage. D) labor supply curve down, raising the quantity of labor demanded at any given real wage.

Answers

The introduction of new photon computer technology will not reduce the number of workers in the labor market, but rather increase it. Option A is the correct answer, marginal product of labor curve up and to the right, raising the quantity of labor demanded at any given real wage.

The marginal product of labor curve is expected to shift upward and to the right as a result of the technological breakthrough.

The advancement in photon computer technology will have a significant impact on the labor market. Productivity in computer-related professions is anticipated to increase significantly. This has the potential to have a significant effect on the labor market.

This response will explain how this advancement in technology is expected to shift the marginal product of labor curve. A breakthrough in technology that allows photons to be used in computers would increase computer productivity significantly.

This breakthrough will result in computers being able to handle far more data than ever before. As a result, productivity in computer-related professions will increase substantially. To understand how this breakthrough will shift the marginal product of labor curve, we must first comprehend what it is.

The marginal product of labor is the increase in a company's total output as a result of hiring an additional unit of labor, holding all other variables constant. The marginal product of labor curve depicts the relationship between the marginal product of labor and the number of workers employed by a firm.  

The labor supply curve, on the other hand, is a graphic representation of the correlation between the quantity of labor supplied and the wage rate. It represents the amount of labor that will be supplied at any given wage rate.

The labor supply curve is determined by a variety of variables, including population size, job opportunities, and availability of education and training.

The marginal product of labor curve is expected to shift upward and to the right as a result of the technological breakthrough, as stated in option A. This means that at any given real wage, the quantity of labor demanded will increase.

This is because the technology's impact on productivity implies that more workers will be needed to produce the same amount of output. Therefore, the introduction of new photon computer technology will not reduce the number of workers in the labor market, but rather increase it. Option A is the correct answer.

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Please help! Will thumbs
up!
If TC = 450 + 30Q + 2Q2, then a profit maximizing firm should shut down if price is lower than:

Answers

The profit-maximizing firm should shut down if the price (P) is lower than the quantity Q given by (P - 30) / 2.

To determine the shutdown point for a profit-maximizing firm, we need to compare the price with the minimum average variable cost (AVC) in the short run. If the price falls below the minimum AVC, it would be more profitable for the firm to shut down and minimize its losses.

In the given cost function TC = 450 + 30Q + 2Q², we can determine the average variable cost (AVC) by dividing the variable costs by the quantity produced (Q). The variable costs consist of the terms 30Q and 2Q².

VC = 30Q + 2Q²

AVC = VC / Q = (30Q + 2Q²) / Q = 30 + 2Q

The shutdown point occurs when the price (P) is lower than the minimum AVC. Therefore, we set the price equal to the minimum AVC and solve for Q:

P = AVC

P = 30 + 2Q

Setting P = 30 + 2Q, we can isolate Q:

2Q = P - 30

Q = (P - 30) / 2

Hence, the profit-maximizing firm should shut down if the price (P) < (P - 30) / 2.

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Manama Trading has $8,000 of cash sales that are subject to an additional 8% sales tax, what is the journal entry to record the cash sales in the company books? A. Debit Cash $8,000, credit Sales $ 7,360, credit Sales Taxes Payable $ 640 B. Debit Cash $ 8,000; credit Sales $ 8,000; and record the taxes when paid. C. Debit Sales Taxes Payable $ 640, debit Cash $ 7,360, credit Sales $ 8,000 D. Debit Cash $ 8,640, credit Sales $8,000, credit Sales Taxes Payable $ 640.

Answers

Where the above conditions are given,the correct journal entry to recod the cash sales and the associated sales tax is   "Option A) -  Debit Cash $8,000, credit Sales $7,360, credit Sales Taxes Payable $640.

Why is this so?

This entry reflects the cash received from the sales, reduces the sales amount by the sales tax portion,and records the sales   tax liability in the Sales Taxes Payable account.

In accounting, a journal is a book or electronic record used to record and track financial transactions, including details such as dates, accounts, amounts, and descriptions, ensuring accurate bookkeeping and financial analysis.

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Which of the following is not a tax deduction under s 8-1? O a. Public liability Insurance paid. O b. Business rent paid. O c. Purchase of trading stock but not yet sold O d. Cost of delivery motor vehicle

Answers

Cost of delivery motor vehicle among the following  is not a tax deduction under s 8-1. Option D is correct.

The central issue connected with the expense derivation under s 8-1 is that: Everything connected to the business will be eligible for a deduction. These items must support the individual's business growth and profits with the same. The tax deduction does not apply to items related to capital expenditures or revenue.

Charge derivation alludes to claims made to lessen your available pay, emerging from different ventures and costs caused by a citizen. As a result, taking an income tax deduction lowers your overall tax bill. It's a type of tax break that helps you save money on taxes.

A provision that reduces taxable income is known as a tax deduction. A standard derivation is a solitary derivation at a proper sum. Itemized deductions are popular with taxpayers with higher incomes who frequently have a lot of expenses that they can deduct.

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Consider the following network design options:

Manufacturer storage with direct shipping
Retail storage with customer pickup

a) Briefly describe both network design options.
b) Briefly compare both designs in terms of Inventory, facility and transportation costs.
c) Briefly compare both designs in terms of response time, product variety and information system requirement.

Answers

a) Network Design Options:

Manufacturer Storage with Direct Shipping: This network design option involves the manufacturer storing products in its warehouses and shipping them directly to the customer. This process bypasses the retailer's inventory, and the manufacturer ships the products from the warehouse to the customer.

Retail Storage with Customer Pickup: This network design option involves retailers maintaining their inventory and provide customer pick-up options. In this design, retailers maintain inventory, and the customer picks the product from the retailer's location.

b) Comparison of Both Designs: Inventory Cost: In the manufacturer storage network design, the manufacturer keeps inventory. Hence it incurs the inventory carrying cost. Whereas in retail stores, the retailer bears the inventory carrying cost.

Facility Cost: The facility cost of the manufacturer's storage network design is high as it requires a warehouse to keep inventory. The cost of the warehouse, its maintenance, and upkeep all add up. In contrast, retail storage requires a smaller facility cost as it requires the retailer to keep inventory in their own stores.

Transportation Cost: In manufacturer storage, the manufacturer ships directly to the customer, reducing the cost of transportation to some extent. On the other hand, in retail stores, the retailer ships the products to its stores, increasing the transportation cost.

c) Comparison of Both Designs: Response Time: Retail storage with customer pick-up is faster as compared to the manufacturer storage network design. As retailers keep inventory on hand, customers can purchase and pick up products quickly.

Product Variety: Manufacturer storage provides a higher range of products than retail storage. In retail stores, the retailer keeps limited products in stock due to its limited warehouse space.

Information System Requirement: Manufacturer storage requires a higher information system requirement as compared to retail storage. In manufacturer storage, the manufacturer manages the order fulfillment process. Therefore, an efficient information system is required to monitor and track inventory. In retail stores, the retailer's point-of-sale system takes care of most of the information system requirements. In summary, both network designs have their own advantages and disadvantages. It is up to the company to choose which network design to use based on their specific requirements. 

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1) Suppose we have two identical firms A and B,selling identical products,They are the only firms in the market and compete by choosing prices at the same time.If they choose the same price,they split the market demand. The market demand curve is given by Q=500-P.The only cost is a constant marginal cost of $50. a) What quantity will each firm produce in the Nash Equilibrium and what are their profits? b If Firm A chooses a price of $300,what is Firm B's best response. c)If Firm A chooses a price of $15,what is Firm Bs best response.

Answers

The quantity will each firm produce in the Nash Equilibrium and what are their profits is $7,625, Firm B to Firm A's price of $300 is $100 and response of Firm B to Firm A's price of $15 is $242.50.

a) The demand equation is Q = 500 - P. Firm A’s demand is Qa = (500 - Pa - Pb) / 2, and firm B’s demand is

Qb = (500 - Pa - Pb) / 2, where Pa and Pb are the prices of firms A and B. Both firms have the same marginal cost,

MC = $50.

Therefore, the profit function for both firms is:

π = TR - TCπa = Pa (500 - Pa - Pb) / 2 - 50Qaπb = Pb (500 - Pa - Pb) / 2 - 50Qb

To find the Nash equilibrium price, we will have to derive the profit functions of both the firms and then maximize it with respect to their respective prices. First, we’ll calculate the optimal quantities.

πa = Pa (500 - Pa - Pb) / 2 - 50Qaπb = Pb (500 - Pa - Pb) / 2 - 50Qb

Differentiating the profit function of firm A with respect to Pa and setting it to zero gives us the first-order condition:(500 - 2Pa - Pb) / 2 - Pa = 50

Pa = 175

Pb = 175.

Substituting the values of Pa and Pb into the demand function gives the quantities demanded by each firm

Qa = Qb = 75

The quantity each firm will produce at Nash equilibrium is 75, and their profits are $7,625 (for both firms).

b) Firm A’s demand function is

Qa = (500 - Pa - Pb) / 2, which can be rearranged as

Pb = 500 / 2 - 2Qa - Pa. The profit function of firm B is:

πb = Pb (500 - Pa - Pb) / 2 - 50Qb

πb = (500 / 2 - 2Qa - Pa) (500 - Pa - 500 / 2 + 2Qa + Pa) / 2 - 50Qb

πb = - 4Qa2 - PaQa + 125Qa + 62.5Pa - 25Pa2 - 2500 - 50Qb

Differentiating the profit function of firm B with respect to Pb and setting it to zero gives us the first-order condition:-

Pa + Pb - 500 / 2 - 4Qa = 0Pb = 500 / 2 - 4Qa - PaPb = 250 - 2Qa - 150Pb = 100 - 2Qa

The best response of Firm B to Firm A's price of $300 is $100.

c) Firm A’s demand function is Qa = (500 - Pa - Pb) / 2, which can be rearranged as Pb = 500 / 2 - 2Qa - Pa. The profit function of firm B is:

πb = Pb (500 - Pa - Pb) / 2 - 50Qb

πb = (500 / 2 - 2Qa - Pa) (500 - Pa - 500 / 2 + 2Qa + Pa) / 2 - 50Qb

πb = - 4Qa2 - PaQa + 125Qa + 62.5Pa - 25Pa2 - 2500 - 50Qb

Differentiating the profit function of firm B with respect to Pb and setting it to zero gives us the first-order condition:-

Pa + Pb - 500 / 2 - 4Qa = 0

Pb = 500 / 2 - 4Qa - Pa

Pb = 250 - 2Qa - 150

Pb = 100 - 2Qa.

The best response of Firm B to Firm A's price of $15 is $242.50.

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You are estimating the effort and schedule needed to implement a new traffic light control system. The estimated size of the system is 175 KSLOC. This is a life-critical system since failures can lead

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This is a critical system as failures can lead to serious life-threatening accidents for drivers and pedestrians.

What are traffic lights for?To organize the transit.To promote pedestrian movement.To avoid accidents.

It is very important that the traffic lights work correctly and for that, they need an efficient and faultless control system, which must be very well installed and monitored, as this is a critical system and essential for the safety of the population.

A failure in this system can lead to collisions between cars, pedestrians being run over, crashes, and other accidents that can be very serious and can endanger people's lives.

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Swiss Inc. ("SI"), a non-resident company based in Switzerland, entered into a 2- week contract in December 2020 with Boleh Sdn Bhd to provide technical services for RM20,000 in which SI's personnel will perform the services in Malaysia. Boleh Sdn Bhd is required to pay the hotel accommodation of RM2,500 and airfares of RM1,500 for the period SI's personnel is in Malaysia. What is the amount of withholding tax payable by Boleh Sdn Bhd on the payments made to Swiss Inc?* (10 Points) (A) RM3,000 (B) RM2,150 (C) RM2,400 (D) RM2,000

Answers

The amount of withholding tax payable by Boleh Sdn Bhd on the payments made to Swiss Inc is RM2,000. Therefore, the correct option is D.

Withholding tax is a tax that is charged on payments made to non-residents, such as Swiss Inc. Boleh Sdn Bhd is required to withhold and remit the tax to the Inland Revenue Board of Malaysia (IRBM) within a specified period. The rate of withholding tax that is applicable depends on the nature of the payment, as well as the tax treaty between the country of the non-resident and Malaysia. Technical services are subject to a withholding tax rate of 10%.

Therefore, the calculation of the withholding tax payable by Boleh Sdn Bhd on the payments made to Swiss Inc. is as follows:

RM20,000 + RM2,500 + RM1,500 = RM24,000

Withholding tax = RM24,000 × 10% = RM2,400

However, Boleh Sdn Bhd is only required to withhold tax on the technical service fee, which is RM20,000. Hence, the withholding tax payable by Boleh Sdn Bhd on the payments made to Swiss Inc is RM20,000 × 10% = RM2,000.

Additionally, the hotel accommodation and airfares paid by Boleh Sdn Bhd are not subject to withholding tax as they are not technical services. Therefore, the total withholding tax is RM2,000 which corresponds to option D.

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The reasons for using this co-twin control design include pair matching for sex, age, and genetic factors, and that confounding factors such as oral hygiene and food habits are also likely to be matched within a pair. The aim of the study is to test whether smoking is associated with higher risk of gingivitis. The study found that in 40 pairs the low-exposed twin had gingivitis while the high-exposed twin did not, in 23 pairs the high-exposed twin had gingivitis while the low-exposed twin did not, while in the remaining 101 pairs the twins had same status: in 15 pairs both had gingivitis and in 86 pairs both did not have gingivitis.a. Which type of study design applies to this study: paired or independent samples?b. Write the 22 table cross-tabulating the pairs of exposed and unexposed twins in terms of their gingivitis status (yes/no).c. The research hypothesis is that smoking is associated with gingivitis. For the statistical analysis, what are the null and alternative hypotheses?d. Perform a statistical test for the null hypothesis, using hand calculations. Interpret your results The fall of the Soviet Union in 1991 led to (a) the rise of dictatorships in Western Europe (b) greater economic and political freedom among the nations of Eastern Europe (c) more nations in Eastern Europe turning towards a Communist economic system (d) the spread of communism among the nations in Africa, Asia, and Latin America. 2. Calculate the concentration (in molarity) of a NaOH solution if 25.0 mL of the solution are needed to neutralize 17.4 mL of a 0.312 M HCl solution. hat is the size of the keyspace that consists of passwords of this form? Find the area of the figure. A solid is that form of matter that possesses the followingcharacteristics___.a Particles vibrate around fixed axesb Definite shapeC Definite volumed All of the above Preparation of Adjusting Entries Bartow Photographic Services takes wedding and graduation photographs. At December 31, the end of Bartow's accounting period, the following information is available All wedding photographs are paid for in advance, and all cash collected for them is credited to Uneared Service Revenue. Except for a year and adjusting entry, no other entries are made for service revenue from wedding photographs. During the year, Bartow received $42,600 for wedding photographs. At year and, 137,430 of services had been performed. The beginning-of-the-year balance of Uneared Service Revenue was er b. During December, Bartow photographed 225 members of the next year's graduating class of Shaw High School. The school has asked Bartow to print one copy of a photograph of each studere for the school files. Bartow delivers these photographs on December 28 and will bill the school $5.00 per student in January of next year Revenue from photographs ordered by students will be recorded as the orders are received during the early months of next year equipment used for developing and printing was rented for $22,500. The rental term was for 1 year beginning on August 1 and the entire year of rent was paid on August 1. The payment was debited to Prepaid Rent Depreciation on the firm's building for the current year is $9,400 Wages of $4,170 are owed but unpaid and unrecorded at December 31. f. Supplies at the beginning of the year were 12,400. During the year, supplies costing $19,500 were purchased from Kodak. When the purchases were made, their cost was debited to Supplies. At year end, a physical inventory indicated that supplies costing 14,100 were on hand. Required: Prepare the adjusting entries for each of these items Dec 31 How did the Islamic faith have an impact on trade in Asia? 24 + 8x + 10(2x)Terms:Constants:Coefficients: