Answer:
a. Patents: 3.
b. Goodwill : 2
c. Trademarks and trade: 1
d. Franchises and licenses: 5
e. Copyrights :5
Explanation:
a. Patents: 3. A patent is a group of rights of an invention given for a period of time, normally to its inventor in order to sell, produce and use his product with exclusivity leaving aside the competitors.
b. Goodwill : 2 the goodwil in business is calculated as the adquisitoin cost of a business minus the intangible and tangibles assets and liabilities obtained in the purchases
c. Trademarks and trade: 1 A trade mark is a logo, drawion, word or phrase tahat identifies a product or a services among others.
d. Franchises and licenses: 5 Is a type of business (for example Mc Donald's) where one (the franchisor) gives the fanchisee the right to use it's trademark and business model and processes in exchange of licensing fees.
e. Copyrights :5 the copyrights protects tha author of an artistic work in order not to be reproduced without its permission
During the past year, Arnold Inc.'s comparative balance sheet reported an increase in overall stockholders' equity of $43,500, a decrease in total liabilities of $17,200, and an increase in assets other than cash of $12,000. Consequently, Arnold, Inc. reported a(n) __________ in cash of ____________.
Answer:
increase in cash of $14,300
Explanation:
The question is related to basic accounting equation:
Assets = Liabilities + Owner's EquitySince we have to find increase or decrease in cash, we will break up Assets into two parts that are Other Assets and Cash.
Now the equation would look like this:
Other Assets + Cash = Liabilities + Owner's Equity$12,000 + Cash = -$17,200 + $43,500Cash = - $17,200 + $43,500 - $12000Cash = $14,300Notable points: Increase in Other Assets is shown by +$12,000
Decrease in Liabilities is shown by -$17,200
Increase in Owner's Equity is shown by +$43,500
End result is +$14,200 showing increase in Cash
Which of the following resource management key activities defines and categorizes incident resources by capability?
Answer:
Identifying and Typing Resources
Explanation:
NIMS Resource Management is important because in case an incident happens, you need to get the right resources to the right place and at the right time in order to preserve the life and well being of the residents.
Resource management includes four key activities:
Identifying and typing resources : resources must be inventoried and categorized based on capability, category, kind and type.Qualifying, certifying, and credentialing personnel Planning for resources Acquiring, storing, and inventorying resourcesResource Typing is the key activity in resource management that defines and categorizes incident resources by capability.
Explanation:The key activities that define and categorize incident resources by capability in resource management are known as Resource Typing.
Resource Typing is the process of identifying, organizing, and classifying resources based on their inherent characteristics, capacities, and capabilities. By doing so, resource typing ensures that the right resources are assigned to the right incidents, based on their suitability and effectiveness.
For example, in a firefighting operation, resource typing would involve categorizing fire engines, firefighters, helicopters, and other equipment based on their capacity to combat different types and sizes of fires. This helps incident managers to deploy the most appropriate resources for each specific incident, optimizing their effectiveness and minimizing the risks.
Learn more about Resource Typing here:https://brainly.com/question/31707385
#SPJ3
You are a solutions architect working for a large travel company that is migrating its existing server estate to AWS. You have recommended that they use a custom Amazon VPC, and they have agreed to proceed. They will need a public subnet for their web servers and a private subnet in which to place their databases. They also require that the web servers and database servers be highly available and that there be a minimum of two web servers and two database servers each. How many subnets should you have to maintain high availability?
A. 2
B. 3
C. 4
D. 1
Answer:
C. 4. Subnets
Explanation:
You need two public subnets (one for each Availability Zone) and two private subnets (one for each Availability Zone). Therefore, you need four subnets.
Final answer:
To maintain high availability in the AWS environment, you should have a total of four subnets - two public subnets for the web servers and two private subnets for the database servers.
Explanation:
To maintain high availability in the AWS environment, you should have a total of four subnets. This includes two public subnets for the web servers and two private subnets for the database servers.
Having multiple subnets allows you to distribute your resources across different availability zones (AZs) for redundancy. AWS recommends using multiple AZs to ensure high availability and fault tolerance.
By spreading your infrastructure across multiple subnets and AZs, you can avoid a single point of failure and minimize the impact of any failure on your overall system. With four subnets, you can achieve resilience and redundancy for both your web servers and database servers.
The person who does not have representation in a transaction broker relationship is called:
Answer:
No representation broker
Explanation:
A no representation broker represents no one in a broker relationship, the agent only represents himself. Since the broker does not represent the buyer nor the seller, he/she can help them both in order to complete the transaction. There is no loyalty nor any fiduciary responsibility in the transaction.
But no representation brokers have certain duties:
Disclose his/her duties to the sellers and buyers.Deal with all parties honestly and fairly. Disclose all known facts that materially affect the value of residential property. Account for all the funds entrusted to the licensee.The rent for​ 2-bedroom apartments in Detroit has fallen from an average of​ $796 in September 2014 to​ $717 in March 2015. Demand for​ 2-bedroom apartments in Detroit was falling during this period as well. This is hard to explain because the law of demand says that lower prices should lead to higher demand. Do you agree or disagree? Explain your answer.
Answer:
Disagree
Explanation:
The decrease in the demand for the apartments caused the decrease in the rent price, not vice versa. When the quantity demanded of a product decreases, the equilibrium price will also decrease.
This situation was probably the result of a leftward shift in the demand curve which resulted in a decrease of both the quantity demanded and the rental price. In my opinion, this shift was probably due to a decrease in the income of people demanding rental apartments. Detroit's largest industry is the car industry, and American car manufacturers are not doing very well lately.
to recieve a 14% return on an investment of 500,000 what would be the required net operating income of the purchased property?
Answer:
70000
Explanation:
Investment = 500000 .00
expected ROI = 14%
ROI = (Operating income / investment ) x 100
operating income = ( ROI x investment )/ 100
= 14 x 500000/100
= 70000 . Ans
Suppose that Rich and Sheri each own the two largest helicopter tour companies at the Grand Canyon. If each uses a pricing strategy that leads to a prisoner’s dilemma, what would be the result?a) Both Rich and Sheri would earn higher profits.b) Rich and Sheri would be better off by not cooperating with each other.c) Tourists would end up paying a lot more for helicopter tours.d) Tourists would end up receiving great deals for helicopter tours.
Answer:
D) Tourists would end up receiving great deals for helicopter tours.
Explanation:
A prisoner's dilemma is a paradox formulated by Merrill Flood and Melvin Dresher. It refers to a situation where two competing individuals (or businesses) should cooperate in order to obtain the best possible results, but they do not cooperate because they lack incentive to do so.
When competing individuals do not cooperate with each other, other people will benefit. In this case since Rich and Sheri will not cooperate with each other, their customers will benefit. In order to win more clients, Rich may start to lower the price of his tours, and eventually that will force Sheri to lower her prices in order to not lose clients. At the end, their customers will benefit because they will pay lower prices.
Which of the following terms is NOT specifically defined under the Uniform Securities Act?A) Broker-dealerB) Broker-dealer representativeC) Investment adviserD) Investment adviser representative
Answer:
B. Broker-dealer representative.
Explanation:
The Uniform Securities Act defines a broker-dealer, it defines a representative of a broker-dealer, it defines an investment adviser, and it defines an investment adviser representative. So Overall, the term not specifically defined under the securities act is broker-dealer representative.
The term that is NOT specifically defined under the Uniform Securities Act is Broker-dealer representative.
Explanation:In the Uniform Securities Act, the term that is NOT specifically defined is Broker-dealer representative. The Act specifically defines the terms Broker-dealer, Investment adviser, and Investment adviser representative. A broker-dealer is a company that helps individuals buy and sell stocks, and the broker-dealer representative is an individual who acts on behalf of the broker-dealer.
An investment adviser provides advice about investing in securities, and the investment adviser representative is an individual who acts on behalf of the investment adviser.
The successful conveyance of real estate depends on a well-formed contract for sale since the contract dictates the rights and type of deed involved, as well as choreographs the entire transaction. Which of the following features of the contract for sale refers to the arrangements agreed to by the parties, such as price and date of closing?
A. Contract terms
B. Contract conditions
C. Equitable title
D. Contingency clause
Answer:
A. Contract Terms
Explanation:
Contract terms also known as terms of a contract or contractual terms represent provisions or specifically outlined terms in a contract that give rise to a contractual obligation. In other words, contract terms are the specifics of a contract that makes the contract legally binding and the breach of which can lead to litigation of one party by the other.
Contracts terms specify the rights and the obligations of parties in a contract.
Some of the features of a standard contract include; payment terms, issue on confidentiality, attorney fees, date of closing, liquidated damages among otherss.
Quizno's is conducting a contest in which customers are asked to name a new sandwich. The winner gets a free sandwich each day for one year and an appearance in one of the company's TV commercials. This contest illustrates Quizno's use of the ____ elements of the promotion mix.
Answer:
sales promotion
Explanation:
Sales promotions are used as a short term tactic to increase the sales of a good or service very rapidly, but they are not meant to last. Usually sales promotions offer product or monetary incentives to but the goods or services, e.g. discounts, rebates, coupons, free samples, contests, extra product, etc.
Final answer:
Quizno's contest is a part of their promotion mix, combining both sales promotion and advertising to engage customers and promote the brand.
Explanation:
Quizno's contest to name a new sandwich, where the winner receives a free sandwich each day for a year and an appearance in a TV commercial, illustrates Quizno's use of the promotion mix elements, particularly sales promotion and advertising. Sales promotion is represented through the contest which is a short-term incentive to entice customers to engage with the brand. Advertising is highlighted by the prize of appearing in a TV commercial, which promotes both the brand and the contest itself.
Entries for Issuing Bonds
Thomson Co. produces and distributes semiconductors for use by computer manufacturers. Thomson issued $900,000 of 10-year, 7% bonds on May 1 of the current year at face value, with interest payable on May 1 and November 1. The fiscal year of the company is the calendar year.
May 1. Issued the bonds for cash at their face amount.
Nov. 1. Paid the interest on the bonds.
Dec. 31. Recorded accrued interest for two months.
Journalize the entries to record the above selected transactions for the current year.
May 1
Nov. 1
Dec. 31
Answer:
See journal entries in explanation below.
Explanation:
May 1. Issued the bonds for cash at their face amount
Debit Cash Account $900,000
Credit Bond Account $900,000
Nov 1. Paid the interest on the bonds
Debit Interest on Bond Account $31,500 (900,000 * 7% * 6/12)
Credit Cash Account $31,500
Dec 31. Recorded accrued interest for two months
Debit Interest on Bond Account $10,500 (900,000 * 7% * 2/12)
Credit (Bond Interest) Accrual Account $10,500
Thomson Co. issued $900,000 of 10-year, 7% bonds on May 1. The journal entries for issuing the bonds, paying the interest, and accruing interest for two months are provided.
Explanation:The journal entries for the selected transactions are as follows:
May 1:
Cash 900,000
Bonds Payable 900,000
Nov. 1:
Interest Expense 31,500
Cash 31,500
Dec. 31:
Interest Expense 21,000
Interest Payable 21,000
https://brainly.com/question/32988071
#SPJ3
When gross domestic product (GDP) increases, national income ________ and national output ________.
Answer:
Increase , Increase
Explanation:
Gross domestic product GDP is a measure of the total value of a country's output in a given year. It shows the final value of all goods and services produced within the boundaries of an economy. Economists use GDP to ascertain whether an economy is expanding or declining.
An increase in GDP means that the total output in the economy. More products and services were produced in that period compared to the previous period. An increase in GDP creates employment as more workers will be needed in production processes. As demand and the number of workers increase, total income in the economy rises.
When GDP increases, national income and national output both generally increase. The relationship between GDP growth and population growth affects GDP per capita. Increases in real GDP result in higher incomes and increased demand for money throughout the economy.
When gross domestic product (GDP) increases, national income also increases and national output rises. GDP is a measure of the economic performance of a country, tallying the value of its goods and services produced over a specific period. An increase in GDP typically signifies that the economy is producing more goods and services, which often leads to higher incomes for individuals and businesses. This is because an increase in real GDP results in higher earnings throughout the economy, leading to a higher demand for money. It's important to note that these increases are assuming that the GDP growth outpaces the population growth. However, if the population grows faster than GDP, then while the overall GDP may still increase, the GDP per capita, or GDP for each individual, may decrease.
After setting the pricing objective, the next step in Amy's price-setting process is to:_______. a) monitor the effectiveness of a set price. b) analyze competitors' pricing. c) evaluate demand. d) determine the costs.
Answer: Evaluate demand
After setting the pricing objective, the next step in Amy's price-setting process is to evaluate demand
Explanation:
It is standard procedure to reject a job offer during the interview so you do not waste the time of the interviewer.
A. True
B. False
Answer: False.
Explanation:
An interview is a meeting between an interviewer(s) and a job applicant, where the job applicant is asked questions on his capability to handle a particular job role.
If a job applicant is not interested in a job offer, he doesn't need to attend the interview even after invitation, the job applicant's absence in the interview would show lack of interest in the job offer.
Answer:
false
Explanation:
One of your customer accounts is a trust account. The trustee of the trust is inexperienced in investing.
As his broker, you should explain to the trustee that under the Uniform Prudent Investor Act he has a duty to invest the trust assets "prudently" which includes:
A. The duty to diversify the trust portfolio to reduce risk
B. The duty to monitor the performance of the portfolio
C. The duty to minimize costs
D. All of the above
Answer:
A) The duty to diversify the trust portfolio to reduce risk
Explanation:
The Uniform Prudent Investor Act (UPIA) requires trustees to make investments following the Prudent Person Rule. This means that trustees should invest the trust funds as if the trustee was a prudent person investing his/her own assets.
The best way to comply with the prudent person rule is to invest in a diversified portfolio that reduces risk.
Will and Grace have adjoining unfenced back yards and each has just adopted a new puppy. Will values a fence between their yards at $250 and Grace values a fence between their yards at $200. The cost of building the fence is $300, which will be split equally if they both agree to build the fence. Therefore, their payoff matrix is as follows.Will's dominant strategy in this game is to:
Answer:
Not build the fence
Explanation:
If Will decides to build the fence, then Grace will earn a higher payoff by not helping to build the fence, and if Will decides to not build the fence, then Grace will earn a higher payoff by also not building the fence.
Equilibrium = No fence
Final answer:
Will's dominant strategy is not to build the fence.
Explanation:
In this game, Will and Grace have two strategies: either build the fence or not build the fence. Will's dominant strategy is to not build the fence. This is because if he chooses to build the fence, he would have to pay $150 (half of the total cost) and his payoff would be -$100 (his valuation of the fence is -$250).
On the other hand, if he chooses not to build the fence, he would have a payoff of $0 (his valuation of the fence is $0). Grace will receive a larger payout if Will chooses to build the fence rather than assist with its construction, and she will receive a bigger payout if Will chooses not to build the barrier. Therefore, his dominant strategy is to not build the fence.
Cindy goes to the lumber yard to buy lumber for a deck that she is building. She tells the salesperson at the lumber yard that she is relying on him to select the right lumber for a project. She buys the lumber and builds the deck. The deck collapses because the lumber was not strong enough to support it. What type of warranty most likely has been breached?a. Express
b. Implied warranty of merchantability
c. Implied warranty of fitness for a particular purpose
d. None
Answer:
c. Implied warranty of fitness for a particular purpose
Explanation:
The warranty of fitness for a particular purpose is inferred whenever a purchaser depends on the supplier to pick the products to fit a particular query.
For instance, if a customer asks a mechanic to supply winter tires and receives tires that are unfit for use in weather, this warranty is breached.
It is also possible to explicitly revoke this implicit warranty by name, thus moving the threat of unfitness back to the purchaser.
Jean-Paul, the store manager, was speaking with Patty, his new assistant manager, about the store's system of job relationships and whom she will report to and who will report to her. He said, "This structure is one of the things that motivates our workers to work together to achieve our company's goals." Jean-Paul was telling Patty about the store's _____.
A.) code of ethicsB.) analyticsC.) organizational cultureD.) diversity planE.) organizational structure
Answer: C.) organizational culture.
He was explaining the principles the organization runs by.
Explanation: Organizational culture are the values and belief system an organization imbibes or run with, they are principles an organization adopts that puts them in order, put them under checks and keeps them in business. Few characteristics of organizational culture includes
•Stability
•Detailed.
•Aggressive
•Income Oriented.
•Team supportive etc.
Let's practice Channels and MCF analysis by going to the Google Merchandise Store demo account with a date range of Feb 1, 2016 - Feb 29, 2016 to answer the following questions: Under Acquisition in the All Traffic > Channels report, using a Custom Segment for users who had a landing page that contains "Android", what is the Ecommerce Conversion Rate for users brought in by the Paid Search channel? 1.00% 1.16% 1.18% 1.36%
Answer:
1.00%
The E-commerce Conversion Rate for users brought in by the Paid Search channel is 1.00%
The Ecommerce Conversion Rate for users brought in by the Paid Search channel is 1.00%
To obtain the Ecommerce Conversion Rate for users brought in by the Paid Search channel with a Custom Segment for landing pages containing "Android," you would need access to the Analytics account and perform the following steps:
Log in to your Analytics account.
Set the date range to Feb 1, 2016 - Feb 29, 2016.
Navigate to the "Acquisition" section.
Click on "All Traffic" and select the "Channels" report.
Apply a Custom Segment for users with landing pages containing "Android."
Find the "Paid Search" channel in the report.
Look for the Ecommerce Conversion Rate for this specific channel and segment.
The correct Ecommerce Conversion Rate can be found within Analytics once these steps are taken, and it will correspond to 1.00%
For more such questions on Paid Search:
https://brainly.com/question/34048306
#SPJ12
When the Federal Reserve extends a discount loan to a​ bank, the monetary base​ ________ and reserves​ ________. A. remains​ unchanged; increase B. ​increases; remain unchanged C. remains​ unchanged; decrease D. ​increases; increase
Answer:
D. increases; increase
Explanation:
This is the payment of loan interest and other charges upfront at the time of obtaining a loan facility. The loan charges are always deducted from the principal at the time of loan disbursement,
When the Federal Reserve extends a discount loan to bank, it increases the monetary base which is the sum of currency in circulation held by the public and the amount held by banks as reserves, and the reserve which is held by the Federal Reserve will also increase.
Memorial Hospital is a 45-bed rural hospital. The last two directors of HIM stayed less than six months each, and the position has been open for four months.
____________ recruitment methods should the chief financial officer (CFO) consider to fill the open HIM director position.
Question: Memorial Hospital is a 45-bed rural hospital. The last two directors of HIM stayed less than six months each, and the position has been open for four months. Which recruitment method should the chief financial officer (CFO) consider to fill the open HIM director position.
Answer: Outsourcing recruitment method.
Outsourcing recruitment is a process of finding candidates for a job position by using an external recruiter.
This method is one of the best and has many advantages in that it provides a pool of the best candidate and eventually selects the best of the best; it is a relatively cheap means of recruitment; it saves time and resources; etc
Answer: Outsourcing
Explanation:
Outsourcing is the practice of contracting out responsibilities to an entity that is not part of an organization to perform certain services or handle some processes. Such task is handled and performed differently from the normal way the organization handles it. Example of such services includes conducting a recruitment process, creating a good, project planning etc.
Outsourcing helps an organization to save cost, improve efficiency and achieve effectiveness. It also provides fast service and reduces time wasting.
Using outsourcing as part of a business strategy started in 1989, although it is regarded as a controversial form of business strategy in most countries because it is perceived to cause or lead to job loss.
Types of Outsourcing includes.
•Process outsourcing.
•Project outsourcing.
•People outsourcing.
If Lev Vygotsky were in the room talking about his theory, which of the following terms might you hear him say?
Select one:
a. ego integrity
b. private speech
c. difficult temperament
d. preconventional level
Answer:
b. private speech
Explanation:
Private speech is self-talk for communication, self-guidance and self-regulation of behavior. It can be observed that children between the ages of two and seven participate in private conversation. Although it is vocal, it is not intended for, or intended for, others. The private speech was first studied by Lev Vygotsky and Jean Piaget. Private speech usually occurs in children between the ages of two and seven. It is for to develop early literacy skills and to help improve the child's task performance, success and achievement.
A(n) _________ tax rate is the amount of taxes divided by the amount of income..
Answer:
Average tax rate
Explanation:
The average tax rate is that tax rate at which the taxes amount is divided by the total income amount
In mathematically,
Average tax rate = (Amount of taxes ÷ total income amount) × 100
It is always be expressed in percentage.
Suppose the tax amount is $25,000 and the total income amount is $100,000
So, the average tax rate would be
= $25,000 ÷ $100,000 × 100
= 25%
You opened a U.S. Bank's Standard Savings account in January of this year with a 3% annual interest rate but there is a monthly maintenance fee of $4, which you can get waived if you keep a $300 minimum daily balance. If you can only keep up a $250 minimum balance, are you making money or losing money in the account?
Answer:
losing money
Explanation:
A monthly maintenance fee of 4 percent translates to an annual fee of 48 percent. This means that the bank will deduct 48 percent from the deposit every year as maintenance fees. The account will be earning 3 percent per year as interest. A comparison of the 3 percent gain and 48 percent deductions, shows account is losing money. Every year, the account will lose 45 percent of the deposits.
For the account to earn money, the annual interest rate must be greater than the yearly maintenance fee. For this case, if the annual interest rate were at 12 percent and maintenance fee at 4 percent, the account would make money. In real life, an individual should also consider the inflation rate.
Answer:loosing money
Explanation: trust me
If a premium on a bonds payable transaction is not amortized, what are the effects on interest expense and total stockholders' equity?
Answer and Explanation:
A bond premium which is payable on bond is amortized will be amortized with a charge to the premium and an a good representative for intrigue cost, lessening it. On the off chance that amortization isn't recorded, intrigue cost isn't appropriately decreased and is exaggerated. The exaggeration of intrigue cost will bring modest representation of the truth of net gain and a modest representation of the truth of value
Not amortizing a premium on bonds payable leads to a higher reported interest expense and artificially inflates total stockholders' equity, as the premium decreases the cost of borrowing over the bond's term but, if not amortized, remains as an overvalued asset.
If a premium on a bonds payable transaction is not amortized, the effects on interest expense and total stockholders' equity are specific and noteworthy. Normally, the premium on bonds payable, which is the amount by which the bond's issuance price exceeds its face value, should be amortized over the life of the bond. This amortization can reduce the amount of interest expense reported in each period. However, if the premium is not amortized, the interest expense will be reported as higher than it actually is because the premium serves to effectively reduce the cost of borrowing over the bond's term. Additionally, not amortizing the premium will lead to reporting a higher total stockholders' equity than accurate, as the unamortized premium is counted as an asset.
______________ typically aim to build commercial mortgage loan portfolios that are diversified by property type and geography as well as in accordance with applicable investment guidelines.
A) Pension Funds
B) Commercial Banks
C) REITs
D) Life Insurance Companies
Answer:
D, Life Insurance companies
Explanation:
Life insurance is a contract between an insurance policy holder and an insurer such that the insurance policy holder promises to pay the insurer a particular amount of money upon the death of the insurer's person of chioce after a period of time.
There are 3 types of life insurance namely; whole life, universal life and variable universal life insurances.
Life insurance companies provide life insurance services or policies at a certain rate every month.
Cheers
Many people believe that because wages are lower in developing countries than in developed countries, competition from developing countries in goods traded internationally will soon eliminate large numbers of jobs in developed countrie.
The given statement is true.
Explanation:
Many believe that the competition between development countries and internationally-traded goods soon eliminates large amount of jobs in developed countries as wages are lower in developing nations than in developed countries.
Today, modern technology in developed nations leads to higher productivity, which represents a higher payroll.
Even with the newest technology, production and wages in developing nations will stay lower for decades than in the developed nations, because developing nations have better infrastructure and better trained workers. More technological developments are being transported ever quicker over borders.
Interest group influence is particularly strong among ______ agencies that are responsible for overseeing the nation's business sectors.
Answer: The correct answer is "regulatory".
Explanation: Interest group influence is particularly strong among regulatory agencies that are responsible for overseeing the nation's business sectors.
Regulatory agencies are those that control or supervise the business sector of nations.
A customer invests 50000. 10 years later, the investment is worth 100000. the customers annual compouned rate of return is?
Answer: The rate of interest is 7.18 %
Explanation:
To calculate the rate of interest, we use the equation used for the interest compounded monthly follows:
[tex]A=P(1+\frac{R}{n})^{nT}[/tex]
A = Amount after time period 'T' = $100,000
P = Principal amount = $50,000
R = rate of interest = ?
n = Number of times interest applied per time period = 1 (annually)
T = time period = 10 years
Putting values in above equation, we get:
[tex]100,000=50,000(1+\frac{R}{1})^{1\times 10}\\\\R=0.0718[/tex]
Calculating the rate of interest in percentage:
[tex]\Rightarrow R\times 100=0.0718\times 100=7.18\%[/tex]
Hence, the rate of interest is 7.18 %
Stacy, a self-employed accountant, currently earns $100,000 annually. Stacy has been able to save 18% of her annual Schedule C net income. Assume that Stacy paid $11,000 in Social Security taxes, and that she plans to pay off her mortgage at retirement, thereby relieving her of her only debt. Stacy presently pays $1,500 per month toward the mortgage. Based on the information provided herein, what do you expect Stacy’s wage replacement ratio to be at retirement?
Answer:
Wage Replacement Ratio = $53,000 / $100,000 = 53%
Explanation:
Total Mortgages = $1,500 x 12 = $18,000
Dollar Value Percentage
Salary $100,000 100%
Less: Self-Employment Taxes (11,000) (11%)
Less: Savings (18,000) (18%)
Less: Mortgage Payments (18,000) (18%)
$ 53,000 53%
Wage Replacement Ratio = $53,000 / $100,000 = 53%
Final answer:
Stacy's wage replacement ratio at retirement is expected to be 36%.
Explanation:
To calculate Stacy's wage replacement ratio at retirement, we first need to determine her annual Schedule C net income. If she saves 18% of her annual income, then her annual savings would be:$100,000 × 0.18 = $18,000
Next, we can calculate Stacy's mortgage pay-off amount by multiplying her monthly payment by 12:$1,500 × 12 = $18,000
Considering that Stacy has no other debts and plans to pay off her mortgage at retirement, her wage replacement ratio would be:($18,000 + $18,000) / $100,000 = 0.36 or 36%