Interest in a partnership

Assignment Help Financial Management
Reference no: EM131303370

If Mike purchase the interest in a partnership from Carl for $11,000, and Carl contributed the land for $6000 and the next year the parntership sells the land for only $5,400 what is the tax consequence to Mike the new partner?

Reference no: EM131303370

Questions Cloud

Find the uniform annual series of seven payments : Find the uniform annual series of seven payments that would be equivalent to the following series: $500 initially, with a $50 increment per year, for a total of 7 years. the interest rate is 12% compounded annually.
Reasonable guess for the expected market risk premium : Suppose you forecast that the standard deviation of the market return will be 20% in the coming year. If the measure of risk aversion in Equation 5.17 is A = 4, what would be a reasonable guess for the expected market risk premium? What will happen t..
Offered two options for a severance package : Your annual salary is $100,000. You are offered two options for a severance package. Option 1 pays you six months' salary now. Option 2 pays you and your heirs $6,000 per year forever (first payment at the end of this year). If your required return i..
Retires to be able to withdraw the desired amount : When Dany retires, she wants to withdraw $15,000 every quarter from her savings for a period of 25 years. How much money must Dany have in the bank when she retires to be able to withdraw the desired amount?
Interest in a partnership : If Mike purchase the interest in a partnership from Carl for $11,000, and Carl contributed the land for $6000 and the next year the parntership sells the land for only $5,400 what is the tax consequence to Mike the new partner?
Excluding interest earned on interest : Interest-on-Interest Consider a $1,600 deposit earning 5 percent interest per year for 8 years. How much total interest is earned on the original deposit (excluding interest earned on interest)?
Impose a redemption fee that declines over time : Which of the following types of mutual fund shares typically does not charge a front-end sales charge but does impose a redemption fee that declines over time? A corporate bond with a rating of BBB- is considered to be which of the following? An orde..
No-loads charge no sales fee because : Bonds trade on an accrual interest basis. This means an investor: No-loads charge no sales fee because:
Use the pi decision rule to evaluate this project : Suppose your firm is considering investing in a project with the cash flows shown below, that the required rate of return on projects of this risk class is 11 percent, and that the maximum allowable payback and discounted payback statistics for your ..

Reviews

Write a Review

Financial Management Questions & Answers

  Explanation on how risk plays role within financial markets

An explanation on how risk plays a role within financial markets and how did Bernard Madoff change the way in which individuals viewed the stock market and their investing plans.

  Calculate the firm''s operating cycle-cash conversion cycle

Camp Manufacturing turns over its inventory 5 times each year, has an average payment period of 32 days, and has an average collection period of 58 days. The firm has annual sales of $3.6 million and cost of goods sold of $2.4 million. Calculate the ..

  Difference between commercial banks and investment banks

Explain the difference between commercial banks and investment banks. Discuss their roles in our financial system, how each facilitates capital raising by firms, and how each earns profits. Discuss the potential conflict of interest when these two en..

  What is the coupon rate of this bond

A corporate bond with a face value of $1,000 and coupons paid semi-annually, sells for $1,058.39. The term to maturity is 14.5 years. If the yield to maturity of similar bonds is 9.5%, what is the coupon rate of this bond? please label given to input..

  Increase the dividend-what is the current share price

Metallica Bearings, Inc., is a young start-up company. No dividends will be paid on the stock over the next nine years because the firm needs to plow back its earnings to fuel growth. The company will pay a $15 per share dividend 10 years from today ..

  After-tax market rate of return on research

The research and development division of a large corporation is considering the purchase of a new tunneling X-ray microscope for $320,125. The projected net benefits from gains in materials engineering is projected to be $127,000 in today’s real doll..

  What is the amount of the interest for third year of loan

You are borrowing $6,000 today. The loan is an amortized 6-year loan with an APR of 8 percent. The loan requires that $1,000 of the principal amount be repaid each year. Payments are to be made annually. What is the amount of the interest for the thi..

  What should have been the exchange rate

The argentine peso was fixed through a currency board at Ps1.00/$ throughout the 1990s. In january 2002, the Argentine peso was floated. On January 29, 2003, it was trading at Ps3.20/$. What should have been the exchange rate in January 2003 if PPP(P..

  Calculate the present worth of cost

A business buys a vehicle for $6,000, uses it for 5 years, and salvages it for $1,000. The annual cost of operating the vehicle was $900. Maintenance costs are $200 for the first year and increase at a 8% annual compounded rate. The business uses an ..

  Use the money to start a retirement account

When Jamal graduated from college recently, his parents gave him $1,180 and told him to use it wisely. Jamal decided to use the money to start a retirement account. Calculate how much money Jamal will have in his IRA at the end of 10 years, assuming ..

  Create a chart summarizing the details of the investment

Create a chart summarizing the details of the investment for both Bob and Lisa. - Explain the results in terms of time value of money.

  Proposed new project has projected sales

A proposed new project has projected sales of $129,000, costs of $63,000, and depreciation of $13,200. The tax rate is 30 percent. Calculate operating cash flow using the four different approaches. (Do not round intermediate calculations.) Approaches..

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd