Absorption costing technique is basically used to reduce expenses, which increases operating income.
What is Absorption costing?
We know that total cost is summation of fixed cost and variable cost. But absorption cost we consider the product cost only neither fixed cost nor variable cost.Incurred cost is recovered by selling price of goods and services. Absorption costing technique is basically used to reduce expenses, which increases operating income.There are two steps to increase net operating income, they are 1. Increase production. 2. Decrease in expenditure.Increase in production as more productivity as more income is generated. Decrease in expenditure- It causes to increase saving. When somehow production is fixed then we can reduce expenditure to maintain the saving.To learn more about Absorption costing
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Which organization most fully protects owners from personal liabilities and is taxed separately?
A C corporation is one which is taxed separately and protects the owners from personal liabilities.
A employer, every so often referred to as a C corporation, is a legal entity it is become independent from its owners. Businesses could make a income, be taxed, and may be held legally in charge. Organizations provide the strongest protection to its owners from personal liability, but the fee to shape a organization is higher than different systems.
C agencies are typically publicly traded businesses owned by using shareholders. They vary from different enterprise structures within the manner they may be taxed. C groups are the most common form of company structure in the us. These commercial enterprise systems are taxed as a separate entity from the business proprietor.
An S corporation isn't always a separate taxable entity. It files an facts go back however now not an earnings tax go back. The employer's earnings, losses, and different tax items bypass through to its shareholders, who pay their share of the organization's income on their personal profits tax return at the private income tax rate.
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Refer to the table below. Suppose that D2 and S1 are the prevailing demand and supply curves for a product. If the demand schedule changes from D2 to D1, then:Price D1 D2 S1 S2$12 5 9 19 14$10 8 12 17 12$8 11 15 15 10$6 13 18 13 8$4 16 21 11 6$2 18 24 9 4O equilibrium price increases from $6 to $8.O equilibrium quantity increases from 13 to 18.O equilibrium quantity decreases from 15 to 13.O equilibrium price decreases from $6 to $4.
The equilibrium quantity and price in a given market, where D2 and S1 stand in for the supply and demand schedules, are $8 and 15, respectively.
What does demand look like?Demand is just a key factor driving the market to acquire products and services immediately and to pay the price associated with them. The quantity of goods that customers are prepared and ready to buy at different prices within one particular time frame is known as demand.
What is the economic demand?Demand is the number of customers who are able and willing to purchase goods at a range of prices throughout a specific time period. Demand for any good or service shows that consumers are interested in it and are able and willing to pay for it.
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A contract is said to be executed when all parties have completed their performances.True or False
This statement is True. A contract is a legally executed agreement between two or more parties that sets out the rights and obligations of each party and the terms of the contract.
When all parties fulfill their obligations set forth in the contract, the contract is considered fulfilled and considered fully enforceable. Entering into a contract requires both parties to act in good faith and adhere to the terms of the contract. This includes providing the necessary documents, funds or other items specified in the contract. After fulfilling all the above obligations, the contract is considered concluded and binding.
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Conduct a SWOT analysis for IBM’s ""Let’s Put Smart To Work"" initiative. What are the relevant trends to consider?
Such relevant trends to consider are as follows:
StrengthWeaknessOpportunitiesThreatsStrength - IBM would be strongly responsible for collecting and analyzing information to enhance a firm, organization, city.Weakness - There are no links between the other technologies that are weak throughout the IBM Intelligent Planet program.Opportunities - Throughout the economies such as China, India, as well as Africa, IBM attempts to take over.Threats - IBM will face the change from natural resource companies to more customized companies.Learn more about SWOT analysis here:
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SWOT analysis helps organization to identify their strengths and grow their business by availing the opportunities.
IBM is International Business Machine which is an American technology organization having head quarter in New York.
The SWOT analysis is give below :
Strength : The company have expertise in designing intelligent computers which enable the users to run different business applications.
Weakness : The company has not worked for compatibility and they have not designed laptops which are more easy to carry and handle than the desktop computers.
Opportunity : By using economies of scale technique the company can grow its business to different parts of the world and can gain from International market.
Threats : There can be cyber crime or hacking of intelligence programs which are designed at IBM. There is need for strict cyber controls in the organization.
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Paul Swanson has an opportunity to acquire a franchise from The Yogurt Place, Inc., to dispense frozen yogurt products under The Yogurt Place name. Mr. Swanson has assembled the following information relating to the franchise: a. A suitable location in a large shopping mall can be rented for 3,500 per month. b. Remodeling and necessary equipment would cost 270,000 . The equipment would have a 15 -year life and an 18,000 salvage value. Straight-line depreciation would be used, and the salvage value would be considered in computing depreciation. c. Based on similar outlets elsewhere, Mr. Swanson estimates that sales would total 300,000 per year. Ingredients would cost 20% of sales. d. Operating costs would include 70,000 per year for salaries, 3,500 per year for insurance, and 27,000 per year for utilities. In addition, Mr. Swanson would have to pay a commiss2.14ion to The Yogurt Place, Inc., of 12.5% of sales.Required:(Ignore income taxes.)
(c) Compute the payback period on the outlet. If Mr. Swanson wants a payback of four years or less, will he acquire the franchise?
The payback period on the outlet is if Mr. Swanson wants a payback of four years or less then he will acquire the franchise for 3.2 years.
What do you mean by the term “simple rate of return”?The incremental net income anticipated from a potential investment opportunity, divided by the investment made in it, is the simple rate of return. To decide whether a corporation should invest in a fixed asset and any incremental change in working capital linked with the asset, the simple rate of return is employed in capital budgeting analysis. The project offers a straightforward rate of return of 8% (measured as $8,000 incremental net income / $100,000 investment), for instance, if a company can earn an incremental increase in its net income of $8,000 in exchange for a $100,000 initial investment.
Calculation:
Variable expenses:
Cost of ingredients (20% × $430,000) = $86,000
Commissions (14.0% × $430,000) = $60,200
Selling and administrative expenses:
Rent ($4,000 × 12) = $48,000
Depreciation:
$348,000 – $17,400 = $330,600
$330,600 ÷ 20 years = $16,530 per year.
2a . The formula for the simple rate of return is:
Simple rate of return =
Annual incremental net operating income upon Initial investment =
$91,470 upon $348,000 = 26.3%
2b Yes, the franchise would be acquired because it promises a rate of return in excess of 19%.
3a. The formula for the payback period is:
Payback period =
Initial investment upon Annual net cash inflow =
$40,000 upon $108,000*
= 3.2 years
*Net operating income + Depreciation = Annual net cash inflow
$91,470 + $16,530 = $108,000
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Which player in the economy supplies labor in the factor market?
Government
Households
Business firms
Rest of the world
The player in the economy that supplies labor in the factor market is households.
Economists refer to all of the resources that firms utilize to buy, rent, or hire the equipment they use to generate goods or services as the "factor market."
The factors of production—raw materials, land, labor, and capital—are what are required to meet these needs.
The input market is another name for the factor market.
By this definition, all markets fall into one of two categories: those that provide businesses with the resources they require, or those that provide consumers with the goods and services they need to make purchases.
The market for finished goods or services is referred to as an output market, whereas a factor market is referred to as an input market.
This can be seen as a closed-loop flow where households are sellers and businesses are buyers in the factor market and vice versa in the market for goods and services.
Hence, The player in the economy that supplies labor in the factor market is households.
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in summary the answer is households
HELP PLEASE SOS
carrefour's type of delegation and it's advantages and disadvantages
Answer:
advantages: delegations involve the assignment to others authority for specific functions, tasks, and decisions.
disadvantages: delegations reduces management, stress, workload.
_____ are all goods and services sold abroad and sent out of a country. A. Net national products B. Exports C. Gross domestic products D. Imports
Exports refer to all goods and services produced within a country and sold to other countries. The correct answer to your question is B. Exports.
Exports are an important part of a country's economy as they generate foreign exchange earnings and increase the country's economic growth. When a country exports more than it imports, it has a trade surplus, which is beneficial to the country's economy. However, when a country imports more than it exports, it has a trade deficit, which can have negative effects on the economy, including a decrease in foreign exchange reserves and an increase in debt.
Exporting goods and services can provide many benefits for a country, including expanding the market for their products, improving their economy, and creating new jobs. In some cases, countries may also provide subsidies or tax breaks to encourage exports. However, there can also be challenges associated with exporting, such as competition from other countries and trade barriers like tariffs and quotas.
Overall, exports play a vital role in a country's economy and can have a significant impact on its overall success. The correct answer to your question is B. Exports.
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features of small office
Answer:
just made it yourself
Explanation:
hehehe
explain socialism, capitalism and mixed economy with their features advantages and disadvantages
Give examples of customer service problems:
Answer:
Examples of common customer service problems?
1] Long Wait on Hold
2] Unavailable or Out of Stock Product
3] Repeating the Customer's Problem
3] Uninterested Service Rep
5] Poor Product or Service
6] No First Call Resolution
7] Lack of Follow Up
8] New Product or Feature Request.
This are the examples
Correct me if I'm wrong,Hope this helps
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2 Determine the proceeds of a promissory note with a maturity value of $1,800 due on September 30, 2022, discounted at 8.5% compounded semi-annually on March 31, 2019. (5 marks)
The proceeds of the promissory note, discounted at 8.5% compounded semi-annually, on March 31, 2019, would be approximately $1,636.34.
To determine the proceeds of a promissory note, we need to calculate the present value of the note, taking into account the discount rate and compounding periods.
Given:
Maturity value of the note = $1,800
Maturity date = September 30, 2022
Discount rate = 8.5%
Compounding periods = semi-annually
Discount date = March 31, 2019
First, we need to calculate the number of compounding periods from the discount date to the maturity date:
Number of compounding periods = (Maturity date - Discount date) / (Compounding period)
Number of compounding periods = (September 30, 2022 - March 31, 2019) / 6 months
Number of compounding periods = 3.5 years / 0.5 years
Number of compounding periods = 7 compounding periods
Next, we can calculate the present value of the promissory note using the formula:
Present Value = Maturity Value / (1 + (Discount rate / Number of compounding periods))^Number of compounding periods
Present Value = $1,800 / (1 + (0.085 / 7))^7
Calculating the present value:
Present Value = $1,800 / (1.012142857)^7
Present Value ≈ $1,800 / 1.100009246
Present Value ≈ $1,636.34
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A company has sales of $640,000, net profit after taxes of $23,000, a total asset turnover of 4. 17 and an equity multiplier of 1. 67. what is the return on equity?
A corporation has $\(640,000\) in sales, $\(23,000\) in net profit after taxes, a \(4.17\)total asset turnover, and a\(1.67\) equity multiplier. response is\(9%.\)%
The ratio of a company's net income to the equity of its shareholders is known as return on equity (ROE). A company's profitability and the effectiveness of its revenue generation are measured by its return on equity (ROE). The better a corporation is at turning its equity financing into profits, the higher its ROE.
Return on Asset is expressed as a percentage of the total return an organization generates in relation to its total assets. The return on asset calculation formula is.
Return on assets is calculated as Net Profit After Taxes by Asset Turnover and Sales multiplied by\(100\). For example, Return on Assets is $\(23,000*2.5\)by\(640000*100\) Return on Assets is $\(57,500/640000*100\) Return
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given the following demand, please generate forecasts by arithmetic mean, last period value, ma (3), ma (5), es (0.1), es (0.4), and es (0.9). please calculate mad for each forecasting method. which forecasting method performs the best, the worst?
Two straight forward techniques for predicting demand are the two-quarter moving average and the three-quarter moving average.
While the three-quarter moving average uses the average of the current and three previous quarters, the two-quarter moving average uses the average of the current and two prior quarters. A more complex technique for anticipating demand is exponential smoothing. It considers prior demand as well as a smoothing constant that is specified by the user.
We must compute the mean absolute deviation (MAD) for each forecasting technique in order to provide a response to the query. A measurement of accuracy known as MAD considers the absolute discrepancies between the values predicted and observed. The forecast is more accurate the lower the MAD.
We can suggest a forecasting approach for Alvin Ortega after computing the MAD. According to our calculations, the most accurate approach is exponential smoothing with a smoothing constant of 0.9 since it has the lowest MAD. Therefore, we advise Ortega to predict demand using exponential smoothing with a smoothing constant of 0.9.
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who wants brainlest i think i spelled it right
Answer:
ill take it lol but whats the catch??
Explanation:
Answer:
I dooooooooo plzzzzzzzzzzz!!!!!!1
Explanation:
Brainliest...
Which of the following are characteristics of a perpetuity? Check all that apply.
1.The value of a perpetuity is a finite number.
2. A perpetuity is a stream of unequal cash flows.
3. The value of a perpetuity is equal to the sum of the present value of future cash flows.
4. A perpetuity is a stream of equal cash flows that continues forever.
5. The value of a perpetuity cannot be determined.
A local bank’s advertising states: "Give us $1,000 today, and we’ll pay you $100 every year forever." If you plan to live forever, what interest rate will you earn?
A) 1.50%
B) 10.00%
C) 8.20%
D) 12.50%
What is the value of the $100 every year forever if the expected return is 7.50%?
A)The present value of the bank deposit decreases to $850.00.
B) The present value of the bank deposit increases to $1,333.33.
The value of the $100 every year forever increases to $1,333.33.
Characteristics of a perpetuity include:
1. A perpetuity is a stream of equal cash flows that continues forever. This means that the cash flows are of the same amount and will be received indefinitely.
2. The value of a perpetuity is equal to the sum of the present value of future cash flows. The present value is calculated by discounting the future cash flows at a specific interest rate.
3. The value of a perpetuity is not a finite number. Since the cash flows continue indefinitely, the value of a perpetuity is infinite.
4. A perpetuity does not involve a stream of unequal cash flows. The cash flows are equal in amount.
In the given scenario, the interest rate you will earn if you plan to live forever can be determined by dividing the cash flow ($100) by the initial investment ($1,000). This gives us an interest rate of 10%.
If the expected return is 7.50%, the present value of the perpetuity can be calculated using the formula: Present Value = Cash Flow / Interest Rate. Substituting the values, we get Present Value = $100 / 7.50% = $1,333.33.
Therefore, the value of the $100 every year forever increases to $1,333.33.
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In this project, you are required to propose one simple issue regarding firm operates
as perfectly competitive, monopolistically competitive, or a monopoly. Choose
any companies that involved with the issue and describe clearly using appropriate tools
such as graph, mathematical equation, statistical data, figures etc.
Body of the project can be included:
i. Introduction
ii. Background of the chosen company industry
iii. Elaborate the issue in the chosen companies.
iv. The effect of the issue to the country’s economy.
v. Solution/alternative plan by your company
vi. Conclusions.
vii. References
The Impact of Online Streaming Services on the Music Industry: A Monopolistic Competition Perspective.
i. Introduction:This project aims to analyze the impact of online streaming services on the music industry, focusing on the monopolistic competition perspective. Specifically, we will explore how the emergence of streaming platforms has disrupted traditional music distribution models and influenced consumer behavior.
ii. Background of the chosen company industry:The chosen industry is the music industry, which has experienced significant transformations in recent years due to advancements in technology and the rise of digital platforms. Traditional distribution models, such as physical sales (CDs) and digital downloads, have been gradually replaced by online streaming services.
iii. Elaborate the issue in the chosen companies:The issue revolves around the entry and dominance of online streaming services, such as Spotify, Apple Music, and Amazon Music.
These platforms have created a new distribution channel for music, offering users access to a vast library of songs on-demand for a subscription fee or through ad-supported models.
This shift in the music industry has raised concerns among artists, record labels, and industry stakeholders.
iv. The effect of the issue on the country's economy:The impact of online streaming services on the country's economy can be analyzed from multiple perspectives:
a. Revenue Distribution: Streaming services operate on licensing agreements with record labels and artists. The revenue generated from streaming is distributed based on complex royalty structures, which has sparked debates regarding fair compensation for artists and songwriters.
b. Market Concentration: The dominance of a few major streaming platforms can lead to market concentration, potentially limiting competition and reducing opportunities for smaller independent artists and labels.
c. Disruption of Traditional Models: The decline in physical sales and digital downloads due to the popularity of streaming services has resulted in significant shifts in revenue streams within the music industry.
v. Solution/alternative plan by your company:As a solution, music industry stakeholders should consider the following strategies:
a. Fair Compensation Models: Collaborative efforts between streaming platforms, artists, and record labels can be made to establish fair compensation models that ensure artists receive adequate remuneration for their work.
b. Diversification of Revenue Streams: Artists and labels can explore alternative revenue streams, such as live performances, merchandise sales, and licensing opportunities, to mitigate the dependence on streaming platforms.
c. Supporting Independent Artists: Efforts to support and promote independent artists can foster diversity within the industry and reduce the dominance of major streaming platforms.
vi. Conclusions:Online streaming services have disrupted the traditional music industry, offering both benefits and challenges. It is crucial for stakeholders to adapt to the changing landscape, address issues related to revenue distribution, and explore alternative revenue streams to ensure a sustainable and thriving music industry.
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Which of these statements related to inflation and currency exchange is true?
Currency exchange rates determine the rate of inflation.
Currency exchange rates change in proportion to the inflation rate.
Inflation and currency exchange rates have no relationship to each other.
Inflation can affect currency exchange rates and lead to changes in trade demand.
(It's D got it right on test)
The correct option is D. Inflation can affect currency exchange rates and lead to changes in trade demand these statements related to inflation and currency exchange is true.
What causes inflation?The rate at which the cost of goods and services is increasing in an economy is known as inflation. When costs of manufacturing, such as labor and raw materials, rise, inflation may result. As people are prepared to pay more for the product, inflation can result from an increase in demand for goods and services.
Since inflation can be thought of as a decline in a currency's purchasing power, it is common knowledge that inflation tends to devalue currencies. As a result, nations with high inflation typically see a weakening of their national currencies in relation to other currencies.
The right answer is D. These claims about inflation and currency exchange are accurate; they can influence exchange rates and impact trade demand.
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How have key historical and ongoing
financial practices led to modern racial
inequities in the United States?
One of the most important historical and ongoing financial practices that have led to modern racial inequities in the United States is redlining. Redlining is the practice of denying financial services, such as mortgages and insurance, to certain neighborhoods based on the racial and ethnic makeup of the area. This practice was first implemented in the 1930s and continued until the 1970s. This practice has had long-lasting effects on the economic prospects of African-Americans and other minority groups. Redlining has led to the creation of racially concentrated areas of poverty and has denied minority groups access to wealth-building opportunities such as homeownership.
Redlining has also contributed to the wealth gap between white and minority households. A study by the Institute on Assets and Social Policy found that the median white family’s wealth is 11 times greater than that of the median black family. This disparity is largely due to the fact that redlining and other discriminatory practices have prevented many minority families from accessing the same wealth-building opportunities that white families have. This has resulted in a large disparity in the amount of wealth that white and minority families have been able to accumulate over time.
Redlining and other financial practices have also contributed to the racial disparities in student loan debt. Studies have found that black and Hispanic borrowers have higher loan default rates than white borrowers, even when controlling for income. This is due to the fact that black and Hispanic borrowers are more likely to have higher interest rates and to have difficulty accessing the same types of loan opportunities as white borrowers. This has resulted in a large racial disparity in the amount of debt that black and Hispanic borrowers must take on in order to pursue higher education.
These historical and ongoing financial practices have had long-lasting effects on the economic prospects of minority groups in the United States. Redlining, the wealth gap, and disparities in student loan debt are all examples of how financial practices have contributed to the racial inequities that exist today.
Which of the following statements is true?
Question 8 options:
A. A college may withdraw its offer of acceptance if it finds out you have lied on your application.
B. Any sort of disciplinary infraction in high school will disqualify you from being accepted to college.
C. Colleges have no way of finding out any more about you than what is included in your application.
D.Having someone else fill out your application shields you from legal responsibility for the information it contains.
15 points. No bit links plz.
Answer:A
A college may withdraws offer of acceptance if it finds out you have a lied on your application
Explanation: it’s obvious
Answer:
A) A college may withdraw it's offer of acceptance if it finds out you have lied on your application.
Explanation:
It's kinda self explanatory.
A pound of raisins costs $2. 00, and a pound of almonds costs $5. 0. Six pounds of a trail mix contains 2 more pounds of raisins than almonds. What is the cost of the 6 pounds of trail mix? $7. 00 $18. 00 $24. 00 $42. 0.
Based on the information given the cost of the 6 pounds of trail mix is $18.00.
Pounds of almonds=x
Pounds of raisins=(x + 2)
Hence,
Pounds of raisins=2+2
Pounds of raisins=$4
Since pound raisins is $2.00 and a pound of almonds is $5.00, cost of 6 pounds of trail mix will be calculated as:
Cost of trail mix= ($4 × 2) + (2 × $5)
Cost of trail mix= ($8 + $10)
Cost of trail mix= $18.00
Inconclusion the cost of the 6 pounds of trail mix is $18.00.
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Which of the following is an example of typosquatting? Group of answer choices A start-up investment company assumes the online identity of Arman & Company, a well-established investment company, in social networking platforms for the purposes of acquiring its brand equity. An environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant. A person registers a domain name, Tucson Multispecialty Clinic, which is the name of a popular multispecialty clinic hoping to resell it to the clinic at an exorbitant profit. A person registers the domain name "currentaffairs.net" to take advantage of the huge popularity of the e-newspaper currentaffairs.org to divert traffic to his webpage and make money by selling advertising space.
Answer:
An environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant.
Explanation:
An example of typosquatting is an environmental support group creates a spoof of the advertisement of a popular beverage company, highlighting its degradation of the environment by releasing waste products into the water bodies near its bottling plant.
b) Compute the best combined estimate of the mean return of each stock. CAPM Î 1 1 year (Hint: + (F) ²(FCAPM) ¹²(year) ² (FCAPM) ² (year)
To compute the best combined estimate of the mean return of each stock, we need to use the Capital Asset Pricing Model (CAPM) formula. The CAPM formula is given as follows:
E(Ri) = Rf + βi(E(Rm) - Rf)
Where E(Ri) is the expected return of the ith stock, Rf is the risk-free rate, βi is the systematic risk of the ith stock, E(Rm) is the expected return of the market, and (E(Rm) - Rf) is the market risk premium.
We can use the above formula to estimate the expected return of each stock, and then combine the estimates using a weighted average. The weights can be determined based on the market capitalization of each stock. The combined estimate can be calculated as follows:
Combined estimate = Σ(wi × E(Ri))
Where wi is the weight of the ith stock and E(Ri) is the expected return of the ith stock.
By using this formula, we can get the best combined estimate of the mean return of each stock, which takes into account both the individual stock characteristics and the market factors that affect all stocks.
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Susan Sleugh earns $89,079 annually. Income tax is charged using the following information: 1.11% on on first $45225 of taxable income 2.13% on next $83989( over $ 45225 upto $129.214) 3. 15% on $129.214 Calculate the annual income tax payable.
Susan Sleugh earns $89,079 annually. Income tax is charged using the following information: 1.11% on the first $45225 of taxable income, 2.13% on the next $83989( over $ 45225 up to $129.214), and 15% on $129.214. Susan Sleugh's total tax payable is $-3526.60.
For income below $45225, the rate of tax is 1.11%. Therefore the amount of tax that Susan has to pay for the income below $45225 is:1.11/100 × 45225 = $501.28
Next, for the next $83989( over $ 45225 up to $129.214) the rate of tax is 2.13%. Therefore, the amount of tax that Susan has to pay for this amount is 2.13/100 × 83989 = $1791.27Now, for the amount above $129.214, the rate of tax is 15%.
Therefore, the amount of tax that Susan has to pay for the amount above $129.214 is:15/100 × (89079 - 129214) = -$5829.15. Hence, her total tax payable for the year is Total tax payable = $501.28 + $1791.27 - $5829.15= -$3526.60. Susan Sleugh's total tax payable is $-3526.60.
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rick pours a pile of postcards letters and flyers onto the associate counter from the company corporate office. he complains of receiving too much junk mail. he wants to be removed from the company mailing list. what should the associate do.
An association of people, either natural, legal, or a combination of both, with a particular goal is referred to as a corporation, abbreviated as co. Members of the company work together for a shared cause in order to accomplish clearly stated objectives.
A corporate structure that is distinct from its owners legally is a company. Due to additional reporting requirements and higher-level legal obligations, the business structure is more complex and has greater setup and administrative costs.
Due to the desire of its employees to create value, a business is referred to as a company.
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Suppose the real risk-free rate is 2.50% and the future rate of inflation is expected to be constant at 3.80%. What rate of return would you expect on a 5-year Treasury security, assuming the pure expectations theory is valid? Disregard cross-product terms, i.e., if averaging is required, use the arithmetic average.
Since the calculated 5-year Treasury rate is negative, this implies that the expectations theory is not valid or that there are other factors affecting the current yield curve. In practice, Treasury securities are typically not issued with negative yields, so this result is not realistic.
What exactly is a Treasury rate?A Treasury rate is the interest rate at which the U.S. government borrows money by issuing Treasury securities, such as Treasury bills, notes, and bonds. These securities are sold to investors, who lend money to the government in exchange for regular interest payments and the return on their principal investment when the security matures.
We can use the Fisher equation to calculate the nominal risk-free rate:
Nominal risk-free rate = real risk-free rate + expected inflation rate
Nominal risk-free rate = 2.50% + 3.80% = 6.30%
Assuming that the 5-year Treasury security is a long-term security, the interest rate on this security should be equal to the average of the current and expected future short-term interest rates over the next 5 years.
We can estimate the expected future short-term interest rates using the current yield curve. Let's assume that the current yield curve for Treasury securities is as follows:
1-year Treasury rate = 3.00%
2-year Treasury rate = 3.50%
3-year Treasury rate = 4.00%
4-year Treasury rate = 4.50%
5-year Treasury rate = x (unknown)
Using the pure expectations theory, we can estimate the 5-year Treasury rate as follows:
5-year Treasury rate = (1-year Treasury rate + 2-year Treasury rate + 3-year Treasury rate + 4-year Treasury rate + 5-year Treasury rate) / 5
6.30% = (3.00% + 3.50% + 4.00% + 4.50% + x) / 5
31.50% = 15.00% + 17.50% + 20.00% + 22.50% + 5x
5x = -44.50%
x = -8.90%
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Which attack is typically performed from a hallway or doorway?
Select one
A Blitz
B. Combination
C. Transitional
D. Offensive interior
Answer:
B. Combination
Explanation:
Firefighting can be defined as a strategic approach or technique which typically involves the process of attempting to prevent and control the spread of an unwanted fire in buildings, vehicles or any other location (place).
Basically, the professionals or experts who are saddled with the responsibility of preventing or controlling this unwanted fire are known as fire fighters.
An attack which is typically performed from a hallway or doorway is known as combination.
why is it important to be a good communicator for a successful future?
Answer:
Explanation:
Being an excellent communicator can help you land that first job in your new career and ensure a positive future. It can separate you from other applicants, help you be a more effective employee and serve as a stepping stone to leadership responsibilities and career advancement.
A hous is valued at $125,000 and assessed at 90% of its value. the tax bill is $3,937.50. what is the tax rate per $100 of assessed value?
The tax rate per $100 of assessed value is 3.5%.
To calculate the tax rate per $100 of assessed value, we need to find the assessed value of the house first.
Since the assessed value is 90% of the house's value, we can calculate it by multiplying the value of the house by 90%:
$125,000 * 90% = $112,500
Now, we can calculate the tax rate per $100 of assessed value.
To do this, we divide the tax bill by the assessed value and multiply by $100:
$3,937.50 / $112,500 * $100 = 3.5
Therefore, the tax rate per $100 of assessed value is 3.5%.
In summary:
1. Calculate the assessed value of the house: $125,000 * 90% = $112,500.
2. Calculate the tax rate per $100 of assessed value: $3,937.50 / $112,500 * $100 = 3.5%.
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What is the difference between productive and service oriented professions Explain with examples
Answer:
Explanation:
Product vs Service Business
While it may seem to go against traditional thinking, in some ways there is very little difference between product based and service based companies. In actuality, both sell a product. The distinction between the two is that the product business sells a physical, tangible product, while the service business owner sells his skills as the primary product. In the service-based business, customers purchase the skills of a service provider or owner, such as a plumber or lawyer, This type of business has a strong emphasis on the client relationship and makes the customer's user experience very important. Product-based businesses, on the other hand, deliver physical products that are reasonably consistent in quality for each customer, making the customer experience fairly predictable.
Local or Global Consumer Markets
In general, when consumers are looking for new solutions they try to distinguish the different services/products of business and industry in the locality where they reside. As such, businesses need to target their product and service based businesses to the appropriate markets. Consumers located anywhere in the global market can purchase a product via the internet as long as they can have their purchase delivered locally and cost effectively. However, most service businesses can only provide services to customers within their local target market. For example, while a computer store can ship computers all over the world, a hairstylist will only attract clients within a reasonable driving distance from her home or business. As a result, businesses need to consider how their customer base will influence their marketing efforts.
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