If the aggregate price level is 8, then the nominal GDP is $100 billion.
In macro-economics, the money supply refers to the entire volume of currency command by the general public at a selected purpose in time. There square measure many ways that to outline "money", however normal measures typically embody currency in circulation and demand deposits. the cash offer is that the total quantity of money—cash, coins, and balances in bank accounts—in circulation.
The velocity of money is that the frequency at that one unit of currency is employed to buy domestically- made merchandise and services inside a given period. In alternative words, it's the amount of your times one greenback is spent to shop for merchandise and services per unit of time.
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The average price for a world series ticket in philadelphia has skyrocketed to more than?.
World Series tickets in Philadelphia value over $3,000 each—the second-highest worth during a decade. Rhys Hoskins of the Philadelphia Phillies reacts once defeating the city Padres.
In game 5 to win the National League Championship Series at voters Bank Park on Oct twenty-three, 2022, in Philadelphia, Pennsylvania.
Demand for playoff tickets in Philadelphia has driven their value to a historic high. The average worth of game tickets at voters Bank Park is among the best in major Baseball history.
Consistent with the Delaware News Journal, tickets to Philadelphia Phillies home games in their playoff tilt with the Houston Astros have reached a median value of over $3,200, the second-highest total in baseball history.
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Evan corporation provided consulting services for kensington company in year 1. evan incurred costs of $60,000 associated with the consulting and billed kensington $90,000. evan paid $40,000 of its costs in 2019 and the remaining $20,000 in year 2. evan received $45,000.00 of its billing in year 1. kensington paid the remaining $45,000 in year 2. evan reports on the accrual basis of accounting. how much is evan’s year 1 and year 2 profit related to the kensington consulting?
If Evan corporation provided consulting services for kensington company in year. Evan Corporation's Year 1 profit related to the Kensington consulting is $5,000 and Year 2 profit is $25,000.
How to find the profit?In year 1, Evan's revenue from the Kensington consulting is $45,000.
Evan's expenses in year 1 related to the consulting are $40,000, leaving a profit of :
Profit =$45,000 - $40,000
Profit = $5,000
In year 2, Evan received the remaining $45,000 from Kensington and incurred $20,000 in remaining costs, resulting in a profit of:
Profit = $45,000 - $20,000
Profit = $25,000
Therefore Evan Corporation's Year 1 profit related to the Kensington consulting is $5,000 and Year 2 profit is $25,000.
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All of the following are considered appropriate uses of life insurance for business purposes EXCEPTAttracting quality employees by offering a group life planFunding an entity buy-sell agreementProtecting the business by covering key employees with life insuranceProtecting the business by covering entry level employees with life insurance
All of the following are considered appropriate uses of life insurance for business purposes EXCEPT protecting the business by covering entry-level employees with life insurance.
Life insurance can be used by businesses in various ways such as attracting quality employees by offering a group life plan, funding an entity buy-sell agreement, and protecting the business by covering key employees with life insurance. Covering entry-level employees with life insurance is not a common practice in businesses. Life insurance policies for entry-level employees may not be cost-effective for the business, and the benefit to the employees' families may be limited. Generally, businesses tend to focus on insuring their key employees, who have crucial roles in the organization's success, or implementing group life insurance plans that offer more comprehensive coverage to a large number of employees at a lower cost.
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Life insurance in a business context typically involves offering group life plans to attract quality employees, funding buy-sell agreements, and protecting the business by covering key employees. However, covering entry-level employees is not generally considered a necessary use of life insurance in business, as their roles do not often contribute significantly to a company's financial stability.
Explanation:The appropriate uses of life insurance for business purposes typically include offering a group life plan to attract quality employees, funding an entity buy-sell agreement, and protecting the business by covering key employees with life insurance. These strategies are particularly beneficial for businesses because they help to maintain business continuation and attract and retain key talents. However, protecting the business by covering entry level employees with life insurance is not typically considered an appropriate use of life insurance for business purposes. This is because entry-level employees often do not have the specialized skills or position that would result in significant financial loss for the company should the employee pass away, which is the primary reason for employing life insurance in a business context.
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Compute the compound interest. Binal Patel invested $6000 at 4% compounded semiannually. How much will be in the account in 10 vears? Round to the nearest cent.
The amount in Binal Patel's account after 10 years, with a principal investment of $6000 at an annual interest rate of 4% compounded semiannually, can be calculated using the compound interest formula. The amount in the account after 10 years will be approximately $8,214.69.
How is the compound interest calculated?Compound interest is calculated using the formula:
A = P(1 + r/n)^(nt)
Where:
A = the final amount
P = the principal investment
r = the annual interest rate (expressed as a decimal)
n = the number of times interest is compounded per year
t = the number of years
In this case, Binal Patel invested $6000 at an annual interest rate of 4% (or 0.04) compounded semiannually. Since interest is compounded semiannually, n = 2. The investment is held for 10 years, so t = 10.
Using the formula, we can calculate:
A = 6000(1 + 0.04/2)^(2*10)
≈ 6000(1.02)^20
≈ 6000(1.485947)
≈ 8,914.68
Rounding to the nearest cent, the amount in the account after 10 years will be approximately $8,214.69.
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What is one reason to keep detailed patient records?
• A. To justify a breach of duty when it is called for
•
B. To have proof that the patient consents to treatment
•
C. To share them publicly if the patient becomes problematic
•
D. To help protect against malpractice cases and damages
The one reason to keep detailed patient records is To have proof that the patient consents to treatment. Thus the correct option is B.
In cases of medical negligence, the records of the patient give a precise and understandable description of a patient's medical history, treatments, and progress. This act is evidence that the given treatment is with the consent of the patient.
By serving as a foundation for ongoing assessments, planning, and evaluations of patient's health status, thorough records can guarantee that patients receive the best care available.
Therefore, option B is appropriate
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Which of the following is an output device? DVD-ROM Touchpad Hard drive Printer
The printer should be considered an output device.
The following information should be considered for an output device:
The output device is the device that transforms the information into a human-readable form. The example of the output devices includes monitor, printer, plotters, speakers, etc.Therefore we can conclude that the printer should be considered an output device.
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Calculate the payoff of this scenario: You flip a coin, if it is Heads, you win $134; and if it is Tails, you lose $121
The payoff of this scenario is +$13.
To calculate the payoff, subtract the amount lost from the amount won:
$134 - $121 = $13.
In this scenario, you have a 50/50 chance of winning or losing money based on the outcome of the coin flip. If the coin lands on Heads, you win $134, but if it lands on Tails, you lose $121.
Therefore, the expected value of this scenario can be calculated as follows: (0.5 x $134) + (0.5 x -$121) = $6.5.
However, the payoff is not the same as the expected value. The payoff represents the actual outcome of the scenario, whereas the expected value represents the average outcome over many repetitions of the scenario. In this case, the actual outcome is either a gain of $13 or a loss of $121, depending on the result of the coin flip.
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Please show each step of the algebraic work. All the other answers just jump to the answer.
Preston Industries has a WACC of 12.78 percent. The capital structure consists of 61.7 percent equity and 36.7 percent debt. The aftertax cost of debt is 7.2 percent and the cost of equity is 15.90 percent. What is the cost of preferred stock?
Given,The WACC of Preston Industries = 12.78%Weight of equity = 61.7%Weight of debt = 36.7%Cost of debt = 7.2%Cost of equity = 15.90%Let's find out the cost of preferred stock
.Calculation:
Weight of preferred stock = 100% - (Weight of equity + Weight of debt)Weight of preferred stock = 100% - (61.7% + 36.7%)Weight of preferred stock = 1.6%The formula for WACC is, WACC = (E/V × Re) + (D/V × Rd) × (1 − Tc)Where,E = Market Value of the firm's equityD = Market value of the firm's debtV = Total Market Value of the firm's financingRe = Cost of EquityRd = Cost of DebtTc = Corporate Tax RateWe have values for WACC, E, D, Re, Rd, and Tc. We need to calculate V.Let's find out the total market value of the financing.V = E + D + PWhere,P = Market Value of the firm's preferred stockNow, we have values for E, D, P, and V. We can calculate the cost of preferred stock.Calculation:WACC = (E/V × Re) + (D/V × Rd) × (1 − Tc)0.1278 = (0.617 × 0.1590) + (0.367 × 0.072) × (1 - 0.3)0.1278 = 0.0981 + 0.01662.319 × P = V - E - D2.319 × P = 1 - 0.617 - 0.3672.319 × P = 0.016P = 0.016/2.319P = 0.0069 or 0.69%Therefore, the cost of preferred stock is 0.69%
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Which type of third party claim against a Design Professional is LEAST likely to be successful and therfore rarely arises? A. Subsequent owner claims 8. Tenant claims C. Third party beneficiary claims
The type of third-party claim against a Design Professional that is least likely to be successful and, therefore, rarely arises is Option (D) Prime contractor claims.
A third-party claim is a legal claim that someone other than the claimant is entitled to. The third-party claim is made against a defendant who is believed to be responsible for the claimant's damages. Types of Third-party Claims
Subsequent Owner Claims: When the owner sells the property to a subsequent owner, this claim arises. If a design professional provides faulty designs, subsequent owners may file claims against the design professional.
Tenant Claims: If a tenant of a property suffers an injury due to a defect in the design or construction of a building, they can file a claim against the design professional.Third-party Beneficiary Claims: The third-party beneficiary is someone who was not a party to the original contract but who was promised performance by one of the parties.
Prime Contractor Claims: A prime contractor may sue a design professional for any cost overruns caused by defective designs or plans. The prime contractor is responsible for any construction work done on the property and, as a result, may file a claim against the design professional for any damages caused by the design professional's actions.
Therefore, prime contractor claims are the least likely to be successful and are therefore rarely raised. A prime contractor is responsible for any construction work done on the property and, as a result, may file a claim against the design professional for any damages caused by the design professional's actions. Therefore, the correct option is D.
The question was incomplete, Find the full content below:
Which type of third-party claim against a Design Professional is LEAST likely to be successful and therefore rarely arises?
A. Subsequent owner claims
B. Tenant claims
C. Third-party beneficiary claims
D. Prime contractor claims
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Which item is used when computing a corporation's Current Ratio?
A. Net Working Capital
B. Net Worth
C. Sales
D. Cash
When computing a corporation's Current Ratio, option A. Net Working Capital is used.
The current ratio measures the corporation's ability to meet its short-term liabilities and how many current assets they have to cover the current liabilities.
The formula for current ratio is
In computing a Corporation's Current ratio, Current Ratio = Current Assets / Current Liabilities.
Current Ratio-
Current ratio is a financial ratio that is used to assess a company's liquidity. Also, current ratio is a measure of a company's ability or potential to pay off its short-term obligations using its current assets in the corporation. The higher the current ratio, the better the company's liquidity and financial stability.
A ratio of at least 1:1 is considered to be a healthy current ratio. In other words, if the company has at least $1 in current assets for every $1 in current liabilities, it is considered to be in a good position to meet its short-term obligations.
Net Working Capital-
Net Working Capital of a company or corporation is the difference between its current assets and current liabilities. It represents the amount of money the company has left over after paying off its short-term obligations.
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Blossom Company received a check for $28320 on July 1 which represents a 6 month advance payment of rent on a building it rents to a client. Unearned Rent Revenue was credited for the full $28320. Financial statements will be prepared on July 31. Blossom's should make the following adjusting entry on July 31:
A. debit Cash, $28320; credit Rent Revenue, $28320.
B. debit Rent Revenue, $4720; credit Unearned Rent Revenue, $4720.
C. debit Unearned Rent Revenue, $28320; credit Rent Revenue, $28320.
D. debit Unearned Rent Revenue, $4720; credit Rent Revenue, $4720.
Answer:
D. debit Unearned Rent Revenue, $4720; credit Rent Revenue, $4720.
Explanation:
When the Cash was received for 6 month`s Rent the entry was :
Debit : Cash $28320
Credit : Unearned Rent Revenue $28320
At 31 July when 1 month`s rent expires the entry will be :
Debit : Unearned Rent Revenue (1/6 x $28,320) $4,720
Credit : Rent Revenue $4,720
thus
We reverse the liability - Unearned Rent Revenue and recognize Revenue for the month expired.
Determinants of aggregate supply The following graph shows an increase in short-run aggregate supply (AS) in a hypothetical economy short-run aggregate supply curve shifts to the night from AS, to AS2, causing the quantity of output supplied at a price level of 100 to rise from $200 billion to $250 billion. The following table lists several determinates of short-run aggregate supply. Fill in the table by indicating the changes in the determinats necessary to increase short-run aggregate supply. Inflation expectations ____________ Human capital ____________ Burdensome regulations ____________
In order to increase short-run aggregate supply (AS), certain determinants must be changed. Inflation expectations can affect the behavior of both producers and consumers, so if inflation expectations decrease, then the cost of production decreases as well, leading to an increase in short-run aggregate supply.
As for human capital, if it increases, then workers become more efficient, leading to an increase in productivity, which leads to an increase in short-run aggregate supply. Finally, burdensome regulations can be a hindrance to production, but if these regulations are reduced, then production costs will also decrease, leading to an increase in short-run aggregate supply. It is important to note that short-run aggregate supply refers to the level of output an economy can produce in the short term. If all else remains constant, an increase in short-run aggregate supply can lead to a decrease in the price level and inflation, as more goods and services are being produced. However, if demand increases faster than supply, inflation can occur, leading to an increase in the price level. It is also important to keep in mind that while short-run aggregate supply can increase, long-run aggregate supply is determined by factors such as technology, education, and infrastructure.
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profit is the only
Organizational objectives of the business.Do you agree
Explanation:
I agree because without profit what's the use of the business
Suppose the own price elasticity of market demand for retail gasoline is -0.9, the Rothschild index is 0.6, and a typical gasoline retailer enjoys sales of $1,450,000 annually. What is the price elasticity of demand for a representative gasoline retailer's product?
Answer:
-1.5
Explanation:
Given the following :
Rothschild index = 0.6
Elasticity of demand for total market = - 0.9
Annual sale = $1,450,000
Elasticity of demand for a representative retailer's product :
Using the Rothschild demand Elasticity relation:
Rothschild index = (Elasticity of demand for total market / Elasticity of demand for a representative retailer's product
0.6 = - 0.9 / Elasticity of demand for a representative retailer's product
Elasticity of demand for a representative retailer's product = - 0.9 / 0.6
= - 1.5
What is the main purpose of the operation bank?
Answer:
what even is a operation bank
Explanation:
hehe
: Togo's Sandwiches acquired equipment on April 1, 2021, for $15,000. The company estimates a residual value of $1,400 and a five- year service life. Required: Calculate depreciation expense using the straight-line method for 2021 and 2022, assuming a December 31 year-end. 2021 2022 Depreciation expense _______ _____
2021: Depreciation expense = $2,720 x (9/12) = $2,040
2022: Depreciation expense = $2,720
To calculate the depreciation expense using the straight-line method for 2021 and 2022, we need to first calculate the depreciable cost of the equipment, which is the original cost minus the estimated residual value.
Depreciable cost = $15,000 - $1,400 = $13,600
Next, we divide the depreciable cost by the number of years of service life to get the annual depreciation expense.
Annual depreciation expense = Depreciable cost / Service life
Annual depreciation expense = $13,600 / 5 years = $2,720 per year
Using this information, we can calculate the depreciation expense for 2021 and 2022:
2021: Depreciation expense = $2,720 x (9/12) = $2,040
(Note: we multiply by 9/12 because the equipment was acquired on April 1, 2021, and we need to calculate the depreciation expense for the remaining 9 months of the year)
2022: Depreciation expense = $2,720
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hy plz help me. why do people run a business?
Answer:
to make more money
Explanation:
to sustain and earn a lot of money and live comfortable in life
Answer: Usually, the reason why people want to run a business or having business ownership is because it offers to having a unique business idea or passion they want to bring to life.
Explanation: There are also financial benefits to consider along with the ability to gain new skills and put existing ones to use. The primary purpose of a business is to maximize profits for its owners or stakeholders while maintaining corporate social responsibility.
what current cultural buzzword indicates that consumers are alert and tuned into perceived or actual social injustices?
Woke is the current cultural buzzword which indicates that consumers are alert and tuned into perceived or actual social injustices
A buzzword is a term or utterance or old—that rises to popularity for just a relatively short period of time. Although buzzwords frequently originate from technical jargon, they frequently lose large portion their original technical significance due to fashionable usage and are instead used to amaze others. When used correctly, several "buzzwords" like artificial intelligence—retain their true different connotation. A person who has "woken up" to problems of societal unfairness is now referred as one who is "awake." It refers to a person who seems to be politically or socially conscious or knowledgeable, particularly when it comes to matters affecting minorities. In some Black groups, the expression "staying woke" developed to represent people whom are self-aware, willing to challenge the system, and actively seeking improvement.
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PMBOK Knowledge area of Quality Management has 2 process, please explain in your own words at least two
One of the processes in the PMBOK (Project Management Body of Knowledge) knowledge area of Quality Management is "Plan Quality Management."
In this process, the project team identifies the quality objectives and determines the necessary actions and resources to achieve them. It involves developing a quality management plan that outlines the quality standards, metrics, and processes to be used throughout the project.
Another process is "Perform Quality Assurance." This process focuses on executing the quality management plan and ensuring that the project activities comply with the defined quality standards. It involves evaluating project performance and deliverables, conducting audits, and implementing necessary improvements to enhance the overall quality of the project.
In summary, the "Plan Quality Management" process establishes the framework for quality management, while the "Perform Quality Assurance" process monitors and verifies adherence to the established quality standards and implements corrective actions when necessary.
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what is 4+4x=8. What would x be???
The value of x that satisfies the equation 4+4x=8 is x = 1.
How to find the value xTo solve for x in the equation 4+4x=8, we need to isolate x on one side of the equation.
First, we can simplify the left side of the equation by combining the like terms:
4 + 4x = 8
4x = 8 - 4
4x = 4
Next, we can solve for x by dividing both sides of the equation by 4:
4x/4 = 4/4
x = 1
Therefore, the value of x that satisfies the equation 4+4x=8 is x = 1.
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what are the two ways that a company can obtain new products?
A company can obtain new products in two ways: through internal development or through external acquisition.
Internal development involves the company's own research and development (R&D) efforts to create new products or improve existing ones. The company may have a dedicated R&D team that focuses on new product development, or it may encourage innovation across all departments.
External acquisition involves acquiring new products from outside sources. This may involve licensing technology or intellectual property from another company or acquiring an existing company with a product that fits the company's strategic goals.
This approach allows the company to quickly acquire new products without investing in R&D, but may involve a significant financial investment and the need to integrate the new product into the company's operations.
Both approaches have their advantages and disadvantages, and the best approach depends on the company's resources, capabilities, and strategic goals.
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In addition to intelligence collection, processing and exploitation, and analysis and production, what other results must collection managers continuously monitor for
The other results that collection managers should monitor for process effectiveness are disclosure to determine whether information requirements are met.
What is the role of a collection manager?Related to the supervision and control of an organization's collection department, generating effectiveness in billing and receiving payments.
Therefore, collection managers are professionals responsible for maintaining the company's financial balance in relation to negotiations with customers and partners.
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Which of the following businesses describes a branch?
A. CarCity is a car dealership that is old by a large company but operated by a group.
B. Easy as Fries, a fast-food restaurant, is operated by one person but still owned by a large company.
C. Photo Finish, a sports photography business, has many locations that are owned an operated by the company.
D. Hit the books, a Tutoring business, has one location in San Diego, California
Photo Finish, a sports photography business, has many locations that are owned an operated by the company is the businesses describes a branch. Hence, option C is correct.
What is meant by photography business?A variety of services are offered by professional photography studios, including portraiture, commercial photography, event photography including weddings, family gatherings, bar mitzvahs, and more, convention photography, and more.
Their creativity, which is the art or process of making images by the influence of radiant energy, particularly light, on a sensitive surface, is expressed through shades, tones, smiles, joy, and even sadness.
To start, you can increase brand awareness by including brand-specific colors in your images. Additionally, your image might inspire bto take action. Good pictures elicit an emotion. Within that attitude, an emotion develops, which inspires potential customers to become clients.
Thus, option C is correct.
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Hai, a single taxpayer, invested $75,000 in the stock of penguin corporation, which recently declared bankruptcy. although distressed over the loss of her investment, hai is relieved that she can claim a $75,000 ordinary (rather than capital) loss deduction. comment on hai’s expectations.
Hai's expectation of being able to claim a $75,000 ordinary loss deduction is correct. When a corporation goes bankrupt, it can result in the loss of the shareholder's investment.
However, this loss can be claimed as a deduction on the taxpayer's tax return.
In the case of a stock investment, the loss is typically considered a capital loss, which can only be used to offset capital gains, up to a maximum of $3,000 per year. However, in certain situations, such as when the investment is in a corporation that has gone bankrupt, the loss can be treated as an ordinary loss.
An ordinary loss can be deducted in full against ordinary income, such as wages, salaries, or business income, which can result in a larger tax benefit than a capital loss deduction.
Overall, while Hai may be distressed over the loss of her investment in Penguin Corporation, her expectation of being able to claim an ordinary loss deduction for the full amount of her investment is accurate.
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What does a single point on the supply curve represent?a. The cost of producing the given quantity of filmb. the amount of profit the producer hopes to receivec. the cost, at the current level of production, of producing one more roll of filmd. the price the consumers are willing to pay for a roll of film
Answer:
d. the price the consumers are willing to pay for a roll of film
Explanation:
The option “D” is correct because the supply curve is upward sloping and shows the positive relationship with the price mentioned on the verticle axis of the curve. This price is the same price that a person pays for the commodity. If the price paid by the person is more, then the supplier will supply more. If the price is lower, then the supplier will supply less. Thus, this shows that price and supply and positively related to each other.
Leading is solely the responsibility of the manager.
true
false
Leading is solely the responsibility of the manager, is the false statement. Hence, option B is correct.
Who is manager?A manager is the one who leads the members of the team, or it can be said that a manager is the one who guides, motivates, and takes the responsibility of the project solely into his/her hands.
There are numerous qualities, skills, and experiences required to be a manager, such as excellent communication skills, leadership qualities, team management, motivator skills, the ability to effectively handle challenges, and so on.
A good manager has strong, situation-specific communication skills. He or she might be able to convey strategic goals to a room full of executives as well as identify extremely specific goals for a project team. A valuable soft talent is the ability to demonstrate competence in a variety of communication techniques.
Thus, option B is correct.
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if the r-squared from step 2 of the test is equal to 0.116, then the lm statistic must be equal to_____ and has an f ______distribution.
The r-squared from step 2 of the test is equal to 0.116, then the lm statistic must be equal to 2.96 and has an f distribution with 1 degree of freedom in the numerator and 196 degrees of freedom in the denominator.
This is based on the fact that the lm statistic is calculated as the ratio of the explained variance to the unexplained variance, which is equivalent to the ratio of the r-squared to 1 minus the r-squared. This value is then compared to the F distribution to test the null hypothesis that the slope coefficient is equal to zero.
knowing the r-squared and lm statistic can provide valuable information about the strength of the relationship between the variables and the significance of the regression results.
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PLSSS HELP IF YOU TURLY KNOW THISS
Answer:
I think it is D) proof-read articles
Explanation:
How much does it cost to shut down disney world for a day.
The cost of shutting down Disney World for a day is not publicly available or confirmed. However, it can be estimated based on various factors such as operating expenses, lost revenue, and compensation for employees. The exact cost of shutting down Disney World for a day is unknown.
The cost will vary based on the expenses associated with running the park, revenue loss, employee compensation, and other factors. According to a 2020 report by the Orange County Economic Recovery Task Force, Disney World was projected to have a $9.7 billion economic impact in Florida for the 2018 fiscal year. However, this report did not provide information on the cost of shutting down the park.Disney World typically generates an average of $70 million in revenue per day, according to data from the Themed Entertainment Association. This figure includes ticket sales, merchandise, food, and other expenses. Therefore, it is estimated that shutting down the park for a day can result in a revenue loss of up to $70 million. This figure does not take into account the costs associated with operating the park and compensating employees.Overall, it is difficult to provide an exact cost of shutting down Disney World for a day. The cost will vary based on various factors, and Disney does not disclose this information to the public.
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a taxpayer who takes a distribution from a traditional ira in which they previously made nondeductible contributions must:
When a taxpayer takes a distribution from a traditional IRA in which they previously made nondeductible contributions, they must "report the distribution on their tax return".
The distribution is subject to taxation, but only a portion of it is taxable. The portion of the distribution that is taxable is determined by the pro-rata rule, which takes into account the total amount of contributions and earnings in all of the taxpayer's traditional IRAs. The nondeductible contributions are considered to be a return of after-tax dollars and are not taxed again, but the earnings on those contributions are subject to taxation.
The taxpayer must file Form 8606 with their tax return to report the nondeductible contributions and to calculate the taxable portion of the distribution. It is important to keep accurate records of all contributions and distributions from traditional IRAs to ensure that the correct amount of taxes are paid.
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