in this exercise, you will identify communication practices that are associated with high uncertainty avoidance and low uncertainty avoidance.

Answers

Answer 1

Teachers are seen as having all the answers in cultures where uncertainty avoidance is high, and learning is structured. Teachers are not necessarily viewed as all knowing in cultures with low uncertainty avoidance, and learning is more open-minded and less focused on facts.

Avoidance of low uncertainty Cultures accept and feel at ease in unstructured situations or changing environments, and they strive to have as few rules as possible. People in these cultures are more pragmatic and adaptable to change.
We found that uncertainty avoidance had a consistent and distinct effect on the use of and response to messages expressing legitimacy and formality, and that, when preferred, such behaviour resulted in higher levels of interpersonal alignment.
People in cultures with a high level of uncertainty avoidance try to minimise the occurrence of unknown and unusual circumstances by planning and implementing rules, laws, and regulations.

To know more about uncertainty avoidance refer to:-

https://brainly.com/question/8980872

#SPJ4

complete question:- Uncertainty Avoidance and Communication Patterns In this exercise, you will identify communication practices that are associated with high uncertainty avoidance and low uncertainty avoidance.

In This Exercise, You Will Identify Communication Practices That Are Associated With High Uncertainty

Related Questions

Identify the type of cash flow activity for each of the following events (operating, investing, or financing): a. Redeemed bonds be. Issued preferred stock c. Paid cash dividends d. Net income e. Sold equipment f. Purchased treasury stock go. Purchased patents h. Purchased buildings i. Sold long-term investments j. Issued bonds k. Issued common stock

Answers

Answer is given below

Explanation:

type of cash flow activity

a. Redeemed bonds   ---------------Fiancing

b Issued preferred stock -----------Fiancing

c. Paid cash dividends --------------Fiancing

d. Net income --------------------------Operating

e. Sold equipment --------------------Investing

f. Purchased treasury stock -------Fiancing

g. Purchased patents ----------------Investing

h. Purchased buildings -------------Investing

i. Sold long-term investments ----Investing

j. Issued bonds ------------------------Fiancing

k. Issued common stock -----------Fiancing

Which of the following statements is correct? Investing money is the same as putting it into savings. People earn interest and taxes by working at their jobs. Money in a savings account earns interest. All of these choices are correct.

Answers

Investing money is different from putting it into savings, people earn interest on money in a savings account, and taxes are not earned by working at a job but are deducted from income. All of these choices are correct.

1. Investing money is not the same as putting it into savings. When you invest money, you purchase assets such as stocks, bonds, or real estate with the expectation of generating a profit over time. Investing involves taking on risk in the hope of earning a higher return on your money.

2. People do not earn interest and taxes by working at their jobs. Taxes are typically deducted from an individual's income, and interest is earned by depositing money in a savings account or investing it in interest-bearing assets. Income earned through employment is subject to taxation, but it does not directly result in interest earnings.

3. Money in a savings account does earn interest. When you deposit money into a savings account, the bank pays you interest on that balance. The interest rate may vary depending on the bank and the type of savings account you have. This interest is a form of passive income that you earn on your savings over time.

Therefore, the correct statement is that all of these choices are correct.

For more such questions on interest, click on:

https://brainly.com/question/29415701

#SPJ8

Assume that Synergy Inc. has been purchasing a component necessary for its final product for $220 a unit. The factory is currently operating at 80% of capacity and no major increase in production is expected in the near future. The cost per unit of manufacturing the component internally is estimated as follows: Direct materials $ 70 Direct labor 70 Variable factory overhead 42 Fixed factory overhead 56 Total cost per unit $238 Calculate the cost savings from manufacturing the component internally. a.$50

Answers

Answer:

$38

Explanation:

Calculation to determine the cost savings from manufacturing the component internally

Cost savings =$220-(Direct materials $ 70 +Direct labor $70+ Variable factory overhead $42)

Cost savings=$220-$182

Cost savings=$38

Therefore the cost savings from manufacturing the component internally will be $38

2) A soft drinks manufacturer sells each can for 50p. The variable costs per can are 10p. Fixed costs per year are £4 million. How much profit will be made if the business sells 15 million cans?
A- £2 million
B- £3 million
C- £6 million
D- £3.5 million​

Answers

Answer:

Profit on 15,000,000 cans = £2 million

Explanation:

Given:

Sales price per can = £0.5

Variable cost per can = £0.1

Fixed costs per year = £4,000,000

Find:

Profit on 15,000,000 cans

Computation:

Profit on 15,000,000 cans = (Sales price per can)(15,000,000) - Fixed costs per year - (Variable cost per can)(15,000,000)

Profit on 15,000,000 cans = (£0.50)(15,000,000) - £4,000,000 - (£0.10)(15,000,000)

Profit on 15,000,000 cans = £7,500,000 - £4,000,000 - £1,500,000)

Profit on 15,000,000 cans = £2,000,000

Profit on 15,000,000 cans = £2 million

A free enterprise system provides individuals the opportunity to make their own economic decisions, without restrictions from the government. It allows the supply and demand of consumers to determine the success or failure of an economic endeavor. As a result, some business owners have become successful, while others have not.
In an essay, you will choose an entrepreneur and argue whether the free enterprise system was necessary for that individual to make an impact on the business world.

Answers

The entrepreneur that is chosen for this argument is Steve Jobs. Steve Jobs was one of the co-founders of Apple, which is now a trillion-dollar company.

The free enterprise system was necessary for Steve Jobs to make an impact on the business world. Steve Jobs did not come from a wealthy background, but he had a passion for technology. The free enterprise system allowed him to start a business without any restrictions from the government.

He was able to create innovative products, such as the iPhone and iPad, and sell them to consumers. The supply and demand of consumers determined the success or failure of his business endeavors. Steve Jobs was able to create a successful company and become a billionaire because of the free enterprise system.

Without the free enterprise system, Steve Jobs may not have been able to start a successful business and make an impact on the business world.

For more such questions on entrepreneur

https://brainly.com/question/29733441

#SPJ8

Kabete limited is a one of the seed companies operating in Kenya. The company develops, produces, and
distributes high quality seeds that guarantee high performance for the farmers located in dry lands and
highlands part of the country. Last month, the company had a major breakthrough in the development of
a resistant and high quality seed of sorghum suitable for growing conditions of Kerio Valley where Kenya
Development Authority (KVDA) has commissioned irrigation schemes on thousands of hectares of
arable land. In order to process and deliver the seed, Kabete limited has the option either hiring a
processing plant from Smart Seed limited or acquiring it in order to meet the demand of the already
identified market. The following information for the two options has been availed by the capital
budgeting team.
OPTION ONE: HIRING PROCESSING PLANT
(i) Smart Seed limited will charge $ 250 per hour for a maximum of ten hours a day
(ii) The charges per hour beyond ten hour processing time is $280
(iii)Smart Limited estimates that inflation will go up each year by five per cent. As a result, annual
charges will be adjusted upwards to accommodate for inflation.
(iv)Kabete limited estimates that it requires 2,000 hours of the hired plant at most for 80 days a year.
OPTION TWO: SET UP THE PLANT
(i) Acquisition cost is estimated to be $1.5 Million
(ii) Preliminary expenses is estimated to be $ 0.2 Million
(iii)Excess capacity is anticipated which the company plans to rent out for eight hours a day for $ 280
per hour, 250 days in a year
(iv)Installation Costs estimated to be $ 75,000
(v) Initial amount of required of working capital estimated at $ 40,000
(vi)Maintenance cost per year is estimated at $ 30,000
(vii) Energy Consumption cost per year is estimated at $ 50,0000
(viii) Incremental overheads cost per year is estimated at $ 140,000
(ix)Financing costs per year estimated at $ 20,000
(x) Useful Life of the machine = five years
(xi)Estimated salvage value at the end year five is $ 20,000
(xii) No Depreciation charge in Year five
(xiii) Corporate tax rate = 30 %
(xiv) Risk adjusted cost of capital is estimated at 12 %
(xv) Depreciation rate is given 25 % on a reducing balance basis
(xvi) The plant can be rented out
Questions:
(a) What is the intuitive explanation of the hurdle rate of 12 %
(b) Compute total savings in hiring charges if the company sets up the plant
(c) Compute rental revenue from renting out the processing plant
(d) Using Discounted cash flow techniques of NPV and BC-R , compute the figure of merit and decision
criterion
Page 2 of 6

Answers

(a) The hurdle rate of 12% is the minimum rate of return that an investment project must earn to be considered viable.

b)  Total savings in hiring charges if the company sets up the plant is $38,385,000.

c) Rental revenue from renting out the processing plant is $2,800,000.

d)  The figure of merit can be computed using the discounted cash flow techniques of NPV and BC-R.

a) It represents the opportunity cost of investing in the project, which is the return that could be earned by investing in an alternative project with similar risk. Therefore, any investment project must be evaluated against this hurdle rate to determine if it is worth pursuing.

(b) Total savings in hiring charges if the company sets up the plant can be calculated as follows:

Total hours required = 2,000 hours x 80 days = 160,000 hours

Maximum hours per day = 10 hours

Total days required = 160,000 hours / 10 hours per day = 16,000 days

Hiring cost for 16,000 days = $250 x 10 hours x 16,000 days = $40,000,000

Cost of setting up the plant = $1.5 million + $0.2 million + $75,000 + $40,000 = $1,615,000

Total savings in hiring charges = $40,000,000 - $1,615,000 = $38,385,000

(c) Rental revenue from renting out the processing plant can be calculated as follows:

Rental revenue per year = $280 x 8 hours x 250 days = $560,000

Total rental revenue for five years = $560,000 x 5 = $2,800,000

(d) The net present value (NPV) method calculates the present value of all expected cash inflows and outflows of a project, using a discount rate to adjust for the time value of money. The benefit-cost ratio (BC-R) method measures the ratio of the present value of expected cash inflows to the present value of expected cash outflows.

NPV can be calculated as follows:

Year 0:

Initial investment = -$1,615,000

Year 1-4:

Cash inflows = Rental revenue + Tax savings on depreciation

= $560,000 x (1 - 0.3) + ($1,615,000 x 0.25 x (1 - 0.3))

= $452,600

Cash outflows = Operating expenses + Financing costs

= $30,000 + $50,000 + $140,000 + $20,000

= $240,000

Discount factor at 12% = 1 / (1 + 0.12)^n, where n is the year

NPV = Sum of (Cash inflows - Cash outflows) x Discount factor

= -$1,615,000 + ($452,600 x 0.893) + ($452,600 x 0.797) + ($452,600 x 0.712) + ($452,600 x 0.636)

= $366,420

BC-R can be calculated as follows:

Present value of cash inflows = $452,600 x (1 / (1 + 0.12)^1) + $452,600 x (1 / (1 + 0.12)^2) + $452,600 x (1 / (1 + 0.12)^3) + $452,600 x (1 / (1 + 0.12)^4)

= $1,384,511

Present value of cash outflows = $1,615,000

BC-R = Present value of cash inflows / Present value of cash outflows

= $1,384,511 / $1,615,000

= 0.857

For more such questions on investment

https://brainly.com/question/29547577

#SPJ11

Dawn, a grocery store manager, is packaging pasta salad for retail sale at the store. Which three of the following details should she include on the label? the ingredient list the storage guidelines the location of the distributor the date of product packaging the quantity of food

Answers

The three details which Dawn should include on the label for retail sale at the store include the following:

The ingredient list.The storage guidelines.The date of product packaging.

What is a product label?

A product label can be defined as a paper document that is designed and developed to provide specific information about the chemical elements, ingredient list, nutrients, storage guidelines, and other chemical compounds that are present in a product and its general use or function, including storage guidelines.

This ultimately implies that, a product label is a paper document which must be used by manufactures and store managers to specify the nutrients, ingredient list, chemical elements, storage guidelines, expiry date, and other compounds that were used to make a particular product.

Read more on label here: brainly.com/question/14446515

#SPJ1

A corporation uses the indirect method for preparing the statement of cash flows. A fixed asset has been sold for $21,832 representing a loss of $3,248. Determine the amount that would appear in the operating activities section of the statement of cash flows based on this transaction.

Answers

In the operating activities section of the statement of cash flows, the amount related to this transaction would be the loss of $3,248 added back to the net income.

In the indirect method of preparing the statement of cash flows, the operating activities section includes adjustments to net income for non-cash items and changes in working capital. The sale of a fixed asset and the loss incurred from it are both non-cash items that need to be considered.

Since the loss from the sale of the fixed asset is $3,248, this loss is added back to the net income when calculating the operating activities section. This is because the loss is a non-cash expense and does not represent an actual outflow of cash.

Therefore, in the operating activities section of the statement of cash flows, the amount related to this transaction would be the loss of $3,248 added back to the net income. This adjustment would increase the net income by $3,248 in the operating activities section, reflecting that the loss from the sale of the fixed asset does not affect the cash generated or used by the operating activities of the corporation.

For more such questions on transaction

https://brainly.com/question/1016861

#SPJ8

Please post detailed answers to the following questions. Please use complete sentences.

A market economy thrives on supply and demand, where sellers and buyers participate in the marketplace in an exchange relationship together. Sellers supply products and services to satisfy the demand of buyers until they reach the equilibrium point. Using a product you are familiar with, discuss how supply and demand works.

Answers

The interplay between supply and demand in a market economy determines the price and quantity of a product as sellers and buyers participate in the marketplace in an exchange relationship.

How do supply and demand work?

In a market economy, supply and demand determine the price and quantity of a product. Let's take smartphones as an example.

When consumers want to buy more smartphones at a given price, the price tends to rise, and manufacturers increase their production to meet the demand.

When consumers want to buy fewer smartphones, the price tends to decrease, and manufacturers reduce their production.

Supply and demand are constantly adjusting to each other based on market conditions, such as consumer preferences and purchasing power, price of the commodity, to reach an equilibrium point where supply meets demand.

Learn more about market economy at brainly.com/question/1659498

#SPJ1

Question 6 (10 points)
A company purchases $10,000 worth of equipment on account. What effe
this transaction have on the equity account?
Increases
Decreases
No Effect

Answers

Answer:

Equity is not changed by credit or purchases on account.

The correct is C. It has no effect

Explanation:

I am positive. Have a great day!

Which of the following statements about annuities are true? Check all that apply. An ordinary annuity of equal time earns less interest than an annuity due. Annuities are structured to provide fixed payments for a fixed period of time. When equal payments are made at the beginning of each period for a certain time period, they are treated as ordinary annuities. When equal payments are made at the beginning of each period for a certain time period, they are treated as an annuity due.

Answers

Answer:

The true statements are:

Annuities are structured to provide fixed payments for a fixed period of time.

When equal payments are made at the beginning of each period for a certain time period, they are treated as an annuity due.

Explanation:

Annuities provide fixed payments for a lifetime or a specified period of time.  With equal payments at the beginning of each period for a fixed period of time, the annuity is regarded as an annuity due.  But with equal payments at the end of the period, it is an ordinary annuity.  A common example of annuity due is payment for Rent at the beginning of the month or year.  If the Rent is paid at the end of the month or year, it is an ordinary annuity.

A firm with a cost of capital of 7% is considering two projects (they are not mutually exclusive), one expected to return 9% and a second expected to return 9.5%. Which projects should it pursue

Answers

Answer:

pursue both projects

Explanation:

The projects are not mutually exclusive thus the choice of one project does not hold back the pursuant of another (can occur at the same time).

Projects which provide a return above their cost of capital must be pursued as they are less risky.

Both projects provide the return above the costs of capital and should be pursued.

Suppose you win on a scratch‑off lottery ticket and you decide to put all of your $2,500
winnings in the bank. The reserve requirement is 10%
.

What is the maximum possible increase in the money supply as a result of your bank deposit?

maximum increase

Answers

Both of these occurrences stop the flow of money from banks to people and from people to banks.so limiting the expansion of the money supply.

His deposit at the bank increased by $2500 since he put his full winnings there. Now, based on the simple deposit multiplier formula, change in deposits is equal to 1/rr × change in reserves.

Change in deposits,

2500/0.05

50,000

Since there is no public money in circulation in this instance of a simple deposit multiplier, an increase in deposits of $2500 results in an increase in the money supply of $50,000.

The following scenarios would result in a less than potential growth in the money supply:

Banks chose to hold onto a portion of their excess reserves.

Some borrowers of loans opt to keep some cash on hand as opposed to depositing it fully in banks.

Both of these occurrences stop the flow of money from banks to people and from people to banks.so limiting the expansion of the money supply. In the first scenario, banks limit the amount of loans they can make to the public by not lending all of their excess reserves to them.

In the second scenario, people keep cash on hand rather than depositing the full amount, which again limits the number of loans that can be made and, in turn, limits the amount of available money in the economy.

To learn more about money supply, visit:

https://brainly.com/question/30218160

#SPJ1

If you wanted to see how much time you spent working on your assignments last Thursday, which
screen would you look at?
Student Activity
External Links
Suggested Facing

Answers

Note that If you wanted to see how much time you spent working on your assignments last Thursday, which screen would you look at is: "Student Activity" (Option A). This has to do with a learning management system.

What is Student Activity?

A Learning Management System (LMS) is a web-based tool used to store classroom activity online. They are a sort of cloud computing in which the program is accessible whenever and wherever a user has Internet connection.

The goal of a learning management system (LMS) is to provide training and development to Learning and Development (L&D) departments so that they can maintain a company's growth, success, and, eventually, revenue. These are some lofty learning objectives.

Student activities are extracurricular groups and programs that are available to students at a college or university. Student activities are typically intended to get students more active on campus.

Learn more about Assignments:
https://brainly.com/question/28259792
#SPJ1

demarco and tanya have received information about the separate mortgage offers. In two or three paragraphs describe your recommendation for the best financial choice in their situation.

Answers

There are a few fundamental elements to be kept in mind when assessing potential mortgage offers, which include:

How to make the recommendation

Interest rate: This is one of the key components to ponder upon when evaluating different mortgages. A lower interest rate entails smaller monthly payments as well as a decrease in sum spent on interest overall during the duration of the loan.

Loan term: The length of the loan is another aspect that should not go unnoticed. When opting for a briefer loan, more money will be spent towards monthly payments but correspondingly less towards interest. However, if you desire a longer period, then the opposite is true with fewer monthly payments but expenditure on interest increases.

Closing costs: It is essential to take closing fees into consideration since they can end up reaching staggering heights. Closing costs refer to every single amount related to taking out a mortgage and ought to be given due thought before deciding on an offer.

Read mroe on mortgage offers here:https://brainly.com/question/30820217

#SPJ1

for most business database design purposes, is as high as you need to go in the normalization process.

Answers

For most business database design purposes, 3NF is as high as you need to go in the normalization process.

3NF is superior to 2NF, and 2NF is superior to 1NF. 3NF is the highest level of normalization required for the majority of corporate database design reasons. The highest level of normalization is not necessarily the best.

what is business database?

This can simply be a structured collection of data regarding the entire business operation is a business database. Databases are used by businesses for a variety of purposes, such as accumulating client information, tracking sales, expenses, and other financial information.

learn more about business database here

brainly.com/question/5707732

#SPJ1

The following are effective means of internal cash controls except OA. using checks in pre-numbered sequence to help trace deposits back to the original document B. having signature cards for all employees so anyone can make deposits OC. paying by electronic funds transfer OD. sending checks for verification A​

Answers

The following are effective means of internal cash controls except:(B) having signature cards for all employees so anyone can make deposits

What are internal cash controls?

The internal cash controls are mechanisms put in place by the company to ensure the safety of its cash and account balances, I mean so as to avoid fraud and collusion by employees to defraud the company, which means that having pre-numbered sequence for checks  so as to be able to trace deposits made into bank account source document is an internal control procedure.

Besides, making payments through electronic means rather than by cash nips in the bud situation where large sum of money can be stolen, so also, the verification of checks to serve second level authorization that the checks were issued is an internal cash control step.

However, creating signature cards for all employees is a breach of internal control since giving cash or checks to all employees to make deposits means that everyone has access to the cash or checks where the responsibility is meant for selected few who can be trusted not divert funds or checks belonging to the company.

Find more about internal cash controls on:brainly.com/question/20407672

#SPJ1

What is market environment

Answers

Answer:

The market environment is the combination of external and internal factors that affect a company's ability to establish a relationship with and serve its consumers.

Explanation:

The internal factors relate to the company itself, such as owners, workers, materials, components, etc.

The external factors are divided into macro and micro components. The macro component is the broad environment which includes societal forces that affect society as a whole. The micro component is task-related, which includes factors that influence the production, manufacturing and distribution of a product or service.

50 points. Ethics are essential in good accounting. For this assignment, find examples of poor ethical behavior in accounting and some of the fallout of those behaviors. Remember to use good writing habits. Cite your sources.

Answers

Answer:

Ethics of accounting information is providing accounting information to make good economic decisions in the financial statement of the organization.

Explanation:

The choice of how much to produce depends on a variety of factors. One of the important factors is the cost of production. Two very important components of the cost of production are resource (input) price and technology.Draw a new supply curve that illustrates changes in supply when the production rise because price have increased and available technology has made production more expensive.

Answers

Answer:

Following are the solution to the given question:

Explanation:

Please find the graph image in th e attachment file.

In the question, it increases the manufacturing prices, which raises the corporation's expenditures, which increases the material production, mostly as a result of a decline in business production of materials, which will cause the aggregate demand through S to S' to be moved to the left.

The choice of how much to produce depends on a variety of factors. One of the important factors is the

Assume the risk free rate equals Rf = 4%, and the return on the market portfolio has expectation E [RM] = 12% and standard deviation σM = 15%. (a) What is the equilibrium risk premium (that is, the excess return on the market portfolio)? (b) If a certain stock has a realized return of 14%, what can we say about the beta of this stock? (c) If a certain stock has an expected return of 14%, what can we say about the beta of this stock?

Answers

The equilibrium risk premium is 8%.The stock has a beta of 1.25. If the stock has a certain return of 14%, it means that the beta of the stock is higher than that of the market. It means that the stock is more risky than the market portfolio.

The equilibrium risk premium is the excess of the return of the market portfolio less the risk free rate.

Risk premium = Return of the market portfolio - risk free rate

12% - 4% = 8%.

According to the capital asset pricing model, the return of an asset can be determined using this formula:

Expected return = risk free asset + (beta x risk premium)

If the realized return is 14%, the value of beta can be determined from the above formula.

14% = 4% + (beta x 8%)

Beta = (14% - 4%) / 8% = 1.25.

Beta is a measure of the risk of an asset. The beta of the market is 1. Ig the beta of a stock is greater than 1, it means that the stock has a greater measure of risk compared to the market. If the beta of a stock is less than 1, it means that the stock is less risky when compared with the market.

To learn more, please check: https://brainly.com/question/16108207

Which of the following organizations must comply with rules and regulations established by specific government agencies to enforce the Equal Employment Opportunity Act of 1972?

a. Government organizations with a minimum of 10 employees
b. Private employers with 15 or more employees
c. Private organizations with a minimum of 10 employees
d. Labor unions with 5 or more members

Answers

I would say answer b

you think the way you talk is important to listener?​

Answers

Yes because if you talk in monotone then the lister will probably zone out and not listen. If you talk with more enthusiasm then the lister will probably actually listen to you.

Which of the following shows how the year end adjustment to recognize supplies expense will affect A company’s financial statements

Answers

The year-end adjustment to recognize supplies expense will have an impact on A Company's financial statements.

Firstly, the income statement will reflect a decrease in net income, as the supplies expense is recognized, reducing the company's profitability for the year. This adjustment will also affect the balance sheet, specifically the asset side, as the supplies inventory will decrease due to the expense recognition. This reduction in supplies will lower the company's total assets. Additionally, the adjustment will affect the statement of cash flows, primarily in the operating activities section. The recognition of supplies expense will decrease the company's cash flow from operations, as it reflects an outflow of funds used to purchase supplies.

For such more questions on year-end adjustment

https://brainly.com/question/32597216

#SPJ11

I. A clinic encourages its customers to have their bond checked with the claim that one out
of four 60-year-old men need to be supplemented with glucosamine. If this is true, what is
the probability of the following events:
a. Two out of the next eight 60 year-old men need to be supplemented with glucosamine
b. Three out of the next 12 60 year-old men need to be supplemented with glucosamine

Answers

A clinic encourages its customers to have their bond checked with the claim that one out of four 60-year-old men need to be supplemented with glucosamine. If this is true, then the probability of the following events is Two out of the next eight 60 year old men need to be supplemented with glucosamine.

Glucosamine is a naturally occurring compound in the body. It is required for the formation and repair of cartilage as well as other body tissues.

Because glucosamine production slows in age, some people take glucosamine supplements to help them fight aging-related health issues like osteoarthritis. The majority of supplements are made from the shells of marine life, such as prawns and crabs.

Learn more about Glucosamine, here:

https://brainly.com/question/32219634

#SPJ1

MotoSport is buying an asset that costs $730,000 and can be depreciated at 20 percent per year (Class 8) over its eight-year life. The asset is to be used in a three-year project; at the end of the project, the asset can be sold for $740,200. The company faces a tax rate of 26%. The sale of this asset will close the asset class. what is tax on CCA recapture

Answers

The tax on the CCA recapture is $306,332.

To calculate the tax on the Capital Cost Allowance (CCA) recapture, we need to determine the CCA claimed over the years and calculate the recaptured amount. The recaptured amount is the difference between the proceeds from the sale of the asset and the undepreciated capital cost (UCC) at the time of sale.

Given that the asset costs $730,000 and has a depreciation rate of 20% per year (Class 8) over eight years, we can calculate the CCA claimed each year:

Year 1: $730,000 * 20% = $146,000

Year 2: $730,000 * 20% = $146,000

Year 3: $730,000 * 20% = $146,000

Year 4: $730,000 * 20% = $146,000

Year 5: $730,000 * 20% = $146,000

Year 6: $730,000 * 20% = $146,000

Year 7: $730,000 * 20% = $146,000

Year 8: $730,000 * 20% = $146,000

The total CCA claimed over the eight years is $1,168,000.

At the end of the project, the asset can be sold for $740,200. The UCC at the time of sale is the original cost of the asset minus the CCA claimed:

UCC = $730,000 - $1,168,000 = -$438,000

Since the UCC is negative, there is a recapture of CCA. The recapture amount is the proceeds from the sale minus the UCC:

Recapture Amount = $740,200 - (-$438,000) = $1,178,200

Now, we can calculate the tax on the CCA recapture by multiplying the recapture amount by the tax rate:

Tax on CCA Recapture = $1,178,200 * 26% = $306,332

for more such questions on tax

https://brainly.com/question/28798067

#SPJ11

which of the following is a step in the marketing process

Answers

a) understanding the market place and
customer needs and want
b) Designing A customer-Driven Marketing strategy
c) Build profitable relationships
d) capturing value from customers

measuring performance on the basis of residual income is likely to lead to suboptimization. this statement is true or false

Answers

Measuring performance on the basis of residual income is likely to lead to suboptimization. This statement is false.

The money that still comes in after an initial time and resource commitment has been made is known as residual income. Artist royalties, rental income, interest income, and dividend payments are a few types of residual revenue.

Other usages of the term "residual income" include:

1) Residual income in personal finance can refer to a person's discretionary income or the entire sum of money left over after meeting all personal commitments and debts.

2) In corporate finance, residual income is a metric for evaluating a company's performance that captures all revenue received after all pertinent capital costs have been covered.

To know more about residual income:

https://brainly.com/question/27330050

#SPJ4

The key difference between an agency shop agreement and an open shop agreement is that in an agency shop:_____________

a) workers must agree not to join a union in order to keep their jobs while in an open shop workers are free to join a union if they wish, but they are not required to do so.

b) the union is restricted to a limited number of employees who perform specific types of jobs, but in an open shop membership in the union is available to all workers.

c) workers must join the union within a stipulated time period (usually 30, 60, or 90 days) in order to keep their jobs, but in an open shop the workers are not required to join the union.

d) workers who do not join the union must pay a fee or regular dues, while in an open shop workers who choose not to join the union do not have to pay any union fees or dues.

Answers

Answer:

A

Explanation:

The key difference between an agency shop agreement and an open shop agreement is that in an agency shop workers must agree not to join a union in order to keep their jobs while in an open shop workers are free to join a union if they wish, but they are not required to do so. Thus, option (a) is correct.

What is agreement?

An agreement is a written agreement between two or more persons to do something. To make a legally binding commitment, two or more parties must agree on the parameters of the agreement. The terms and conditions are always included in the signed agreement.

The fundamental distinction between the agent shop arrangement and the flow shop agreement is that the employees are in the shop agreement but are not union members. In the agency shop agreement, the order to join a union was the focal point, and the shop staff were members of the union.

As a result, the significance of the agreement are the aforementioned. Therefore, option (a) is correct.

Learn more about on agreement, here:

https://brainly.com/question/24225827

#SPJ5

Match the vocab to its example.

Match the vocab to its example.

Answers

1. Increase in unemployment benefits during the pandemic - Automatic Stabilizers

2.. Cash is the easiest form of payment - Liquid Asset

3. The government deciding to spend $15 billion on building projects in Huntsville - Counter-cyclical fiscal policy

4. The Fifth Bank of Huntsville decided it doesn't want to keep any reserves, they believe that they are too big to fail - Moral Hazard

5. John has an awesome 1967 Mustang Convertible - Not applicable to the given terms

6. The Fourth Bank of Huntsville loans out 96% of its' deposits - Fractional Reserve Banking

7. The Third Bank of Huntsville takes on loans totally $16 billion when they have $14 billion in deposits - Insolvent Institution

8. The 24% tax bracket if you make between $89,076 and $170,050 - Not applicable to the given terms

9. The interest rates starting in March 2020 until April 2022 - Zero Lower Bound

10. The Federal Reserve buying mortgage-backed securities - Open Market Operations

What term is used to describe The 24% tax bracket if you make between $89,076 and $170,050?

In the America, the 24% tax bracket is considered of sevral income tax brackets used to determine the amount of federal income tax owed by individuals based on their taxable income.

Find more useful exercises on income tax brackets ;

https://brainly.com/question/14119684

#SPJ1

Other Questions
What are the two types of shape and space that we've covered in our Shape and Space Project? Provide a short explanation about each term. Are the two triangles similar? Explain, step by step, how you know. If the half life of an element was 430 years and you had 2000 atoms of this element, how long would it take to undergo complete radioactive decay? What year would it be when the element finished decaying? PLEASE HELP PLEASE GET BRAINLIEST Solve the system of equations using elimination2x + y = 5-1x + y = 2 Does knowing first aid increase the safety of those around you?. Complete the table to show the total distance walked in each case. Please use decimal notation for your answer. You biked 12 miles and then a fourth of that againSarah biked 10 miles and then a fourth of that againJohn biked 7 miles and then a fourth of that again Here i a lit ingredient to make bicuit 150 butter75 cater ugar 180 plain flour 50 chocolate chip jamie ha the following ingredient 800 butter 700 cater ugar 1000 plain flour 200 chocolate chipwhat i the greatet number of bicuit, Jamie can make? You mut how your working out Bother! Well, go long with you. Id made sure youd played hookey and been a-swimming. " Read the passage from Tom Sawyer. Which summary accurately translates the dialect into standard English? Darn! Okay, you can go. I was sure youd skipped school and gone swimming. Great! Ill go along with you. I made certain you skipped school so we could go swimming. Oh dear. I didnt realize wed be talking so late. I meant to be sure you played hookey and went swimming. Fine. Ill believe you. But Ill be certain you dont skip school and go swimming. 4Matriarchal" is best defined as a __________. A. Pattern of ethnic settlements in Central Europe B. Matrix of ethnic symbols engraved in an arch C. Domination of a government or social group by females D. Collection of materials used only by a particular ethnic group. Need helpOn both please 1.Write an expression that represents the sum of b and 5 times 2.Simplify the expression. 3x + 4y + 2 + 6y +3 What is the coefficient of y?What is the constant? a(n) _____ is a type of web site that allows users to add, delete, and sometimes modify content. solve pls will give brainliest which of the following best describes an abstract concept? select all that apply. not concrete self-disciplined black and white specific and precise difficult to defineSelect all that apply.A.not concrete B.self-disciplined C.black and white D.specific and precise E.difficult to define. HELPPP PLEASE PLEASE Ayudaaa2.De que manera cambiar tu vida al tener que cuidar de un beb sin la ayuda de tus padres?3.Cuales seran las implicaciones de ser madre o padre solteros y tener que cuidar solos a un beb?4.Cmo afectara esta responsabilidad los estudios o las metas personales?5.Que son cosas qu hay que comprar para un beb? Cuanto costaran y cmo se costearan? Prepara una lista. PLS HELP.... WIL MARK BRAILIEST!!!!!!Read the following stanza from Twelfth Song of Thunder.The voice that beautifies the land!The voice above,The voice of the thunderWithin the dark cloudAgain and again it sounds,The voice that beautifies the land.Which choice supports the idea that the song is a chant?a. the images of nature and the land as the Navajo people of the time would have seen itb. the element of thunder that echoes throughout the entire stanza of this songc. the repetition of the word voice and the line The voice that beautifies the landd. the use of the words voice and sounds that are supposed to remind the audience of chanting Find the value of m: 3(m 4) = 6 m = 6 m = 2 m = 2 m = 6 Holding the prices of goods constant, how does an increase in income affect consumer spending on necessities versus luxuries?. A _______ is a rule that is enforced by government and includes some penalty for violation The works-cited list is a listing of?A) sourcesB) journals and magazinesC) books