Answer: $5,000
Explanation:
given data:
tax ratio = 80%
valuation of the house = $250,000
tax rate = $2/$100.
solution:
total annual tax
= $250,000 /$100
= $2500
total tax rate = $2/$100
= $2 * $2,500
= $5,000.
therefore, the total tax due to be payed annually is $5000. This would have not been the case if it has been 80% generally.
Answer:4000
Explanation:
Given the diversity of developing countries, do you think that
there could ever be a single, unified theory of development?
Explain your answer.
The answer to this question is that, given the diversity of developing countries, there could never be a single, unified theory of development.
This is because development theories must reflect the specific circumstances of the countries in which they are being applied. Developing countries are not all the same.
They have different levels of economic development, different resource endowments, and different political systems. For example, the needs of an oil-rich country in the Middle East will differ greatly from those of a sub-Saharan African country that is heavily dependent on agriculture.
This diversity means that no single theory of development can work for all developing countries. Developing countries are diverse in their historical backgrounds, cultures, social values, and political institutions. It is, therefore, impossible to come up with a single unified theory of development that will work for all countries. What works for one country may not work for another.
In addition, the global context is constantly changing, with new economic, social, and environmental challenges emerging all the time. This means that development theory must continue to evolve and adapt to meet these new challenges. In conclusion, given the diversity of developing countries, it is unlikely that a single, unified theory of development will ever emerge. Instead, development theory will continue to be shaped by the unique circumstances of individual countries and the changing global context.
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Describe the place utility of the product. Can you think of any improvements that
could be made to its place utility?
The utility may take on a variety of forms, including form utility, location utility, time utility, possession utility, and other forms. The degree to which these conveniences play a role in consumer choice is very variable from person to person.
What is place utility?Generally, The concept of place utility refers to the act of putting goods or services on the market in areas where they are conveniently accessible to customers.
Possession utility is the usage or perceived value that a customer receives from possessing and being able to utilize a product or service in a timely way. This might be in the form of either a practical benefit or emotional satisfaction.
Utility may be defined as the usefulness or value that customers get from a product, and there are four distinct categories of economic utility: form, time, location, and ownership.
The economic utilities provide assistance in analyzing consumer purchasing decisions and identifying the factors that influence such choices.
In order to boost customer happiness, improve sales, and propel revenues, businesses work hard to boost the usefulness of their goods and services, as well as the value that customers perceive those products and services to have.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
To some people, speaking in public is not a stressor.
A. True B. False
Answer:
A. true
Explanation:
because of their experiences
Answer:
A. true
Explanation:
How do I know when I need to start doing taxes?
Answer:
when you start working a regular job
Explanation:
Answer:
When you start working
Explanation:
There are four broad areas of possible government policy intervention, which aim to improve the distribution of income. Give an example of a policy that aims to moderate (increase) the size distributi
A policy that aims to moderate (increase) the size distribution at the lower levels is the Earned Income Tax Credit (EITC).
EITC is a tax credit for low- and moderate-income employees, primarily those with dependent children. Workers who receive EITC can receive a refundable tax credit that is equivalent to a percentage of their earnings, up to a specific maximum limit.
The purpose of the EITC is to provide additional financial support to low-income workers and assist them in meeting their daily expenses. By targeting low-income families with children, the EITC is expected to assist in reducing poverty and increasing income equality, as well as serving as a reward for work by increasing incentives for working rather than relying solely on government aid.
The EITC is especially beneficial for single-parent families since it allows them to keep more of what they earn and helps them meet their financial obligations, including rent, food, clothing, and medical expenses.
The EITC is an excellent illustration of how policy intervention by the government may help to moderate the size distribution at the lower levels. In addition to increasing incomes, this policy has been demonstrated to have a beneficial effect on the health and well-being of low-income families and children.
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complete question
There are four broad areas of possible government policy intervention, which aim to improve the distribution of income. Give an example of a policy that aims to moderate (increase) the size distribution at the lower levels.
deposits that add new reserves to the bank where they are deposited are called
The deposits that add new reserves to the bank where they are deposited are called "primary deposits."
Primary deposits increase a bank's reserves and can be used to create loans or meet withdrawal demands from customers.
Primary deposits refer to the initial funds deposited into a bank by customers. When individuals or businesses deposit money into their bank accounts, these deposits increase the reserves held by the bank. These reserves serve as a basis for the bank to extend loans and conduct other banking activities.
Primary deposits are an important source of funding for banks and contribute to their ability to lend money to borrowers. By attracting primary deposits, banks can increase their reserve levels, which in turn supports their lending capacity and overall financial stability.
It's worth noting that primary deposits are just one component of a bank's overall reserves. Banks also maintain other types of reserves, such as secondary reserves or excess reserves, which can include reserves held at central banks or borrowed reserves from other banks.
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Look at the following email (attached). Name two good email netiquette practices used in the
email. Name two poor email netiquette practices
Two good email etiquettes practices used in email are:
Inserting a SubjectKeep the email short and restricted to three paragraphs.Two bad email etiquettes used in the email above are:
Indiscriminate use of the exclamation markDiscussing personal issues in a formal email.What are email etiquettes?The use of acceptable language, standards, and politeness in an email is referred to as email etiquette. Business emails often need formal language as well as rigorous respect to appropriate grammar and spelling.
Five useful E-mail Etiquette are:
Address your addressee appropriately. Check, double-check, and triple-check that you have the right spelling of the recipient's name and title.Proper greetings and closing statements should be used.Format correctly.Avoid using ALL CAPS.Large files should be compressed.Learn more about email etiquette:
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HELPPPP!!!! WILLL GIVE BRAINLEST!!!
It allows you to rent a car while yours is being repaired. a. auto replacement c. personal damage liability b. comprehensive physical damage d. rental reimbursement
Answer:
I'm pretty sure the answer is d
Explanation:
Alternatively, you may pay out-of-pocket for your rental then seek reimbursement from the other insurance company once it completes its investigation.
Answer:
D
Explanation:
What is the principal purpose of charging depreciation on non-current assets?
Review Later
To spread the cost of the assets over their estimated useful lives
To comply with the fundamental concept of prudence
To show the assets at their market value in the balance sheet
To ensure that sufficient funds are available to replace the assets
The principal purpose of charging depreciation on non-current assets is to spread the cost of the assets over their estimated useful lives. The correct option is to spread the cost of the assets over their estimated useful lives.
This is because non-current assets are expected to generate economic benefits for a business over a period of time, and so their cost should be spread out over this period. Depreciation allows businesses to allocate the cost of an asset over its useful life, which helps to accurately reflect its true cost in the financial statements.
Another purpose of charging depreciation is to comply with the fundamental concept of prudence. This concept requires that businesses be cautious in their financial reporting, and to not overstate their profits or assets. By charging depreciation, businesses are recognizing that their non-current assets are gradually losing their value over time and should be reflected in the financial statements.
Finally, charging depreciation also ensures that sufficient funds are available to replace the assets when they reach the end of their useful lives. By gradually allocating the cost of the asset over its useful life, businesses are building up reserves to replace the asset when it is no longer functional or valuable.
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What are the limitations of an MkIS?
Answer:
Limitations do exist with an MIS, such as the expense to create and implement an MIS, training time for employees, lack of flexibility and capturing wrong or incomplete information.
Explanation:
What does indigenous technology mean?
Answer: I hope this is helpful mark brainlist if right then no if wrong
Explanation:
Indigenous technology is used by the native inhabitants of a country or region and it constitutes an important part of its cultural heritage. Characteristically, indigenous technologies: Are recognized as animate, imbued with the breath of life and they live in form and function.Technologies employed by the native inhabitants of a country and which constitute an important part of its cultural heritage and should therefore be protected against exploitation by industrialized countries; the problem of indigenous knowledge has been discussed during the Rio Conference but it does not receive much ...Types of indigenous technology in India are; (i) Generic Drugs. (ii) Thorium based Nuclear Reactors. (iii) Plastic RoadsIndigenous Technology is created within a sensory environment that builds on our sense of relationship, meaning, balance, feeling, memory and place as well as sight, sound, smell, taste and touchIndigenization is the process by which Indigenous ways of knowing, being, doing and relating are incorporated into educational, organizational, cultural and social structures of the institution.One example of Indigenous Technologies in action today can be witnessed in differential approaches to medicine. Medical technologies in the Western Scientific sense of the term might conjure images of biomedical research labs, electromagnetic monitors or imaging systems such as CT or MRI scans.Indigenous technology is used by the native inhabitants of a country or region and it constitutes an important part of its cultural heritage. Characteristically, indigenous technologies: Are recognized as animate, imbued with the breath of life and they live in form and function.
Grand Energy Corporation (GE) plans to issue bonds to raise $190 million. GE's investment banker will charge 5 percent of the total amount issued to help raise the funds. The market value of each bond at issue time will be $1,000. How many bonds must GE sell to net $190 million after flotation costs? Assume that fractions of bonds cannot be issued. Round your answer to the nearest whole number.
The number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.
Number of bondsFirst step is to calculate the amount issue
Net proceeds = Amount of issue x (1 - Flotation costs)
$190,000,000 = Amount of issue x (1 - 0.05)
Amount of issue = $190,000,000/0.95
Amount of issue= $200,000,000
Second step is to calculate number of bonds
Number of bonds = $200,000,000/$1,000
Number of bonds= 200,000 bonds
Inconclusion the number of bonds that GE must sell to net $190 million after flotation costs is 200,000 bonds.
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The most recognizable resources that a firm uses to manufacture its products, such as the firm's plant and equipment, are categorized as _____ resources.
Tangible resources are the most recognizable resources that a firm uses to manufacture its products, such as the firm's plant and equipment.
What are tangible resources?Tangible resources or asset is resources that have a finite monetary value and are usually a physical form. They are physical assets owned by a company that can be quantified with relative ease and are used to carry out its business .
Tangible resources include:
CashInventoryVehiclesEquipmentBuildings and investmentsHence, tangible resources are the most recognizable resources that a firm uses to manufacture its products, such as the firm's plant and equipment.
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a woman earns 14% more than her husband. together they ake $80,250 per year. what is the husband's annual salary?
Women make 14% more money than men do. They each earn $80,250 annually. The husband's yearly salary is $37,500.
What is the starting pay?The agreed-upon amount between an employer and employee that does not include overtime pay or any other additional compensation is known as the basic wage. The amount received prior to any taxes or other deductions is known as the gross salary, which also includes bonuses and overtime compensation.
Algebra: What is it?It is easier to depict situations or issues numerically thanks to the algebraic branch of mathematics. A mathematical formula that makes sense is produced by combining the operations of addition, subtraction, multiplication, and division with the variables x, y, and z.
Let x = husband's annual salary
then
1.1x = wife's annual salary
x + 1.14x = $80,250
2.14x = $80,250
x = $80,250/2.14
x = $37,500 (husband's salary)
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The value obtained when a buyer pays cash or its equivalent, the buyer and seller are unrelated, the buyer and seller are informed consumers, and the property has been on the market for a reasonable amount of time is called:
Answer:
Appraisal
Explanation:
Appraisal in real estate is the sales value of an asset derived towards potential sales in an arm length transaction. This involves a unique appraising process pertaining to the affected property considering the fact that different homes are not of the same features and properties , and moreover , sales of home does not occur regularly as in the common market.
The appraising process involved in forming an appraisal value are
Buyer pays cash or its equivalentBuyer and seller are not relatedBuyer and seller are informed consumerProperty has been on the market for a reasonable timeAnswer:
Market value
Explanation:
explain how consumer practices (eg shoplifting, improper returns, and product liability claims) affect prices
Consumer practices such as shoplifting, improper returns, and product liability claims can lead to higher prices for consumers.
Consumer practices such as shoplifting, improper returns, and product liability claims can have an impact on prices in various ways.
1. Shoplifting: Shoplifting refers to the act of stealing merchandise from a store without paying for it. When shoplifting occurs, retailers face financial losses. To compensate for these losses, retailers may increase the prices of their products. This is because they need to cover the cost of stolen goods and prevent further losses.
2. Improper returns: Improper returns involve returning products to stores in a condition that cannot be resold. For example, if a customer returns a damaged or used item as if it were new, the retailer may incur additional costs. These costs can include restocking fees, refurbishing expenses, or even the loss of the product's value. To account for these expenses, retailers may raise prices to maintain their profit margins.
3. Product liability claims: Product liability claims occur when consumers experience harm or damage due to a defective or unsafe product. If a company faces numerous product liability claims, it may result in significant financial settlements or legal fees. To cover these costs, companies may increase the prices of their products.
In conclusion, consumer practices such as shoplifting, improper returns, and product liability claims can lead to higher prices for consumers. Retailers and manufacturers need to recover their losses or expenses caused by these practices, which ultimately affects the overall cost of products.
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3) Bill weighs 220 pounds and is losing 4 pounds each month. Phil weigh 250 pounds and is losing 10 pounds each month. How many months, m, will it take for Bill to weigh the same as Phil? How much will they weigh?
5 months and 200 pounds
4x5 = 20
220-20
200
10x5 = 50
250-50
200
Antonio has been learning to draw landscapes. It has been hard at times but he is happy about the progress he has made. What is this an example of?
solution
problem
advice
d.challenge
'
Answer:
Challenge
Explanation:
Hope this helps :)
just say sum and ill give you alot of points⇒⇒⇒⇒
Question 2. Small Town Sweets—audit planning analytics (4%)
Small Town Sweets is based in Molong, NSW, and produces a range of high-quality confectionery for the East Coast market. Small Town Sweets operates in a low-margin environment, which typically means that large volumes are required to cover overhead costs and generate profits. It also means that overheads need to be kept under control to ensure that a net profit is generated from its operations. Debt is also kept to a minimum to ensure that interest costs are low and that there is sufficient margin to protect solvency during downturns.
The company did not reach industry profitability benchmarks in the previous year and budgeted to do better in the current year. It thought that it could do so by keeping its costs down in relation to sales while allowing its gross margin to drop, evidently planning to generate a larger volume of sales. The company also planned to better manage its working capital by reducing inventory and accounts receivable levels, indicating that it expected to produce a healthy cash flow to enable it to do so. As part of the planning process MCA has produced the following analytical information:
Ratio Actual Budgeted Prior Year Industry
Return on equity % 12.9 16.6 14.8 15.5
Return on total assets % 10.7 14.2 13.1 14.5
Gross margin % 8.5 9.0 9.5 9.0
Marketing expense/sales % 2.6 1.8 2.0 2.2
Admin expenses/sales % 1.6 1.6 1.8 2.0
Interest coverage ratio 5.4 8.1 6.4 6.0
Days in inventory 33.1 30.4 31.1 30.0
Days in accounts receivable 50.0 48.0 49.7 45.0
Current ratio 1.3 1.2 1.2 1.5
Quick asset ratio 0.81 0.77 0.77 1.0
Debt to equity ratio 0.51 0.33 0.41 0.40
Required
With reference to ASA 315 and the information above, identify and justify:
the three ratios that would be of most interest in the planning of the audit.
the account balance that is most at risk for each ratio identified in 1.
the assertion most at risk for each account balance identified in 2.
Answer this question using the following headings:
1. Ratio
2. Account balance
3. Assertion
Ratio:
a) Return on equity %
b) Days in inventory
c) Days in accounts receivable
Account balance:
a) Net income
b) Inventory
c) Accounts receivable
Assertion:
a) Existence
b) Valuation
c) Completeness
Justification:
Ratio:
a) Return on equity %: Return on equity is a key profitability ratio that measures the company's ability to generate profits for shareholders. It is of interest to auditors as it provides insight into the effectiveness of the company's management team in generating profits. A lower than expected return on equity could indicate mismanagement or fraudulent activity.
b) Days in inventory: Days in inventory is a ratio that measures the average number of days it takes for inventory to be sold. It is of interest to auditors as it provides insight into the efficiency of the company's inventory management system. A high number of days in inventory could indicate that inventory is not being managed efficiently, leading to potential overstatement of inventory and understatement of cost of sales.
c) Days in accounts receivable: Days in accounts receivable is a ratio that measures the average number of days it takes for customers to pay their bills. It is of interest to auditors as it provides insight into the efficiency of the company's accounts receivable management system. A high number of days in accounts receivable could indicate that the company is not collecting receivables in a timely manner, leading to potential overstatement of accounts receivable and understatement of bad debts.
Account balance:
a) Net income: Net income is the primary measure of a company's profitability. It is at risk if the return on equity ratio is lower than expected, as it may indicate mismanagement or fraudulent activity.
b) Inventory: Inventory is a major component of cost of sales and is at risk if the days in inventory ratio is higher than expected, as it may indicate potential overstatement of inventory and understatement of cost of sales.
c) Accounts receivable: Accounts receivable represent amounts owed to the company by customers. They are at risk if the days in accounts receivable ratio is higher than expected, as it may indicate potential overstatement of accounts receivable and understatement of bad debts.
Assertion:
a) Existence: The existence assertion is at risk for net income if the return on equity ratio is lower than expected, as it may indicate mismanagement or fraudulent activity.
b) Valuation: The valuation assertion is at risk for inventory if the days in inventory ratio is higher than expected, as it may indicate potential overstatement of inventory and understatement of cost of sales.
c) Completeness: The completeness assertion is at risk for accounts receivable if the days in accounts receivable ratio is higher than expected, as it may indicate potential overstatement of accounts receivable and understatement of bad debts.
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The higher the debt to equity ratio is for a company, the ______ the risk of bankruptcy is for that company.
Answer:
higher
Explanation:
The letters in acronymic abbreviations must be
a. In the correct order
b. In the second part of the word
C. In backwards order
d. From the first part of the alphabet
Please select the best answer from the choices provided
A
B
C
Answer:
a. In the correct order.
Explanation:
An acronymic abbreviation can be defined as an acronym for a phrase or title that relates to an organization, object and other informations. The main purpose of an acronymic abbreviation is to help in the shortening of a sentence or phrase and to enhance easier memorization of the information contained therein.
As a rule of thumb, the letters in acronymic abbreviations must be in the correct order. Therefore, acronyms are formed by using the first letter of each word that makes up the title or a phrase.
Some examples of an acronymic abbreviation are;
1. National Basket Association = NBA.
2. Generally Accepted Accounting Principles = GAAP.
3. Read Only Memory = ROM.
4. Random Access Memory = RAM.
5. United States of America = USA.
Answer:
A
Explanation:
You are valuing the stock of Microsoft Corp. You estimate the fair value of the stock of $270. Currently the stock is trading at $244.37. Your recommendation should be:
Answer: buy the stock
Explanation:
Fair value refers to the price of an asset that's determined by the buyer and the seller. It's the worth of an asset. The market value is the price an an asset is sold in the marketplace.
By comparing the fair value and the market price, one can know if to invest in a asset or not. Since the fair value is more than the market price, then the should be bought.
Question 34
In general, the greater the potential return, the higher the risk.
True
False
One theory suggests that people can express dissent in two ways - either by leaving an organization (exit option) or by ___________________.
forming a union
rioting
meeting with HR
taking a nap at your desk
One theory suggests that people can express dissent in two ways - either by leaving an organization (exit option) or by voice option.
The voice option refers to expressing concerns, opinions, or dissatisfaction within the organization rather than exiting. It involves actively engaging with the organization to bring about change or address issues.
There are various ways individuals can exercise the voice option. One way is by forming a union. Unions represent groups of workers who come together to collectively voice their concerns and negotiate with management on matters such as working conditions, wages, and benefits. By forming a union, employees can leverage their collective power to push for changes in the organization.
Another way individuals can exercise the voice option is by meeting with HR. Human Resources (HR) departments are responsible for handling employee concerns and grievances. By meeting with HR, employees can express their dissent, raise issues, and seek resolution through internal channels.
Additionally, individuals can engage in peaceful forms of protest, such as writing letters, organizing meetings or town halls, or participating in discussions within the organization. These actions allow individuals to express their dissent while remaining within the organization, giving them the opportunity to advocate for change, influence decision-making processes, and contribute to the overall improvement of the organization.
Taking a nap at your desk is not a valid option for expressing dissent. It is not an appropriate or effective means of communication within an organization.
In summary, the voice option is an alternative to the exit option for expressing dissent within an organization. It can be exercised through forming a union, meeting with HR, or engaging in peaceful forms of protest, all of which provide individuals with opportunities to voice their concerns, address issues, and work towards positive change.
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The government can make money by borrowing from its population in the form of governmental bonds.
A. True
B. False
Answer:
False
Explanation:
A stock has a beta of 1.85, the expected return on the market is 12 percent, and the riskfree rate is 7.2 percent. What must the expected return on this stock be?
The expected return of a stock can be calculated using the Capital Asset Pricing Model (CAPM) formula which is: Expected return on a stock (R) = Risk-free rate (Rf) + Beta (β) × [Expected market return (Rm) - Risk-free rate (Rf)]
Using the values given in the question, Risk-free rate (Rf) = 7.2% Expected market return (Rm) = 12%Beta (β) = 1.85. We know that the expected return of the stock is unknown. The expected return of a stock can be calculated using the Capital Asset Pricing Model (CAPM) formula which is:
Expected return on a stock (R) = Risk-free rate (Rf) + Beta (β) × [Expected market return (Rm) - Risk-free rate (Rf)]
Using the values given in the question, Risk-free rate (Rf) = 7.2% Expected market return (Rm) = 12% Beta (β) = 1.85 Substitute these values in the formula to calculate the expected return on the stock:
R = 7.2% + 1.85 × (12% - 7.2%)R = 7.2% + 1.85 × 4.8%R = 7.2% + 8.88%R = 16.08%
Hence, the expected return on the stock is 16.08%.
The expected return on a stock can be calculated using the Capital Asset Pricing Model (CAPM) formula which is: Expected return on a stock (R) = Risk-free rate (Rf) + Beta (β) × [Expected market return (Rm) - Risk-free rate (Rf)] Using the values given in the question, we have calculated the expected return on the stock which is 16.08%.
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Please provide 3 recommendations for achieving an acceptablelevel of economic growth that reduces wealth and income inequalityand minimizes the production of greenhouse gasses.
The three recommendations for achieving an acceptable level of economic growth that reduces wealth and income inequality and minimizes the production of greenhouse gases:
1. Invest in clean energy: One of the most effective ways to reduce greenhouse gas emissions is to transition away from fossil fuels and towards clean energy sources like solar, wind, and hydro power.
Governments can promote clean energy by offering incentives for businesses to invest in renewable energy technologies, or by investing in clean energy infrastructure themselves.
2. Implement progressive taxation: To reduce wealth and income inequality, governments can implement a progressive tax system that taxes the wealthiest individuals and corporations at a higher rate than lower income earners.
The revenue generated from these taxes can then be used to fund social programs and initiatives that benefit the most vulnerable members of society.
3. Focus on sustainable development: Economic growth should be pursued in a way that is sustainable and doesn't harm the environment.
This means prioritizing investments in green infrastructure, promoting sustainable agriculture and transportation practices, and implementing regulations and policies that encourage environmentally-friendly practices in the business sector.
By taking a long-term approach to economic development, we can ensure that growth is both equitable and sustainable.
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HOW IS EVERYONE i love u all and enjoy helping you where u may struggle
Answer:
THANK YOU SOOO VERY MUCH. I need assistance with my question