Yes, additional considerations arise between the basis and fair market values of the properties belonging to Liz and John's contribution. It must be $150,000.
Note that the partnership must distribute the depreciation expense (and any future gain if the property is sold) among the partners in accordance with the 704(c) regulations because John's property has a $150,000 pre-contribution gain.
For taxes purposes, a fixed asset's basis value is its purchase price. To assist businesses in obtaining Internal Revenue Service-approved tax benefits, the valuation of a fixed asset may be modified (IRS). In other words, when an asset is sold, the basis value lowers the tax liability for the selling corporation.
The estimated price that would be given to the owner upon a sale is the fair market value of a company or asset. The value of the firm and the assets in the existing financial markets are included in the formula for calculating fair market value.
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jodi owns a downtown office building. jodi originally purchased the building for $900,000 and took straight-line depreciation deductions of $400,000. what are the tax consequences if jodi sells the building for $2,100,000?
Price of the building = $900,0000
Depreciation charged = $400,000
Capital value on the date of sale = $500,000
Selling price = $2,100,000
Total profit =$1,600,000
This profit i.e., profit from the sale of commercial property is termed as Capital Gains and hence is attracts Capital Gains Tax at a flat rate of 20% irrespective of quantum, which in this case will be $1,600,000*20% = $320,000.
Immovable property such as land, building, apartment, individual house, etc. is termed as Capital asset for the purpose of income tax computation. Thus, the amount received from sale of property is treated as Capital Gains.
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An FHA loan made last year may be assumed:
-only by a buyer who intends to occupy the property
-only by a buyer who intends to occupy the property as a primary residence
-only by a buyer who has had an FHA loan before
-by any buyer, regardless of whether he intends to occupy the property
Loans after that date may also be assumed, but the Federal Housing Administration requires a" creditworthiness supposition process". Simple hypotheticals may not bear FHA blessing, but the borrower and lender must work out the details together.
What happens to the property?For all loans after the 1986 cut off date, FHA blessing and borrower credit verification are needed. The" new" FHA rules governing loan supposition requires the borrower to qualify important in the same way he or she'd qualify for any other FHA home loan.
A loan supposition credit check is done in the same way as the procedure for any FHA loan operation. Loan hypotheticals can not offer more lenient credit check programs or more strict bones
According to the FHA, under the" Determining if an Assumptor is Creditworthy" rule," The lender who's the holder or servicer of the mortgage determines the creditworthiness of the assumptor, in agreement with standard mortgage credit analysis conditions. The Direct Countersign( DE) lender may also use an approved authorized agent to reuse hypotheticals."
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you're trying to determine whether or not to expand your business by building a new manufacturing plant. the plant has an installation cost of $12.5 million, which will be depreciated straight-line to zero over its four-year life. if the plant has projected net income of $1,368,000, $1,935,000, $1,738,000, and $1,310,000 over these four years, what is the project's average accounting return (aar)?
The project's average accounting return (Aar) AAR =0.12702
Briefing:-The average net income divided by the average book value is how we define AAR. The project's typical net profit is:
($1,368,000 + 1,935,000 + 1,738,000 + 1,310,000) / 4 equals $1,587,750 for average net income.
The average book value is equal to ($12,500,000 + 0) / 2 which is $12,500,000.
As a result, the project's AAR is calculated as follows: AAR = Average Net Income / Average Book Value.
AAR =$1,587,750 / $12,500,000
AAR =0.12702
Is the typical income gross or net?Collect every adult's gross income above the age of 15 to determine the average household income. Make careful to account for all sources of income, including salaries, tips, bonuses, retirement income, and social security benefits. among others, Social Security benefits. To calculate the total household income, add these up.
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dustin co. makes three products, a, b and c. they have a constrained resource - machine hours. there are only 16,913 machine hours available a month. the three products have the following data: abc selling price per unit6.0016.0011.00 variable cost per unit2.004.006.00 machine hours required245 demand for product in units 1,1834,0611,006 how much of product b should be produced?
4096 units of B should be produced.To have the biggest contribution margin, Product B should be produced initially at the highest demand.
The need for a specific product and who wants to buy it are described by market demand. How willing buyers are to pay a specific price for a specific commodity or service will determine this. Price rises as market demand does as well.
Price will decrease along with a decline in demand. The term "product demand" (also known as "market demand") refers to how much consumers desire a company's goods throughout a specific time frame. The amount of people looking for the product, their willingness to pay, and the quantity that is accessible for consumers to buy it are some of the variables that affect demand.
Market demand fluctuations happen throughout time as a result of regular trends like seasons or unanticipated external sources .
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a general fund receives an invoice from the electric utility fund (an enterprise fund) for electricity provided by the electric utility fund. when it receives the invoice, what account should be debited in the general fund
When it receives the invoice, Expenditures—utility services account should be debited in the General Fund.
An invoice is a document that shows the general fund and cost of goods or services provided by a business. It is typically used by businesses account to request payment from customers. An invoice may be created using software, such as Microsoft Excel, or it may be handwritten.
The customer is typically expected to pay the invoice within a certain period of time, typically 30 days.
Hence, the correct option is (c)
The question is incomplete, the complete question is:
A General Fund receives an invoice from the Electric Utility Fund (an Enterprise Fund) for electricity provided by the Utility Fund. When it receives the invoice, what account should be debited in the General Fund?
a. Due from Electric Utility Fund
b. Transfer in from Electric Utility Fund
c. Expenditures—utility services
d. Due to Electric Utility Fund
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a trader sold a cash-secured put that is in the money a few days from expiration. if the trader does not want to be assigned the stock, what can he do? select all that apply.
If the trader does not want to be assigned the stock Buy back the call contract and Roll the call to an out of the money strike.
The shares into which ownership of a corporation or company is split constitute stock in the financial world. A single share of stock represents a portion of the corporation's ownership in relation to the total number of shares. The ownership certificates of any corporation are referred to as "stocks" in general. A shareholder is someone who owns stock in a specific corporation. Stocks come in two common and favored varieties. Stocks signify ownership in a publicly traded business. You acquire a share of ownership in a firm when you purchase its stock. As an illustration, if a company has 100,000 shares and you purchase 1,000 of them, you will own 1% of the business. Investors purchase shares at a predetermined price that is determined by the state of the market.
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on january 1, a company issued 10%, 20-year bonds with a face amount of $80 million for $73,581,280 to yield 11%. interest is paid semiannually. what was interest expense at the effective interest rate on june 30, the first interest date? (enter your answers in whole dollars. round percentage answers to 1 decimal place (e.g., 0.0234 should be entered as 2.3).)
Therefore, $3,288,743 in interest expenses at the applicable rate on June 30 will be debited from the interest expense account.
First, we must comprehend the information that is unique to the inquiry.
The bonds have a face value of $90,000,000.
Bond cost equals $82,218, 585.
Discount rate = 7%
In addition, the bond's interest must be paid every two years.
Second, based on the face value, we determine the semi-annual interest.
= Coupon rate times $90,000 times the semi-annual period
= 6/12 x 0.07 x $90,000,000
= $3,150,000
Thirdly, we determine the semi-annual interest issued at this time's market bond price.
= The outstanding balance x the effective rate (/2 because it is semi-annual).
= 8/2 x $82, 218,585
= $3, 288,743
In light of the foregoing, the interest expenditure at the applicable rate on June 30 will be $3,288,743, which will be charged to the interest cost account. The difference between this rate and the calculated face amount (138,743) will be credited to the discount on bonds payable.
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the process of building and maintaining relationships with people whose interests are similar or whose relationship could bring advantages to the firm is called .
The process of building and maintaining relationships with people whose interests are similar or whose relationship could bring advantages to the firm is called networking.
Networking is the process of sharing information or services between individuals, organizations or groups. It provides a tool for people to expand their professional or commercial contacts. As a result, people might establish relationships or a network that is beneficial to them in both their personal and professional lives. Through networking, one can create lasting connections that allow for the trade of goods and services that benefit all parties. Through networking events, social media and professional networking, you can make new and important business connections.
The second half of the 20th century saw the promotion of networking as a way for businesspeople to increase their social capital. In the US, proponents of workplace equity pushed members of underrepresented groups to network in order to identify and address the obstacles they faced.
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the oldest anti-fraud law, which is to be addressed in a healthcare corporate compliance program, is the:
The Medicaid Integrity Program is created in accordance with the oldest anti-fraud statute, which must be handled in a corporate compliance program for the healthcare industry.
Who founded the Medicaid Integrity Program?The Medicaid Integrity Program (MIP), which was established under section 1936 of the Social Security Act (the Act) by the Deficit Reduction Act of 2005, significantly expanded the federal government's involvement and duty in the fight against Medicaid fraud, waste, and abuse.The Medicaid Integrity Program of the Centers for Medicare & Medicaid Services has been working with states since 2006 to advance best practices and knowledge of Medicaid and Children's Health Insurance Program (CHIP) fraud, waste, and abuse.Program integrity actions are designed to make sure that money from federal and state tax payers is used effectively to provide high-quality, essential care while avoiding fraud, waste, and abuse.To learn more about Medicaid Integrity Program refer to:
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assume you create portfolio p with investment proportions of 0.60 in a and 0.40 in b. a. what is the standard deviation of the portfolio? (do not round your intermediate calculations. round your answer to 2 decimal places.) b. what is the beta of your portfolio? (do not round your intermediate calculations. round your answer to 2 decimal places.) c. what is the firm-specific variance of your portfolio?
The standard deviation of the portfolio is 17.58%, the beta of your portfolio is 0.57, the firm-specific variance of your portfolio is 392.04 and 729.
Standard Variable [tex]A^2[/tex] =beta [tex]A^2[/tex] × Standard Variable [tex]M^2[/tex] / R square-A;Standard Variable [tex]A^2[/tex] = [tex]0.55^2[/tex] × [tex]18^2[/tex]/0.25 = 392.04
Standard Variable A = √(392.04) = 19.8%
Standard Variable [tex]B^2[/tex]=beta [tex]B^2[/tex] × Standard Variable [tex]M^2[/tex] / R square-B;
Standard Variable [tex]B^2[/tex]= [tex]0.6^2[/tex] × [tex]8^2[/tex]/0.16 = 729
Standard Variable B = √(729) = 27%
Cov (rA, rB) = beta A × beta B × Standard Variable [tex]m^2[/tex] = 0.55 × 0.6 ×
[tex]18^2[/tex] = 106.92
Correlation(A,B) = Cov (rA,rB) / (sStandard VariableA × Standard
VariableB)
Correlation (A,B) = 106.92/(27 × 19.8) = 0.2
Portfolio standard deviation = √ ( w[tex]1^2[/tex] × Standard Variable[tex]A^2[/tex] + w[tex]2^2[/tex] ×
Standard Variable[tex]B^2[/tex] +
2×w1×w2 × corr(A,B) × stdVA × stdVB)
W1 =0.6 ;w2 =0.5; stdVA =19.8%; stdVB=27%; corr(A,B) =0.2
By substitution, we get Portfolio standard deviation as 17.58%
Beta of the portfolio is 0.6 × 0.55 +0.4 × 0.6 = 0.57Firm specific Variance of A = stdV[tex]A^2[/tex] = 392.04 ( as shown in Part 1)Firm specific Variance of B = stdV[tex]B^2[/tex] = 729 ( as shown in Part 1)
Covariance between portfolio and market indexCov(rP, rM) = Corr × stdVP × stdVM
Cov(rP,rM) = 0.2*17.58 × 18 = 63.28
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the sarbanes-oxley act of 2002 attempts to increase corporate accountability by imposing strict disclosure requirements and harsh penalties for securities laws. true false
True. The Sarbanes-Oxley act of 2002 attempts to increase corporate accountability by imposing strict disclosure requirements and harsh penalties for securities laws.
In 2002, the legislation's proponents, U.S. Senator Paul Sarbanes (D-MD) and U.S. Representative Michael G. Oxley gave it the moniker Sarbanes-Oxley (R-OH). Therefore, in order to be "SOX compliant," upper executives must personally vouch for the correctness of financial data. Additionally, the consequences of engaging in dishonest financial conduct are very harsh.
The act strengthened the responsibility of directors in providing supervision and expanded the independence of external auditors who check the accuracy of business financial statements.
In response to many significant accounting and corporate scandals, including those involving Enron, Tyco International, Adelphia, Peregrine Systems, and WorldCom, the measure was passed. These crises destroyed people's faith in the US securities markets and lost investors thousands of dollars as the share prices of the corporations involved fell.
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suppose the federal government reduces taxes on the profits earned from investment in physical capital--machines and factories. according to our model, this policy will result in
Suppose the federal government reduces taxes on the profits earned from investment in physical capital--machines and factories. according to our model, this policy will result in an increase in real GDP and an ambiguous effect on prices.
Investment is the fidelity of plutocrats to buy of an asset to attain an increase in value over a period of time. Investment requires the immolation of some present asset, similar as time, plutocrat, or trouble. In finance, the purpose of investing is to induce a return from the invested asset. Your investing personality determines the type of investor you're and how you should make your investments. Your investing personality is principally your fiscal threat profile that takes into account colorful factors like age, fiscal history, circumstances, and your investment pretensions.
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what is your advice to amad? should he take the 179 on the it equipment or the office furniture, and explain why?
The company should select furniture for Sec 179 and IT equipment for MACRS due to accelerated depreciation because of 5 years MACRS on IT equipment rather than 7 years on Furniture.
Instead of capitalizing and depreciating the asset over time, business owners can immediately deduct their expenses for the purchase of depreciable business equipment under Section 179 of the U.S. Internal Revenue Code. If the piece of equipment is bought outright or financed, and the entire purchase price qualifies, the section 179 deduction may be taken.
The business can immediately reduce its tax obligation by deducting the cost of the equipment, as opposed to capitalizing and depreciating the asset, which allows for smaller deductions to be taken over a longer period of time. Small business owners are encouraged to expand their operations through the acquisition of new equipment by the Section 179 expensing method.
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Complete question:
Amad has opened a new business and purchased some new IT equipment (five-year property) for $240,000 and office furniture (seven-year property) for $380,000 on April 9, 2020. He would like to elect the Section 179 expensing in the amount of $500,000 and use MACRS for the balance. He does not want to take the bonus depreciation. He expects his income from the business to be $540,000 (before deducting for the Section 179 expense). He is not sure which asset should be fully expensed.
frederick corporation issues $100,000 of 8% bonds, due in 20 years, when the market rate of interest is 7%. interest is paid semiannually on june 30 and december 31. the issue price of the bonds is:
The bond is issued at a premium.
Which bonds will be priced higher than others?A premium bond is one that trades in the secondary market for more than its par value (original price). When a bond offers an interest rate that is higher than the currently available interest rates being offered for new bonds, it will trade at a premium. When a bond is issued for a sum greater than its principle, a bond issuance premium is created. When the stated interest rate on the bond is higher than the bond's current market yield, the issuer will issue the bond and the
feedback:
Correct. Given that the stated interest rate is 7%, the bond is being offered at a premium.
First, figure out the stated interest rate and then compare it to the going rate.
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what percentage of the wages of male and female employees difered in the marketing industry, as of the 1990s
Wages of male and female employees differed in the marketing industry in the 1990's by 54%.
What are wages?A wage is money paid to an employee by their employer for labour completed over a certain amount of time. Wage payments include remunerative payments like rewards and tip payouts as well as compensation payments like the minimum wage, prevailing wage, and annual bonuses. Say you have a worker who receives $20 per hour of work. They worked a total of 80 hours throughout a two-week pay period. Wages and salaries are the compensation given to employees for work done on their behalf or for services rendered. In general, an employer is not allowed to withhold pay or any portion of them unless specifically allowed or mandated by law.
Hence, Wages of male and female employees differed in the marketing industry in the 1990's by 54%.
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if merchandise sells for $3,500, with terms of 3/15, n/45 and the cost of the inventory sold is $2,100, the amount charged to sales is group of answer choices
If stuff sells for $3,500 with terms of 3/15, n/45 and the cost of inventory sold is $2,100, the amount charged to sales is 1.$3,395.
Inventory or stock refers to the items and supplies that a company keeps for the purpose of resale, manufacture, or use. Inventory management is largely concerned with defining the shape and positioning of stocked products. It is required at many locations within a facility or throughout a supply network to precede the normal and scheduled flow of production and material stock. In the context of a manufacturing production system, inventory refers to all work that has occurred - raw materials, partially finished goods, final items prior to sale, and departure from the manufacturing system.
In the context of services, inventory refers to all work completed prior to sale, including partially processed information.
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you are a health it consultant in a company which is developing different kind of clinical support tools. you are preparing a presentation about clinical decision support tools for a meeting with the leadership of a hospital, which could be your future client. you would like to add one slide which will describe the biggest challenges of achieving meaningful clinical decision support, as well as your solutions. what are bullets that you will add to the slide?
This leads us to believe that there are a few common reasons why doctors abuse clinical decision support systems, such as:
changed processessluggish alertnessloss of autonomyAnxiety.The phrase "clinical decision support system" describes a category of health data that makes use of technology to provide staff, medical professionals, patients, or other individuals with the knowledge and information they require to improve healthcare.
It uses a variety of techniques to improve the quality of therapy outcomes. Making decisions in the healthcare workflow is improved. Even so, it could still be detrimental to the supplier.
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an entity with a large volume of customer remittances by mail most likely can reduce the risk of employee misappropriation of cash by using group of answer choices employee fidelity bonds. independently prepared mail room prelists. daily check summaries. a bank lockbox system.
An entity with a large volume of customer remittances by mail could most likely reduce the risk of employee misappropriation of cash by using a bank lockbox system.
A customer is someone who buys goods or services from a business. Customers are important to businesses because they are the ones who generate revenue. Employee, on the other hand, are the people who work for the business.
They are responsible for carrying out the day-to-day operations of the entity. Employees are important to businesses because they are the ones who make the business run.
Hence, "Fourth" is the correct option.
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which of the following economic activities would be included in u.s. gross domestic product (gdp)? group of answer choices illegal prostitution pure services, such as haircuts work performed and paid for in cash to avoid income tax illegal drug sales
Pure services, such as haircuts is the economic activity that would be included in the U.S. gross domestic product (GDP).
GDP does not reflect illicit or covert economic activity. This implies that only pure services like haircuts can be included in GDP. Personal consumption, corporate investment, government spending, and net exports are the four main components of the gross domestic product. GDP measures the nation's annual total economic production.
Typically, economists concentrate on the ideal GDP growth rate, which is generally accepted to be between 2% and 3% annually. When a nation's GDP is increasing at this rate, it typically experiences economic growth without the drawbacks of high inflation. A country's GDP may vary as per it's population size and availability of resources.
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as a result of the rapid pace of innovation: product life cycles have become shorter. product development cycles have become significantly longer. market segmentation has reduced. product obsolescence has slowed down.
As a result of the rapid pace of innovation, Option(a) the product life cycles have become shorter.
Explain product life cycle.The product life cycle is the period of time that elapses between the day a product is first introduced to the market and the day it is removed from the market. There are four stages in a product's life cycle: introduction, growth, maturity, and decline.
In addition to determining advertising schedules, price points, expanding to new product markets, and redesigning packaging, product life cycles assist management and marketing professionals in deciding how to create new products. Product life cycle management refers to these strategic methods of supporting development. New products can also determine when older ones should be replaced by updated ones.
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cindy and ashley recently opened a local candy store. they considered the entire market of candy eaters as their market. which targeting strategy did they use in choosing a target market for their store?
Undifferentiated approach is the strategy utilize a targeting approach when deciding on a target market for their store.
What is undifferentiated approach:
If segmentation does not produce any substantial or considerably distinct groups, a company may choose to use mass marketing, sometimes referred to as undifferentiated marketing. Here, it is best to concentrate on similarities rather than differences.
Future Learn explains that homogeneous marketing views all consumers as homogeneous groups. Mass marketing is another name for undifferentiated marketing. Undifferentiated marketing aims to target all potential customers with a single marketing approach rather than creating various marketing methods or even products for various groups within society.
A corporation may choose an undifferentiated strategy versus a more specialized, segmented differentiated strategy for a number of various reasons. It can be difficult to discern separate client segments at times, making it simpler to use bigger strokes of paint. When recognized segments are changing, an undifferentiated approach might also be appropriate.
Putting together numerous advertising campaigns to target many various demographics on a personalised level requires money, work, research, and time. However, a homogeneous approach's broad scope results in one campaign that works for everybody, which could result in significant cost savings.
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is creating a vision for the organization and guiding, training, coaching, and motivating others to work effectively to achieve the organization's goals and objectives. multiple choice question.
By setting a vision for the organisation, a leader can inspire and motivate others to work toward shared goals and objectives. Controlling entails determining if the organization's objectives are met by what really happens.
Creating a vision for the organisation and directing, educating, mentoring, and inspiring others to work productively to meet the organization's goals and objectives on schedule is what it means to LEAD.
In a learning organisation, what is vision?
An organization's vision is what it hopes to become and accomplish in the future. The Vision is crucial since it is intertwined with all other organisational strategy components.
A company's mission statement, goals, and aspirations are all outlined in a vision statement. The majority of vision statement writers find the process to be satisfying and motivating. It gives them the ability to describe the traits that affect the strategy of the firm.
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When jobs returned to apple in 1997, he reduced apple’s offering to how many products?.
Jobs cut all of the desktop models—there were fifteen—back to at least one. He cut all transportable and hand-held models back to at least one laptop computer.
He fully cut out all the printers and alternative peripherals. When Steve Jobs returned to Apple in 1997, his 1st action was reducing quite the ninetieth of Apple products. Moving forward, Jobs' strategy was to provide solely four products: one desktop and one transportable device aimed toward each customer and professional.
Jobs quickly cast employee alliances with Apple's erstwhile foe, Amelio's Mac-clone agreements, and simplified the company's line.
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a monopolist who price discriminates perfectly will produce the socially efficient level of output. true false
A monopolist who price discriminates perfectly will produce a socially efficient level of output is False.
First-degree price discrimination by a monopolist will not result in lower output than would be produced by a firm operating in perfect competition. Instead, while still maintaining total excess, the monopolist simply converts all consumer surplus into producer surplus.
A monopolist who practices perfect discrimination will impose the greatest price on each customer. As a result, each unit would bring in money equivalent to the reservation charge.
A perfectly price-discriminating monopoly produces up until the point where the price and marginal cost are equal. Monopolies are able to set prices at will because of their control over the market and the absence of direct rivals for the products they sell.
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true or false: the firm's senior executives need to understand the financial implications of the it initiative so they can decide whether to allocate resources to it. true false question. true false
Senior executives of a company must be aware of the financial effects of their projects before deciding whether to dedicate resources to them. This assertion is true.
The future wealth of people should be anticipated to rise. Managing the company's finances is part of finance. The financial manager is responsible for determining how much money is needed and when, how to spend the cash most effectively, and how to secure the necessary finance. Financial planning, investment, and financing are the duties of the financial manager.
Senior executives are often in charge of overseeing certain divisions or departments within their organization and making sure that they are in line with corporate growth strategy. They could also be in charge of directing the work of department heads who supervise smaller teams of workers.
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as a result of advances in productivity, farmers can produce more at a lower cost. the effect of these changes has been to:
The effect of the changes where farmers can produce more at a lower cost is to reduce total revenue for farmers as a group.
With the growth in technology, the agricultural field has also been revolutionized with methodologies that make the production of products easier for a farmer than it was before.
Productivity on agricultural lands can now be increased and the methodologies implemented are cost-effective.
These technologies were implemented in order for farmers to make more of their crops or products at a lower cost. Hence, the total spending revenue of the farmers will be reduced.
Although a part of your question is missing, you might be referring to this question:
As a result of advances in productivity, farmers can produce more at a lower cost. The effect of these changes has been to:
-reduce total revenue for farmers as a group.
-make lives of farmers harder
- to introduce GMO plants
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rose is concerned about a stock in her portfolio because in recent periods, the dividend she has received for each share has gotten smaller while the share price has remained relatively constant. what financial metric is rose analyzing? dividend yield dividend per share payout ratio dividend cover
The financial metric is rose analyzing is the dividend yield.
Dividend stocks and dividend ETFs can offer diversification in a portfolio and they also can generate earnings for retirement. Being conscious of ways you intend to spend when you retire and what type of profits you may want can help you devise a plan for the way to live off dividends for the long term.
Over time, the coin float generated by the one dividend bill can supplement your Social protection and pension earnings. Perhaps, it is able to even offer all the cash you need to maintain your preretirement lifestyle. It's miles possible to live off dividends in case you perform a little planning.
They are paid out of the income and earnings of the corporation. Dividends can be categorized both as regular or qualified. Whereas ordinary dividends are taxable as regular earnings, qualified dividends that meet sure requirements are taxed at decreased capital gain charges.
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consider the capm. the expected return on the market is 16%. the expected return on a stock with a beta of 1.2 is 18%. what is the risk-free rate? consider the capm. the expected return on the market is 16%. the expected return on a stock with a beta of 1.2 is 18%. what is the risk-free rate? 8% 12% 6% 2%
The risk-free rate for the CAPM will be 8%. when the expected return on the market is 16%.
What is a risk-free rate?The risk-free interest rate is the rate of return an investment provides without risk. Risk-free interest is kind of a theoretical concept because all investments, no matter how small, carry some degree of risk. In practice, it is considered the interest paid on short-term government debt.All investments involve at least a small amount of risk, so risk-free returns don't really exist. To calculate the real risk-free interest rate, subtract the inflation rate from the yield on the government bond corresponding to the investment period.Risk-free return refers to the theoretical return on investment without risk.In reality, all investments involve at least a small amount of risk, so risk-free returns don't really exist.To calculate the real risk-free interest rate, subtract the inflation rate from the yield on the government bond corresponding to the investment period.to know more about risk-free rates refer to:
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mr. and mrs. kain reported $80,000 agi on their joint return. the couple has four dependent children: beatrice, age 19; bruce, age 16; angie, age 11, and arnold, age 8. compute the kains' child tax credit.
$2,000 will be Mr. and Mrs. Kains' child tax credit. Hence, the correct choice of answer for this question would be option (b).
Explain child tax credit.Different nations offer parents with dependent children a tax advantage known as the child tax credit (CTC). The credit is frequently correlated with the number of dependent children a taxpayer has, as well as occasionally with their income. For instance, only families in the United States who earn less than $400,000 year are eligible to get the entire CTC. Similar to the United States, only families earning less than £42,000 a year are eligible for the tax credit in the United Kingdom. Taxpayers with kids under 17 are eligible for the child tax credit. The CTC has been $2,000 per eligible child since 2018. For single filers earning up to $200,000 and married couples filing jointly earning up to $400,000, it is fully accessible.
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The complete question is mentioned below :
Mr. and Mrs. Kain reported $80,000 AGI on their joint return. The couple has four dependent children: Beatrice, age 19; Bruce, age 16; Angie, age 11, and Arnold, age 8. Compute the Kains’ child credit.
a. $1,000
b. $2,000
c. $3,000
d. $4,000
You are trying to decide whether to trade in your laser printer for a more recent model. Your usage pattern will remain unchanged, but the old and new printers use different toner cartridges. Are the following items relevant or irrelevant to your decision?.
The following items were relevant and irrelevant to our decision to buy a laser printer of new model:
a) the trade-in value of the old printer is: RELEVANT
b) paper costs are: IRRELEVANT
c) the difference between the cost of toner cartridges is: RELEVANT
d) the price of the new printer is: RELEVANT
e) the price you paid for the old printer is: IRRELEVANT
A trade-in value is the money that a dealer will leave you when you buy a new product replacing it with another one. In the case above, the trade-in value will have a significant impact on our decision whether to buy the new laser or not.
As paper costs will be the same for the old and the new laser printer, hence they are irrelevant.
The cost of toner cartridges will be different for the old and the new printer. Hence, it is relevant.
The price of the new printer will be a relevant factor in making the decision of buying a new one whereas the price of the old one will be irrelevant.
Although a part of your question is not missing, you might be referring to this question:
You are trying to decide whether to trade in your laser printer for a more recent model. Your usage pattern will remain unchanged, but the old and new printers use different toner cartridges. Are the following items relevant or irrelevant to your decision?
a) the trade-in value of the old printer is
b) paper costs are
c) the difference between the cost of toner cartridges is
d) the price of the new printer is
e) the price you paid for the old printer is
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