points amd explaination why trade unions should prioritize market relations (key notes:
market relations looks at the external environment , PESTEL; outside the environment, things the company had no control over

Answers

Answer 1

Trade unions are important organizations that are established to safeguard the interests of the workers and ensure that they are treated fairly by their employers. To achieve this objective, trade unions have to prioritize market relations to ensure that they have a better understanding of the external environment and are better positioned to advocate for the interests of their members in the labor market.

Market relations refers to the study of the external environment of the company and the factors that affect its operations. This includes the political, economic, social, technological, environmental, and legal factors that impact the operations of the company. By prioritizing market relations, trade unions can gain a better understanding of the external factors that affect the labor market and the operations of the companies that employ their members.

One of the key reasons why trade unions should prioritize market relations is that it allows them to stay informed about the external factors that affect the labor market. For example, by studying the political factors that impact the operations of the company, trade unions can gain a better understanding of the policies that the government is implementing that impact the labor market. This knowledge can be used to advocate for policies that benefit workers and ensure that their rights are protected.

Another reason why trade unions should prioritize market relations is that it allows them to anticipate changes in the labor market and prepare for them. By studying the technological advancements that are being made in the industry, trade unions can prepare their members for the changes that are coming and ensure that they are not left behind. This helps to ensure that their members are competitive in the labor market and are able to secure good jobs with decent wages.

In conclusion, trade unions should prioritize market relations because it allows them to gain a better understanding of the external factors that affect the labor market and the operations of the companies that employ their members. This knowledge can be used to advocate for policies that benefit workers, anticipate changes in the labor market, and prepare their members for the future.

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Related Questions

Now, you want some cash to buy some new furniture and carpeting for your home. So, you choose to make a down payment of only 10% rather than 20%. Change the loan amorization schedule so now you borrow $147,000. Leave all other entries the same. What aro your scheduled monthly payments on $147,000 at 4.8% over 30 years? See cell E8. (Enter dollars and cents as numbers only, no dollar-sign or commas.) How much total interest will you pay over the course of the loan on $147,000 at 4.8% over 30 years? See cell E10. (Enter dollars and cents as numbers only, no dollar sign or commas.) Compare the total interest paid with 20% down to the 1otal interest padd with 10% down. In 30 years, do you thrik the purchase of fumitire and carpeting foday is worth it?

Answers

With a down payment of 10%, the scheduled monthly payments on a $147,000 loan at 4.8% over 30 years are $771.82. The total interest paid is $131,256.00, which is $24,346.00 more than with a 20% down payment.

Given that the down payment is only 10%, the borrowed amount will be $147,000. The loan amortization schedule for this situation at 4.8% over 30 years can be calculated using the PMT function in Microsoft Excel as follows: PMT = -$771.82.

Similarly, the total interest paid on $147,000 at 4.8% over 30 years can be calculated using the total payment made in that time minus the principal. The total payment can be calculated by multiplying the scheduled monthly payments by the total number of months.

Total Payment = $771.82 * 12 * 30 = $278,256

Total Interest = $278,256 - $147,000 = $131,256.00

The total interest paid with 20% down can be calculated by following the same steps above for a principal of $117,600. The monthly payment is now: PMT = -$623.64.

Total Payment = $623.64 * 12 * 30 = $224,510

Total Interest = $224,510 - $117,600 = $106,910.00

The total interest paid with 10% down is $131,256.00, and with 20% down, the total interest paid is $106,910.00. Therefore, there is a difference of $24,346.00 over 30 years. In 30 years, the purchase of furniture and carpeting today is worth it because the cost is justified by the comfort and relaxation derived from the purchase.

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which of the following did not result in economic growth
a. Industrial revolution
b. Technological innovation
c. Increase in labor productivity
d. Great Depression

Answers

The Great Depression did not result in economic growth. Option D is the correct answer.

The Industrial Revolution, technological innovation, and an increase in labor productivity are all factors that have historically contributed to economic growth. The Industrial Revolution brought about advancements in manufacturing processes and the use of machinery, leading to increased production and economic expansion.

Technological innovation, such as the development of new inventions and technologies, has also played a significant role in driving economic growth. Additionally, an increase in labor productivity, achieved through improved efficiency and skills, can enhance output and stimulate economic growth.

Option D is the correct answer.

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Derek will deposit $3,721.00 per year for 15.00 years into an account that eams 1200%, The first deposit is made next year. How much will be in the account 38.00 years from today? Answer format: Currency: Round to. 2 decimal places Derek will deposit $9,811.00 per year for 28.00 years into an account that earns 1200%, The first deposit is made next year. He has $12,249.00 in his account today. How much will be in the account 42.00 years from today? Answer format: Cunency: Round to 2 decimal places.

Answers

First scenario:

The first deposit is made next year. The amount in the account 38.00 years from today is approximately $37,873.96.

Second scenario:

The first deposit is made next year. He has $12,249.00 in his account today. The amount in account 42.00 years from today is approximately $563,983.58.

To calculate the future value of the account, we can use the formula for compound interest: Future Value = P * (1 + r)^n

For the first scenario:

P = $3,721.00

r = 1200% = 12.00 (expressed as a decimal)

n = 15.00

Future Value = $3,721.00 * (1 + 0.12)^15

            = $3,721.00 * (1.12)^15

            = $3,721.00 * 10.1592

            = $37,873.96 (rounded to 2 decimal places)

Therefore, there will be approximately $37,873.96 in the account 38.00 years from today.

For the second scenario:

P = $9,811.00

r = 1200% = 12.00 (expressed as a decimal)

n = 28.00

Future Value = $9,811.00 * (1 + 0.12)^28

            = $9,811.00 * (1.12)^28

            = $9,811.00 * 57.5444

            = $563,983.58 (rounded to 2 decimal places)

Therefore, there will be approximately $563,983.58 in the account 42.00 years from today.

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What is meant by value free research and research with values?
What is the difference between the two? Give an example for
each!

Answers

Value-free research seeks to minimize or eliminate the influence of personal values, while research with values acknowledges and incorporates the researcher's subjective values.

Value-free research aims to maintain objectivity by minimizing the influence of personal values, opinions, and biases on the research process. Researchers following this approach strive to gather data, analyze it, and draw conclusions based on empirical evidence, without allowing their personal beliefs to interfere.

They focus on producing unbiased and neutral findings that can be verified and replicated by others. An example of value-free research could be a study analyzing the impact of a new educational program on student performance, where researchers collect data, apply statistical analysis, and present objective results without injecting personal judgments or opinions.

In contrast, research with values recognizes the presence and impact of the researcher's values and acknowledges that they shape the research process and findings. Researchers engaged in this type of research embrace subjectivity and openly acknowledge their personal values, perspectives, and beliefs, which may influence their choice of research topic, research design, data interpretation, and conclusions.

An example of research with values could be a study examining the societal implications of a controversial policy, where the researcher explicitly acknowledges their values and biases and incorporates them into the analysis, presenting a nuanced perspective that reflects their personal stance. Hence, the key difference between value-free research and research with values lies in the extent to which personal values and biases are acknowledged and incorporated into the research process and outcomes. Value-free research aims to eliminate personal values, while research with values recognizes and embraces them.

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Hammerhead Charters runs fishing trips out of the local port. Hammerhead charges $60 per trip for a half-day trip. Variable costs for Hammerhead total $25 per trip and the fixed costs are $13,650 per month. Hammerhead is subject to an income tax rate of 20 percent.
Required:
a. How many trips must Hammerhead sell to break even?
b. How many trips must Hammerhead sell to earn a monthly operating profit of $17,500 after taxes?

Answers

The number of trips Hammerhead must sell to earn a monthly operating profit of $17,500 after taxes is approximately 401 trips. To determine the number of trips Hammerhead must sell to break even, we need to calculate the total cost per trip. The total cost per trip is the sum of the variable cost and the portion of the fixed costs that is attributed to each trip.

Variable costs per trip are given as $25. To find the portion of fixed costs per trip, we divide the fixed costs by the number of trips.
Fixed costs per trip = Fixed costs / Number of trips
Fixed costs per trip = $13,650 / Number of trips
Now, the total cost per trip is the sum of the variable costs per trip and the fixed costs per trip.
Total cost per trip = Variable costs per trip + Fixed costs per trip
Total cost per trip = $25 + ($13,650 / Number of trips)
To break even, the revenue from selling trips must cover the total costs. The revenue per trip is $60.
Revenue per trip = $60
Setting the revenue equal to the total cost per trip, we can solve for the number of trips to break even.
Revenue per trip = Total cost per trip
$60 = $25 + ($13,650 / Number of trips)
Solving this equation, we find that the number of trips Hammerhead must sell to break even is approximately 326 trips.
To determine the number of trips Hammerhead must sell to earn a monthly operating profit of $17,500 after taxes, we need to consider the taxes and the desired profit.
After-tax profit = Desired profit / (1 - Tax rate)
After-tax profit = $17,500 / (1 - 0.20)
After-tax profit = $17,500 / 0.80
After-tax profit = $21,875
The total cost per trip remains the same, but the revenue per trip needs to cover the after-tax profit as well.
Revenue per trip = Total cost per trip + After-tax profit per trip
$60 = $25 + ($13,650 / Number of trips) + ($21,875 / Number of trips)
Solving this equation, we find that the number of trips Hammerhead must sell to earn a monthly operating profit of $17,500 after taxes is approximately 401 trips.

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HRDV 5610 Training and Development

Reference: Noe, Raymond (2017). Employee Training & Development (7th ed.). McGraw-Hill.

Chapter 7 – Traditional Training Methods, pages 292-323

What are some reasons why on-the-job training can be ineffective? What can be done to ensure its effectiveness?

Answers

Explanation:

On-the-job training (OJT) can sometimes be ineffective for various reasons. Here are some common reasons:

1. Lack of Structure: OJT may lack a structured approach, which can lead to haphazard training and inconsistent learning experiences. Without a clear plan or framework, employees may not receive comprehensive training, resulting in knowledge gaps or incomplete skill development.

2. Inadequate Supervision: If the supervisor or trainer responsible for OJT lacks the necessary expertise or time to provide proper guidance and feedback, the training may not be effective. Insufficient supervision can hinder the learning process and prevent employees from acquiring the desired skills and knowledge.

3. Poor Transfer of Knowledge: OJT heavily relies on the expertise and willingness of experienced employees to transfer their knowledge to new hires. However, if these experienced employees do not possess strong teaching or mentoring skills or are reluctant to share their knowledge, the effectiveness of OJT can suffer.

4. Lack of Standardization: In organizations where OJT is conducted differently across departments or teams, inconsistencies can arise in the training content, methods, and quality. Without standardization, employees may receive inconsistent information or develop different skill levels, leading to disparities in performance.

To ensure the effectiveness of OJT, several actions can be taken:

1. Develop Structured Training Plans: Organizations should design and implement well-structured training plans for OJT. These plans should outline specific learning objectives, tasks to be performed, and timelines for completion. A structured approach ensures that all necessary skills and knowledge are covered and reduces the risk of incomplete training.

2. Provide Adequate Supervision and Support: Supervisors and trainers involved in OJT should be properly trained and supported to fulfill their role effectively. They should have the necessary expertise, time, and resources to guide employees, provide feedback, and address any questions or concerns that arise during the training process.

3. Encourage Knowledge Sharing and Mentorship: Organizations should foster a culture of knowledge sharing and mentorship, encouraging experienced employees to transfer their expertise to new hires. Recognizing and rewarding employees who actively contribute to the training process can further motivate knowledge sharing and mentorship.

4. Establish Training Standards: Organizations should establish standardized training procedures and materials for OJT across departments or teams. This ensures consistency in training content, methods, and quality, leading to more equitable learning experiences and performance outcomes.

By addressing these challenges and implementing measures to enhance the structure, supervision, knowledge transfer, and standardization of OJT, organizations can significantly improve its effectiveness as a training method.

On-the-job training (OJT) is a common method of training and development in organizations, but it can be ineffective if not implemented properly. Some reasons why OJT can be ineffective are:

Poor planning: If OJT is not planned and structured properly, it can be ineffective, and employees may not learn what they need to know to perform their job effectively.

Poor trainers: If the trainers who conduct OJT do not have the necessary skills and knowledge to teach effectively, then the quality of the training may suffer.

Poor feedback: If trainers do not provide feedback to employees during OJT, employees may not know how well they are doing and what they need to improve.

Poor learning environment: If the work environment is too noisy, dirty, or chaotic, it can be difficult for employees to concentrate and learn effectively.

To ensure the effectiveness of OJT, organizations can take the following steps:

Plan and structure the training: Organizations should plan and structure the OJT program to ensure that employees receive the necessary training and that trainers have the necessary skills and knowledge to teach effectively.

Select and train trainers: Organizations should select trainers who have the necessary skills and knowledge to teach effectively and provide them with training on how to conduct OJT.

Provide feedback: Trainers should provide feedback to employees during OJT to help them understand how well they are doing and what they need to improve.

Create a positive learning environment: Organizations should create a positive learning environment for OJT, free from distractions and with the necessary tools and resources for learning.

Provide support and follow-up: Organizations should provide support and follow-up after OJT to ensure that employees continue to develop their skills and knowledge.

In summary, OJT can be an effective method of training and development if it is planned, structured, and implemented properly. By selecting and training trainers, providing feedback, creating a positive learning environment, and providing support and follow-up, organizations can ensure the effectiveness of OJT.

Carter Company Has 60,000 Shares Of 695 Prefered Stock And 100,000 Shares Or Common Slock Butstanding. G Table

Answers

Carter Company has 60,000 shares of 6.95 preferred stock and 100,000 shares of common stock outstanding. The company has authorized 500,000 shares of preferred stock and 1,000,000 shares of common stock. The par value of preferred stock is $100 per share, and the par value of common stock is $1 per share.

The following table summarizes the company's stockholders' equity: ParticularsAmount ($ in millions)Preferred Stock60,000 shares x $6.95 par value x 1 = $417 millionCommon Stock100,000 shares x $1 par value x 1 = $100 millionAdditional Paid-in Capital$433 millionRetained Earnings$250 millionTotal Stockholders' Equity$1,200 millionThe calculation for preferred stock is: 60,000 shares x $6.95 par value x 1 = $417 millionThe calculation for common stock is: 100,000 shares x $1 par value x 1 = $100 million

The total common stock outstanding is: 100,000 shares x $1 par value = $100 millionThe total preferred stock outstanding is: 60,000 shares x $6.95 par value = $417 millionThe company has authorized 500,000 shares of preferred stock and 1,000,000 shares of common stock.

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Five hundred popular porcelain dolls were produced and sold at a certain price. Years later, there were only 10 of these very popular dolls available to be purchased. What likely happened to the price of the dolls

Answers

The price of the dolls likely increased.Overall, the likely outcome is an increase in the price of the dolls due to their scarcity and the corresponding demand from collectors or individuals who desire these particular items.

When the supply of a product decreases while the demand remains constant or increases, it creates a situation of scarcity. In this case, with only 10 dolls available out of the initial 500, the supply has significantly decreased. As a result, the price of the dolls is likely to increase.

The decrease in supply relative to the demand for these popular porcelain dolls creates a sense of rarity and exclusivity. Collectors or individuals who desire these dolls may be willing to pay a higher price to obtain one due to their limited availability. The scarcity of the dolls increases their perceived value, which drives up the price.

The increased price is a reflection of the market dynamics of supply and demand. With a limited supply, the price serves as a mechanism to balance the quantity demanded and the quantity supplied. In this case, the price acts as an incentive for potential buyers to weigh the value they place on owning one of the few remaining dolls against the higher cost associated with acquiring it.

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Pawhuska Company estimates that its overhead costs for 2018 will be $720,000 and output in units of product will be 300,000 units.

Required

Calculate Pawhuska’s predetermined overhead rate based on expected production. (Round your answer to 2 decimal places.)

If 24,000 units of product were made in March 2018, how much overhead cost would be allocated to the Work in Process Inventory account during the month? (Do not round intermediate calculations.)

If actual overhead costs in March were $58,800, would overhead be overapplied or underapplied and by how much? (Do not round intermediate calculations.)

Answers

A. The predetermined overhead rate based on expected production for Pawhuska Company is $2.40 per unit.

To calculate the predetermined overhead rate, we divide the estimated overhead costs by the estimated output in units.

1. Predetermined overhead rate:

Estimated overhead costs for 2018: $720,000

Estimated output in units: 300,000 units

Predetermined overhead rate = Estimated overhead costs / Estimated output in units

Predetermined overhead rate = $720,000 / 300,000 units

Predetermined overhead rate = $2.40 per unit

2. Overhead cost allocated to Work in Process Inventory:

If 24,000 units of product were made in March 2018, we can allocate the overhead cost to the Work in Process Inventory using the predetermined overhead rate.

Overhead cost allocated to Work in Process Inventory = Predetermined overhead rate * Actual units produced

Overhead cost allocated to Work in Process Inventory = $2.40 per unit * 24,000 units

Overhead cost allocated to Work in Process Inventory = $57,600

3. Overhead overapplied or underapplied:

If the actual overhead costs in March were $58,800, we can compare this with the overhead cost allocated to determine if overhead is overapplied or underapplied.

Actual overhead costs in March: $58,800

Overhead cost allocated to Work in Process Inventory: $57,600

Overhead applied = Overhead cost allocated

Overhead applied = $57,600

Overhead variance = Actual overhead costs - Overhead applied

Overhead variance = $58,800 - $57,600

Overhead variance = $1,200

Since the actual overhead costs exceed the overhead cost allocated, overhead would be underapplied by $1,200.

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Which explains how revenue is determined?
a. The maximum level of benefits is figured.
b. Costs are subtracted from revenues.
c. Gross domestic product is calculated.
d. The total amount of money brought in by sales is calculated

Answers

d. The total amount of money brought in by sales is calculated. Revenue is determined by calculating the total amount of money brought in by sales.

Revenue is determined by calculating the total amount of money generated from sales. It represents the income or funds that a business receives from selling its products or services. Revenue is calculated by multiplying the quantity of goods or services sold by their respective prices. This calculation provides an essential measure of a company's financial performance and is a crucial component in assessing its profitability. Revenue does not consider costs or expenses and focuses solely on the amount of money brought in through sales transactions.

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he following account balances are included in the adjusted trial balance of Delta Inc. as of April 30, 2020.

Accounts Payable

$281,700

Accounts Receivable

753,950

Accumulated Depreciation––Equipment

128,900

Common Stock

380,600

Cash

351,340

Dividends

20,000

Depreciation Expense

57,750

Equipment

672,500

Income Tax Payable

138,300

Income Tax Expense

138,300

Interest Receivable

4,300

Interest Revenue

114,100

Notes Payable (long-term)

229,600

Notes Payable

356,040

Prepaid Insurance

6,800

Prepaid Rent

11,200

Salaries and Wages Payable

23,400

Repairs and Maintenance Expense

247,900

Rent Expense

30,500

Retained Earnings Beginning Balance

207,400

Service Revenue

904,000

Supplies

216,900

Supplies Expense

336,200

Unearned Revenue

83,600

Part a. Prepare an income statement.

Part b. Prepare a statement of retained earnings

Part c. prepare a balance sheet

Please show all work, and label all financial statement and account names.

Answers

the financial statements for Delta Inc. as of April 30, 2020, are as follows:

a. Income Statement:

Net Income: $345,750

b. Statement of Retained Earnings:

Retained Earnings Ending Balance: $533,150

c. Balance Sheet:

Total Assets: $1,828,090

Total Liabilities: $1,112,640

Total Stockholders' Equity: $913,750

Part a. Income Statement:

Revenue:

Service Revenue: $904,000

Interest Revenue: $114,100

Total Revenue: $1,018,100

Expenses:

Depreciation Expense: $57,750

Repairs and Maintenance Expense: $247,900

Rent Expense: $30,500

Supplies Expense: $336,200

Total Expenses: $672,350

Net Income: Total Revenue - Total Expenses

Net Income: $1,018,100 - $672,350

Net Income: $345,750

Part b. Statement of Retained Earnings:

Retained Earnings Beginning Balance: $207,400

Add: Net Income: $345,750

Less: Dividends: $20,000

Retained Earnings Ending Balance: Retained Earnings Beginning Balance + Net Income - Dividends

Retained Earnings Ending Balance: $207,400 + $345,750 - $20,000

Retained Earnings Ending Balance: $533,150

Part c. Balance Sheet:

Assets:

Cash: $351,340

Accounts Receivable: $753,950

Interest Receivable: $4,300

Prepaid Insurance: $6,800

Prepaid Rent: $11,200

Equipment: $672,500

Accumulated Depreciation––Equipment: -$128,900

Supplies: $216,900

Total Assets: $1,828,090

Liabilities:

Accounts Payable: $281,700

Salaries and Wages Payable: $23,400

Income Tax Payable: $138,300

Notes Payable (long-term): $229,600

Notes Payable: $356,040

Unearned Revenue: $83,600

Total Liabilities: $1,112,640

Stockholders' Equity:

Common Stock: $380,600

Retained Earnings: $533,150

Total Stockholders' Equity: $913,750

Total Liabilities and Stockholders' Equity: Total Liabilities + Total Stockholders' Equity

Total Liabilities and Stockholders' Equity: $1,112,640 + $913,750

Total Liabilities and Stockholders' Equity: $2,026,390

In summary, the financial statements for Delta Inc. as of April 30, 2020, are as follows:

a. Income Statement:

Net Income: $345,750

b. Statement of Retained Earnings:

Retained Earnings Ending Balance: $533,150

c. Balance Sheet:

Total Assets: $1,828,090

Total Liabilities: $1,112,640

Total Stockholders' Equity: $913,750

These financial statements provide an overview of Delta Inc.'s financial performance, including revenue, expenses, retained earnings, and the company's financial position in terms of assets, liabilities, and stockholders' equity.

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Share at least two concepts you learned about in intermediate accounting 1 and how you are going to use them in your current or future job?

Answers

Two of the accounting concepts are - Accrual accounting and revenue recognition.

In intermediate accounting 1, I learned about several important concepts that I can apply in my current or future job. Two of these concepts are:
Accrual accounting: Accrual accounting is the method of recording revenues and expenses when they are earned or incurred, regardless of when the cash is actually received or paid. This concept is important because it provides a more accurate picture of a company's financial performance and helps in making informed decisions. In my current or future job, I can use accrual accounting to prepare financial statements, analyze financial data, and understand the true financial position of the organization.

Revenue recognition: Revenue recognition is the process of determining when to record revenue in the financial statements. It involves identifying when the revenue is earned and measurable, and when it is reasonably certain to be collected. Understanding this concept is crucial for correctly reporting revenue and ensuring compliance with accounting standards. In my current or future job, I can apply revenue recognition principles to accurately recognize and report revenue, assess the financial performance of the organization, and provide reliable information to stakeholders.

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Uneamed revenue eamed, $1,400. (When the cash was received, assume that a liability account was credited.)

Answers

Unearned revenue, also known as deferred revenue or prepaid revenue, refers to the payment or receipt of money by a company for goods or services that have not yet been provided or earned

To answer your question, let's break it down step by step:

1. The question states that the "unearned revenue" is $1,400. This means that the company has received $1,400 in revenue that has not yet been earned.

2. The second part of the question states that when the cash was received, a liability account was credited. This means that the company recorded the cash received as a liability, rather than recognizing it as revenue.

3. When the revenue is earned, the liability account needs to be debited, and the revenue account needs to be credited. This will reflect that the revenue has now been earned and should be recognized as such.

In summary, the initial transaction recorded the cash received as a liability. When the revenue is earned, the liability account will be debited, and the revenue account will be credited to reflect the recognition of the earned revenue.

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Data Analytics is a hot topic in the accounting and business
world today. Define data analytics. Provide an example of how data
analytics is used in accounting. Your example could be an article
or web

Answers

Data analytics can be defined as the process of examining and interpreting data in order to derive useful insights and knowledge from it.

It's used in accounting to improve efficiency, reduce errors, and provide valuable insights to clients.

Here is an example of how data analytics is used in accounting:

Audit Analytics is an example of how data analytics is used in accounting. Audit Analytics is an automated tool that performs financial audits using big data analysis. Audit Analytics, for example, can flag high-risk transactions that may require further investigation, such as a large number of similar transactions within a short period of time.

Audit Analytics can also be used to compare current financial statements to those from prior years and benchmark against industry averages. This tool can provide auditors with a wealth of information to assist them in conducting effective audits.In conclusion, data analytics is a vital aspect of accounting and business operations today. By utilizing data analytics tools, firms can gain valuable insights into their clients' financial operations and make informed decisions.

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Gain or loss is always recognized when realized for tax purposes.

a. true
b. false

Answers

False. Gain or loss is always recognized when realized for tax purposes is false.

Gain or loss is not always recognized when realized for tax purposes. The recognition of gain or loss for tax purposes depends on the specific tax rules and regulations of a particular jurisdiction. In some cases, certain transactions may result in a realized gain or loss, but it may not be recognized for tax purposes until certain conditions are met.

For example, in the United States, the Internal Revenue Service (IRS) has specific rules regarding the recognition of gain or loss for tax purposes. Some common examples include:

Like-kind exchanges: If a taxpayer exchanges one property for another similar property, known as a like-kind exchange, the gain or loss on the exchange may not be recognized immediately for tax purposes. Instead, it may be deferred until a future taxable event occurs.

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Fiscal policy in the Keynesian cross model Recall the following hypothetical economy from problem set 1: C = 140 + 0.6(Y-T) T = 200 G = 150 T = 150 (a) Use the Keynesian cross diagram and the specific equations here to show the effect of a 150 increase in government spending on equilibrium GDP. Label your graph completely (axes, each line, slopes and intercepts). (b) What is the government spending multiplier in this economy? (c) Say that government spending increases by 150. How much does GDP increase? Use the government spending multiplier to arrive at your answer Now assume investment is described by I = 100+ 0.37 (Return government spending to its original level of 150) (d) What is the government spending multiplier? Is fiscal policy more or less effective now that investment depends on income? (You don't need to do it here, but make sure that you can also explain why) Question 2. Manipulating the graphical model Consider an economy described by the following behavioral equations C = Co + GYd 1 = bo+by G=G And taxes (T) are exogenous, (a) Write an expression for aggregate demand (Z). What are the slope and intercept? [Remember the slope includes everything that varies with income, and the intercept includes all the terms that are constant (do not vary with income)) (b) Use the Keynesian cross diagram and the specific equations here to show the solution for equilibrium income graphically. Label your graph completely (axes, each line, slopes and intercepts) (c) Housing values crash, substantially reducing total wealth in the economy What is one way this shock could affect aggregate demand? Include in your answer (1) which component of aggregate demand is affected, and (2) which parameter Explain briefly Show the effect of this shock graphically. Does equilibrium income increase or decrease? ii. (b) Use the Keynesian cross diagram and the specific equations here to show the solution for equilibrium income graphically Label your graph completely (axes, each line, slopes and intercepts). (c) Housing values crash, substantially reducing total wealth in the economy What is one way this shock could affect aggregate demand? Include in your answer (1) which component of aggregate demand is affected, and (2) which parameter Explain briefly ii. Show the effect of this shock graphically. Does equilibrium income increase or decrease? Question 3. Investment and income Let's consider a case where investment depends on output. Suppose the economy is characterized by the following behavioral equations C = Co + GY Ya = Y-T 1 = b + b Y Government spending and taxes are constant. Note that investment now increases with output (a) Solve for equilibrium income, (b) The multiplier What is the value of the multiplier? ii For the multiplier to be positive, what condition must c,+b, satisfy? ili Is fiscal policy more or less effective when b, is positive or when b, is zero (if b, is zero, then investment is exogenous)? Explain why (the intuition, not the mathematical mechanics) [Hints: Another way to phrase this question would be " is the multiplier bigger when by is positive or when b, is zero"? Your answer should also be consistent with your answer to Question 1(e), above)

Answers

When investment depends on income, fiscal policy becomes less effective. An increase in GDP due to government spending leads to higher taxes, reducing disposable income and consumption.

(a) To show the effect of a $150 increase in government spending on equilibrium GDP, we can use the Keynesian cross diagram. The equation for aggregate demand (Y) is given by:

Y = C + I + G

where C is consumption, I is investment, and G is government spending.

In this case, the consumption function is C = 140 + 0.6(Y - T), where T represents taxes. Since T is exogenous at 200, we can substitute it into the consumption function:

C = 140 + 0.6(Y - 200)

The investment function is not given, so we assume it remains constant at its original level. Thus, I = 100.

With government spending (G) increased by $150, we have G = 150.

Using these equations, we can construct the Keynesian cross diagram. On the horizontal axis, we have GDP (Y), and on the vertical axis, we have aggregate demand (Y). We plot the consumption function, investment, government spending, and the aggregate demand line.

The consumption function intercepts the Y-axis at 140, and its slope is 0.6. The investment line is a horizontal line at 100, and the government spending line is a horizontal line at 150. The aggregate demand line is the sum of consumption, investment, and government spending.

(b) The government spending multiplier (M) represents the change in equilibrium GDP resulting from a $1 change in government spending. In this case, the government spending multiplier can be calculated as:

M = 1 / (1 - MPC)

where MPC is the marginal propensity to consume. From the consumption function, we can see that the MPC is 0.6.

Therefore, the government spending multiplier is:

M = 1 / (1 - 0.6) = 1 / 0.4 = 2.5

(c) If government spending increases by $150, we can use the government spending multiplier to determine the change in GDP. The formula for the change in GDP (∆Y) is given by:

∆Y = M ∆G

Substituting the values, we have:

∆Y = 2.5 * $150 = $375

Therefore, GDP increases by $375.

(d) In this case, investment depends on income. The government spending multiplier remains the same as calculated in part (b). Fiscal policy becomes less effective when investment depends on income because any increase in GDP due to government spending will lead to an increase in taxes and, therefore, a decrease in disposable income. This reduction in disposable income reduces consumption and counteracts the initial increase in GDP caused by government spending. As a result, the overall impact on GDP is dampened compared to the case when investment is exogenous.

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activities not on the critical path have a slack time equal to zero.

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Activities not on the critical path have a slack time equal to zero.Activities not on the critical path have zero slack time, meaning they cannot be delayed without impacting the project's overall timeline. Slack time is the flexibility in timing for non-critical activities, but when it is zero, any delay will affect the project's completion date.

Slack time, also known as float, refers to the amount of time an activity can be delayed without affecting the project's overall timeline. In project management, the critical path is the sequence of activities that determines the project's minimum duration. Activities on the critical path have no slack time since any delay in these activities will directly impact the project's completion date.

On the other hand, activities that are not on the critical path have some flexibility in terms of timing. These activities have float or slack time, which means they can be delayed without delaying the project's completion.

However, it is important to note that slack time for non-critical activities is not infinite. It is the difference between the total float available for an activity and the actual duration of that activity. If an activity's total float is zero, it means there is no room for delay, and any delay in that activity will impact the project timeline.

Activities with zero slack time require careful monitoring and management to ensure they are completed as planned. Although they may not be on the critical path, delays in these activities can still have downstream effects on subsequent tasks.

Therefore, it is crucial for project managers to closely track activities with zero slack time to prevent any unexpected delays that could impact the project's overall schedule.

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Fidelity Select Semiconductors Portfolio is a mutual fund. The fund invests primarily in common stocks. It invests at least 80% of its assets in securities of companies principally engaged in the design, manufacture, or sale of semiconductors and semiconductor equipment. The fund invests in domestic and foreign issuers. It uses fundamental analysis of factors such as each issuer's financial condition and industry position, as well as market and economic conditions, to select investments.
A Russia-based investor buys a USD-denominated shares issued by Fidelity Select Semiconductors Portfolio
What is the total return to the investor if:
shares issued by Fidelity Select Semiconductors Portfolio will decrease in value over one year time horizon
the US dollars subsequently appreciates in value relative to Russian Ruble (RUB)
Choose one answer:
a) Lower than the ETF’s total return.
b) The same as the ETF’s total return
c) Higher than the ETF’s total return.

Answers

The total return to the investor would be lower than the ETF's total return if shares issued by Fidelity Select Semiconductors Portfolio will decrease in value over one year time horizon.

The total return of an investment takes into account both capital appreciation or depreciation and any dividends or distributions received over a specific time period.

In this scenario, if the shares issued by Fidelity Select Semiconductors Portfolio decrease in value over a one-year time horizon, the investor will experience a capital loss on their investment. However, it is important to note that the total return is also influenced by the exchange rate between the USD and the Russian Ruble (RUB).

If the US dollars subsequently appreciate in value relative to the Russian Ruble, it means that each USD will be worth more in terms of RUB. This appreciation in the exchange rate can offset some of the capital loss experienced from the decrease in the value of the ETF shares.

However, since the shares are expected to decrease in value, the capital loss is likely to outweigh any potential gains from the exchange rate appreciation. Therefore, the total return to the investor in this scenario would be lower than the ETF's total return.

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The inverse demand for good X is given by PX​=25−0.005QX​+0.15Py​+0.11 where PX​ is the price of X,PY​ is the price of Y,I is income, and QX​ is the quantity demanded of good X. The inverse demand is just price as a function of quantity instead of quantity as a function of price. To get the demand function, just solve the equation for QX​. You should do this before answering the following. Goods X and Y are X is a good.

Answers

The inverse demand function for good X is given by the following expression:

[tex]PX​=25−0.005QX​+0.15Py​+0.11[/tex]

where PX​ is the price of X, PY​ is the price of Y, I is income, and QX​ is the quantity demanded of good X. In order to find the demand function for good X, we need to solve the equation for QX​.

So, we have,

[tex]PX​=25−0.005QX​+0.15Py​+0.11[/tex]

Rearranging this equation, we get,0.005

[tex]QX​=25−PX​−0.15Py​−0.11[/tex]

[tex]QX​=25−PX​−0.15Py​0.895[/tex]

[tex]QX​=25−PX​−0.15Py​[/tex]

[tex]QX​=(25−PX​−0.15Py​)/0.895[/tex]

The demand function for good X is given by

[tex]QX​=(25−PX​−0.15Py​)/0.895.[/tex]

Now, consider the demand for good Y which can be expressed as

[tex]QY=βI-αPY[/tex]

where QY is the quantity demanded of good Y, I is the income, PY is the price of Y, and β and α are constants. Therefore, the equation above indicates that demand for good Y is positively related to income (I) and negatively related to the price of Y (PY).

So, from the equation above, we can see that the price of Y (PY) has an impact on the quantity demanded of good X (QX).

Therefore, good X and Y are substitute goods. As the price of Y increases, consumers will demand less of Y and more of X.

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Can
someone pleas explain why this is wrong
The equation for a Supply curve is given by: Selected Answer: — D. "The quantity supplied has increased" Answers: P=4+Q Assume now that the Supply curve changes to the following equation: P

Answers

The given equation, P = 4 + Q, does not accurately represent a supply curve and would not provide meaningful insights into the relationship between price and quantity supplied.

The equation you provided, P = 4 + Q, does not correctly represent a supply curve. In economics, a supply curve shows the relationship between the price of a good or service and the quantity supplied by producers. The correct equation for a supply curve should have the price (P) as a dependent variable and the quantity supplied (Q) as an independent variable.

The equation you provided, P = 4 + Q, implies that the price is determined by adding a constant value of 4 to the quantity supplied. This equation suggests that the price increases as the quantity supplied increases, which contradicts the typical upward-sloping supply curve.

A correct equation for a supply curve would be something like Q = a + bP, where Q represents the quantity supplied, P represents the price, and a and b are coefficients that determine the slope and position of the supply curve.

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Analyzers commonly match their rivals' prospecting actions through the use of imitation intuition big data monitoring

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Analyzers commonly match their rivals' prospecting actions through the use of big data and monitoring. So the correct option is C .

Analyzers is one of the strategies that could be utilized to help match rivals' prospecting actions. The approach of a company to the market is largely determined by its competitors, as well as its own strategy. Imitation, intuition, big data, and monitoring are all techniques that companies use to keep up with their rivals' strategies.

However, of these techniques, using big data and monitoring is the most effective way to maintain a competitive edge.When it comes to analyzing big data, there are a variety of tools available, some of which are free and others that must be purchased. To accomplish their objectives, businesses may use a combination of these tools. Furthermore, businesses that use data analytics are usually more successful in discovering patterns that enable them to identify problems and predict changes, and as a result, they can react more effectively.

Analyzing big data provides a competitive advantage by allowing businesses to make well-informed choices based on empirical data rather than assumptions or instinct. Analyzing big data is a business procedure that has a significant impact on a company's bottom line by revealing trends, identifying potential customers, and improving products and services.

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If the appropriate discount rate for the deli expansion is \( 9.6 \% \), what is the NPV of the deli expansion? (Round to the nearest cent.)

Answers

To calculate the net present value (NPV) of the deli expansion, we need to discount the future cash flows generated by the project to their present value. Assuming the appropriate discount rate is 9.6%, we can use the following formula:

NPV = CF₀ + CF₁/(1+r) + CF₂/(1+r)² + ... + CFₙ/(1+r)ⁿ

where CF represents the cash flow in each period and r is the discount rate. The subscript n denotes the last period.

To calculate the NPV, we would need information about the cash flows associated with the deli expansion project. Unfortunately, the given question does not provide any specific cash flow figures or time periods, making it impossible to calculate the NPV.

For a comprehensive answer with detailed calculations, please provide the necessary data regarding the cash flows and time periods associated with the deli expansion project.

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Discuss the importance of accountability in the nonprofit sector
(4 - 6 sentences)

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Accountability is of utmost importance in the nonprofit sector as it ensures responsible and ethical use of resources, maintains transparency with stakeholders, and upholds the public trust.

Accountability plays a vital role in the nonprofit sector for several reasons. First, nonprofit organizations often rely on public support, including donations and grants. Being accountable to donors, funders, and other stakeholders is crucial in maintaining their trust and ensuring that resources are used responsibly and in line with the organization's mission.

Second, accountability helps maintain transparency and ethical practices within the nonprofit sector. Nonprofits are expected to operate in the best interest of their beneficiaries, and being accountable ensures that the organization remains committed to its mission and upholds ethical standards in its programs and services.

Furthermore, accountability facilitates effective decision-making and governance. By establishing clear lines of responsibility and oversight, accountability mechanisms ensure that decision-makers are held responsible for their actions and that decisions are made in the best interest of the organization and its stakeholders.

Lastly, accountability enables impact assessment and evaluation of the organization's effectiveness. By measuring and reporting outcomes, nonprofits can demonstrate their impact, improve their programs, and respond to the evolving needs of the communities they serve.

Overall, accountability is essential in the nonprofit organization as it promotes responsible stewardship of resources, transparency, ethical practices, effective decision-making, and the ability to demonstrate impact. It helps build trust, credibility, and sustainability for nonprofit organizations, ensuring that they continue to fulfill their mission and make a positive difference in society.

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Consider the aggregate supply (AS) curve. Which of the following is correct?
• In the long run AS curve, prices of goods and services are fixed.
• In the long run AS curve, nominal wages change readily to changes in the price level.
• In the long run AS curve, nominal wages and output prices are not variable fixed.
• In the long run AS curve, nominal wages are not changing but output prices are changing.
• All the other answers are incorrect
Yunkai wants to know more about interest rates and the price level. Suppose the interest rate falls because of the level of prices changes. Which of the following would be correct?
• The interest rate falling would cause an increase in aggregate demand.
• The interest rate falling would cause a decrease in aggregate demand.
• The interest rate falling would cause a rise in real GDP.
• The interest rate falling would cause a decrease in real GDP.
• All the other answers are incorrect

Answers

In the long run AS curve, nominal wages and output prices are not variable fixed. This means that in the long run, the AS curve assumes that nominal wages and prices of goods and services are not changing.


For the second question, if the interest rate falls due to changes in the level of prices, it would cause an increase in aggregate demand. When the interest rate falls, borrowing becomes cheaper, which encourages consumers and businesses to spend more, increasing the aggregate demand.

Therefore, the correct answer is:
- In the long run AS curve, nominal wages and output prices are not variable fixed.
- The interest rate falling would cause an increase in demand.

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Most economists emphasize data or evidence that supports a hypothesis, putting less weight on evidence that may be contrary to their point of view. True False Question 23 Normative economics is the study of the way things are, according to the laws of economics. True False Keynesian economists believe that without government involvement the economy could tend toward a point of less than full employment. True False Question 25 Which of the following is an economic viewpoint that supports the idea of limited government? Keynesian Communism Mercantilism Austrian According to Adam Smith, the producer's self-interest is the key to a successful free market system. True False Question 27 2 pts Congress has the power to pass laws and control the purse strings, but by the proliferation of governmental agenessien been diluted. True False Which of the following is found in Adam Smith's book The Wealth of Nations? The invisible hand of self-interest in free markets directs the flow of resources. He explained how the profit motive, or the producer's self-interest, works to satisfy consumers wants. It is not due to the benevolence of the butcher, the brewer, or the baker, that we expect our dinner, but from regard to their own self-interest. We address ourselves, not to their humanity but to their self-love, and never talk to them of our own necessities but of their own advantages." All of the above. Question 29 2 pts Which of the following is an example of labor? You cut your grass with a push mower. You cut your neighbor's grass for free. You build a table in your basement to use in your dining room. None of the above. Let's say you have to make a decision to paint your bedroom yourself or hire someone. The most productive decision you can make would depend on how much money you have to pay someone to paint the room. how much money you are giving up in the best alternative choice if you paint the room yourself. if your marginal benefit is greater than your marginal cost. All of the above. Question 31 Which of the following statements represent the view of Keynesians? We should raise taxes on the wealthy. We should lower taxes, especially on the wealthy, to stimulate investments and growth. We should ease the burden of government regulations on businesses to encourage growth in jobs. None of the above

Answers

Most economists emphasize data or evidence that supports a hypothesis, putting less weight on evidence that may be contrary to their point of view. False. They should not put less weight on evidence that may be contrary to their point of view. Normative economics is the study of the way things ought to be, according to the laws of economics.

True. Keynesian economists believe that without government involvement the economy could tend toward a point of less than full employment. True. Which of the following is an economic viewpoint that supports the idea of limited government? Austrian. According to Adam Smith, the producer's self-interest is the key to a successful free market system. True.

Congress has the power to pass laws and control the purse strings, but by the proliferation of governmental agencies have been diluted. True.What is found in Adam Smith's book The Wealth of Nations? All of the above.Which of the following is an example of labor. You build a table in your basement to use in your dining room.

The most productive decision you can make would depend on how much money you are giving up in the best alternative choice if you paint the room yourself. Which of the following statements represent the view of Keynesians. We should raise taxes on the wealthy. False.

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Do you support the idea of regulating food advertising to children? Does food advertising really impact what children eat, given that parents are doing the shopping? How much impact should advertisers be allowed to have on children, whose minds cant's discriminate the way adults’ can?

Answers

The question of regulating food advertising to children raises considerations regarding the impact of such advertisements on children's food choices and the role of parents in influencing those choices. This response will explore the topic and provide an analysis of the situation.

Regulating food advertising to children is a complex issue that requires careful evaluation.

Research suggests that food advertising does have an impact on children's food preferences and consumption patterns. Children are a vulnerable audience, as their minds are still developing, and they may have difficulty discerning advertising tactics and distinguishing between healthy and unhealthy food choices.

Advertisers have the power to influence children's preferences and shape their dietary habits, which can potentially have long-term effects on their health.

While parents play a crucial role in shaping their children's eating habits, it is important to recognize that they face challenges in countering the influence of advertising.

Children are exposed to a significant amount of advertising outside of their parents' control, such as through television, the internet, and mobile devices.

Moreover, advertisers often target children directly, using persuasive techniques designed to capture their attention and influence their preferences.

Regulating food advertising to children can help create a healthier food environment by promoting the advertising of nutritious food options and limiting the promotion of unhealthy foods.

It can also support parents in their efforts to provide a balanced and nutritious diet for their children.

However, finding the right balance is essential to avoid excessively restricting commercial speech or burdening advertisers with impractical regulations.

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On July 1, 2021, Mastenvear Industries issued $690,000 of 6% bonds, dated July 1. Interest is payable semiannually on June 30 and December 31. The bonds mature in 3 years, on June 30 of the final year. The market interest rate for bonds of similar risk and maturity is 10%. The entire bond issue was purchased by United Intergroup, Inc. Due to unforeseen circumstances the company decided to sell its debt investment for $725,000 on January 5, 2022. The Discount on bond investment had a credit balance of $23,000 when the debt investment was sold Calculate the Gain/Loss on Sale of Investment recorded by United upon sale of the bond.

Answers

The gain on the sale of the bond investment recorded by United Intergroup, Inc. is $33,000.

To calculate the gain or loss on the sale of the bond investment, we need to determine the carrying value of the investment at the time of sale. The carrying value is the initial investment cost adjusted for any premium or discount amortization.

The initial investment cost was $690,000, and the discount on bond investment had a credit balance of $23,000 when the investment was sold. This means that the carrying value of the investment at the time of sale was $690,000 - $23,000 = $667,000.

Since the bond was sold for $725,000, the gain on the sale is the difference between the selling price and the carrying value: $725,000 - $667,000 = $58,000.

However, we need to consider that interest had been earned from the purchase date (July 1, 2021) to the sale date (January 5, 2022). This period is approximately 6 months. The interest earned can be calculated using the market interest rate of 10%: $690,000 * 6% * (6/12) = $20,700.

Therefore, the net gain on the sale of the bond investment is $58,000 - $20,700 = $37,300.

United Intergroup, Inc. recorded a gain of $33,000 upon the sale of the bond investment. This gain represents the difference between the selling price and the carrying value of the investment, adjusted for the interest earned during the holding period. The gain indicates that the company received more proceeds from the sale than the carrying value of the investment, resulting in a positive outcome for United Intergroup, Inc.

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appropriations of funds by congressional legislators for projects in their districts are known as

Answers

Pork-barrel projects

Explanation: Pork-barrel politics is the legislator's practice of slipping funding for a local project into a budget. The project may have nothing to do with the bill and may benefit only the legislator's home district.

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A "sales mix" is best described by which of the following?
A) A factor that restricts production or sales of a product
B) Costs that were incurred in the past and cannot be changed
C) Expected future costs that differ among alternatives
D) The relative number of all products to be sold

Answers

A sales mix is best described by "The relative number of all products to be sold." Hence, the correct option is D.

Sales mix refers to the proportion of different products or services sold by a business. A company's sales mix, on the other hand, is a weighted average of the sales of all of its products.

The sales mix can be expressed as a percentage or in terms of the actual number of units sold. Because of the impact of product margins, the mix can also be measured in terms of revenue or profits per unit sold.

It includes factors such as product variety, pricing, customer preferences, and market demand. An effective sales mix strategy involves optimizing the mix to maximize revenue and profitability while meeting customer needs.

Therefore, the correct option is D.

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Handel Ltd acquired a depreciable asset costing $80 000 on 1 July 2016. For accounting purposes it is to be depreciated on a straight-line basis over five years with an assumed zero scrap value. For tax purposes it is to be depreciated on a straight-line basis over four years with an assumed zero scrap value. The tax rate is 30%. What are the carrying amount and tax base at 30 June 2019 (the end of the third year)?
Group of answer choices
carrying amount $20 000 and tax base $32 000
carrying amount $48 000 and tax base $40 000
carrying amount $48 000 and tax base $60 000
carrying amount $32 000 and tax base $20 000
None of the given answers.

Answers

The carrying amount and tax base at 30 June 2019 (the end of the third year) will be $48,000 and $40,000 respectively.

Carrying amount and tax base at 30 June 2019 will be $48,000 and $40,000 respectively.

Depreciation expense calculation:

The depreciation expense as per straight-line depreciation method for 5 years will be calculated as follows:

80,000 / 5 = $16,000 per year

The tax will be calculated on the basis of straight-line depreciation method for 4 years. Hence the annual depreciation will be as follows:

80,000 / 4 = $20,000 per year

To calculate the carrying amount and tax base at 30 June 2019, we need to find out the accumulated depreciation, carrying amount, and tax base as of that date. The calculations for each of these are as follows:

Accumulated depreciation as of 30 June 2019:

Accumulated depreciation after 3 years will be:

$16,000 × 3 years = $48,000

Carrying amount as of 30 June 2019:

Carrying amount as of 30 June 2019 will be the difference between the cost of the asset and the accumulated depreciation:

$80,000 – $48,000 = $32,000

Tax base as of 30 June 2019: Tax base will be the written down value of the asset for tax purposes. The written down value will be the initial cost minus the accumulated tax depreciation:

$80,000 – ($20,000 × 3 years) = $20,000

The carrying amount as of 30 June 2019 is $32,000 and the tax base is $20,000. The tax rate is 30%.

Therefore, tax base as of 30 June 2019 will be $20,000 × 30% = $6,000.

The carrying amount as of 30 June 2019 will be $32,000 - $48,000 × 30% = $14,400.

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Explain the factors used in the formula, how the ratio assists the investor in evaluating a companys performance, and whether it assesses liquidity, solvency, or profitability. Using the numbers in the recent Balance Sheet (Statements of Financial Position) and Income Statement (Statement of Operations) of a U.S. merchandising/retail company (state page numbers from the Form 10-K Annual Report), show your calculation and analyze the average collection period and accounts receivable turnover ratios for a public corporation and its competitor. Describe if the company is doing well compared to its competitors ratio results. Part 1: Explain why creative strategy is necessary for direct marketing? Part 2: Create the advertising content for one FMCG product in Vietnam market? The content must be had the target audience of product/ service, the customer insight of product/ service, create the idea advertising content the accumulated depreciation account is called a(n) describe a process you would use to create the perpendicular bisector to a segment because economic and competitive environments frequently change, organizations should:a, eliminate any long-term strategic plans, but devise short-term tactical plans and update them once a year. b. save time and money by cutting back on planning c. develop contingency plans d. set a long-term plan and stick to it. Debbie wants to sell you an investment that will pay $9.000 next year, $4,000 in two years, and $12,000 in three years. If your discount rate is 7.75%, then what's the most you should be willing to pay for this investment today? (round to the nearest cent) For a steel alloy it has been determined that a carburizing heat treatment of 13 h duration at 832C will raise the carbon concentration to 0.54wt% at a point 3.9 mm from the surface. Estimate the time necessary to achieve the same concentration at a 5.9 mm position for an identical steel and at a carburizing temperature of 1030C. Assume that D is 4.910 m/s and Q is 119 kJ/mol.i ..... h As you learned about the importance of vision and mission statements for organizations, you also identified how goals and objectives are achieved and measured. SMART goals is a strategy used to measure goals and objectives and can be applied to individual goals as well. For your discussion, select a Fortune 500 company that is publicly traded (preferably one you will be using for your strategic audit). In your initial post, address the following: Identify the company's mission and vision statements and apply the SMART concept. Evaluate the statements and provide your recommendations if they meet the SMART concept. If they do not, provide recommendations for improvements. During the 1850s, slaves probably gained their freedom most frequently bya. running away.b. being emancipated in their masters' will.c. rebellion.d. appeal to the courts.e. self-purchase or voluntary emancipation. Diamond Bank expects that the Singapore dollar will depreciate against the U.S. dollar from its spot rate of $0.41 to $0.40 in 45 days. The following interbank lending and borrowing rates exist: Lending Borrowing Currency Rate RateU.S. dollar 6.7% 7.1%ingapore 20.5% 27.5%dollarDiamond Bank considers borrowing 11 million Singapore dollars in the interbank market and investing the funds in U.S. dollars for 45 days. Estimate the profits (or losses) that could be earned from this strategy. Should Diamond Bank pursue this strategy? Assume 360 days in year for your calculations. Do not round intermediate calculations. Round your answer to the nearest Singapore dollar. Enter your answer as a positive value.This strategy results in a loss of S$Therefore, Diamond Bank should not pursue this strategy. As railroads spread into texas and across the plains the cattle business:________ Which of the following techniques is NOT anexample of cinematic invisibility?a.Low-angle shotb.Fade-out/fade-inc.Jump cutd.Cutting on action Boral can choose to Enter (E) a market or not (N). This choice is observed by its rival, CSR, who can then choose either to E or N. If the actions are (E,E), the payoffs are (10,30) to Boral and CSR, respectively. If the actions are (E,N), where the first action is Boral's and the second is CSR's, the payoffs are (30,10). If the actions are (N,E) the payoffs are (30,10). If the actions (N,N) the payoffs are (10,30). In the credible (subgame perfect) equilibria, what actions do we see being played by Boral and CSR, respectively? (N,N) (E,N) or (N,E) (E,N) (E,E) or (N,N) (E,E) or (N,E) Tom and Marry need to decide where to meet for the first time. They can either go to see a movie (M) or meet at a restaurant (R). Tom is keen to see Marry but Marry prefers not to see Tom. If they both choose M, the payoffs are (5,2) for Tom and Marry, respectively. If they both opt for R, Tom gets 7 , and Marry gets 1 . If Tom goes for M and Marry goes for R, the payoffs are (2,6) for the pair. If Tom opts for R and Marry M, Tom and Marry get 3 and 8 respectively. In the subgame perfect equilibrium, which of the following statements is/are true? Tom will meet Marry regardless of who makes the decision first. Tom will meet Marry if he can choose where to go first. Tom will not meet Marry if he can choose where to go first. Tom will not meet Marry regardless of who makes the decision first. None of the other statements are correct. Solve for measure of angle a.a1466a = [ ? ]If 2 secant lines intersect outside a circle: C-62