The fundamental data about events that affect the organization called accounting system. monitor the flow of data pertaining to all cash flows that have an impact on an organisation in a transaction processing system (TPS).
A collection of accounting procedures with built-in controls is referred to as an accounting system.An accounting system’s goal is to keep track of business transactions and compile them into reports that decision-makers can use to monitor, assess, and improve operations.Although technology is technically conceivable, very tiny businesses are the only ones that normally use a purely paper-based accounting system.The cornerstone of accounting systems is often readily available accounting software, with any additional data entry techniques needed.A typical accounting system includes all of an organization’s primary functional areas, including the purchase of products.
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sally company sells 33,000 units at $43 per unit. variable costs are $30.96 per unit, and fixed costs are $214,600. determine (a) the contribution margin ratio, (b) the unit contribution margin, and (c) operating income.
The contribution margin ratio is 36% , the unit contribution margin 15%, and operating income is 110,500$.
What do fixed costs actually mean?Any increase or decrease in sales or production quantities has no impact on fixed costs, which are expenses that never change. Because they are not directly involved in the process of creating a good or rendering a service, this is the case.
Which recurring expenses come to mind?Fixed costs include things like rent or lease payments, salary, utility bills, insurance, and loan repayments. Some taxes, like business licenses, are also recurring expenses.
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using the following data, calculate the unemployment rate. population: 24.2 million working age population: 20.8 million unemployed: 2.1 million labor force participation rate: 88.7% a. 15.2% b. 11.4% c. 9.2% d. 14.6%
Using the data, the unemployment rate is calculated as (b) 11.4%
The percentage of the labor force without a job is known as the unemployment rate. It is a lagging indicator, which means that rather than foretelling changes in economic conditions, it often rises or decreases in response to them. The unemployment rate is predicted to increase when the economy is struggling and there are few jobs available, and vice versa.
88.7% of the population is in the labor force.
The population of working age: 20.8 million
Therefore, the labor force size = 20.8 * 0.887 million = 18.4496 million.
2.1 million people are jobless.
The current unemployment rate is calculated as follows:
Unemployment rate = Unemployed * 100 / Labor force
Unemployment Rate = (2.1 * 100) / 18.4496 =11.3823605932%
Therefore, Unemployment Rate = 11.4%
Therefore, Option B is the right choice.
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Form utility is created by making a product available at a location where customers wish to purchase it.TrueFalse
The statement is False. The value given to a product by virtue of the fact that the materials and components that comprise it have been combined to make the finished product is known as form utility.
What is form utility ?Form utility operates on the assumption that a customer can see value in a finished version, or form, of a product rather than individual parts. Customers, for example, may perceive a scarf to be more valuable than a collection of yarn because they can wear the scarf and use it to keep warm.
Form utility offers marketing and product development professionals an opportunity to help a business create and market products that meet customer wants and needs. If you want to work in these fields, understanding form utility can help you advance your knowledge and skills to build a successful career.
Learning about this property can help you make decisions and develop strategies to influence a company's growth and profitability.
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in fine fettle looks at its competitors and finds that their average promotional spending ranges from $100,000 to $250,000. therefore, the promotional budget is set at $200,000. questiontextin fine fettle's management reviews its forecasted sales volume for the turmeric bar and sets is promotional budget at $150,000.in fine fettle's management reviews its revenues and expenses and allocates promotional spending based on what management believes it has to spend.in fine fettle's management reviews what it is trying to achieve with promotion and sets the budget based on anticipated expenses.
A promotional budget is money set aside for advertising, marketing, and sales of a product or brand.
What is promotional budget?The budget for promoting a new or existing product will be determined by business analytics, market research, and the expected return on investment.There are four basic approaches to determining a company's promotional budget:
The affordable market: Fine Fettle's management reviews its promotion goals and creates a budget based on anticipated expenses.The percentage-of-sales approach: The Fine Fettle's evaluates the predicted sales volume for the turmeric bar and allocates a promotional budget of $150,000 to it.The competitive-parity method: The Fine Fettle examines its competitors' promotional spending and discovers that it ranges from $100,000 to $250,000 on average.Fine Fettle's management do its review by its revenues and expenses and allocates promotional spending based on what management believes it has to spend.To learn more about promotional budget refer to :
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suppose the fed sells $25,000 in bonds to luna corporation. luna pays for the bonds with a check drawn on fifth third bank, which the fed deposits. which of the following happen when fifth third bank pays the check?
The reserves held by Fifth Third Bank at the Fed have grown by $25,000, and the reserves held by all banks have increased by $25,000 as well.
What happens to the money supply when government sells bonds?When the Fed purchases bonds on the open market, it expands the amount of money available to the general public by exchanging the bonds for cash. In contrast, if the Fed sells bonds, it reduces the money supply because it takes money out of circulation in return for bonds.
Price stability and full employment, the Federal Reserve's two legally mandated goals, are necessary to ensure a healthy and expanding economy in the United States. In the past, the Fed has achieved this via modifying reserve requirements, conducting open market operations (OMO), and influencing short-term interest rates.
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an analyst gathered the following information about a company whose fiscal year end is december 31. net income for the year was $23.7 million.
The resulting book value per share will be the closest to $27.
What is book value?In accounting, an asset's book value is its value as determined by the balance in its balance sheet account. Asset values are determined by deducting any depreciation, amortisation, or impairment expenses from the asset's initial cost. The total assets of a corporation, less intangible assets and liabilities, are often considered to be its book value[clarification needed]. The inclusion of goodwill, intangible assets, or both may vary depending on the methodology used to calculate book value in practise. It is never taken into account how valuable a company's employees are as part of its intellectual capital. The statistic is sometimes defined as "tangible book value" when intangible assets and goodwill are specifically omitted. In the UK, the phrase "net asset value" can also refer to a company's book value.
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isolating relevant costs is desirable because blank . multiple select question. managers prefer to see all costs and benefits associated with a decision all information needed for the total cost approach is rarely available critical information may be overlooked with the total cost approach irrelevant costs may be used incorrectly in the analysis
Isolating relevant costs is desirable because of the following:
B. all information needed for the total cost approach is rarely available.
C. critical information may be overlooked with the total cost approach.
D. irrelevant costs may be used incorrectly in the analysis.
Who is a manager?A manager can be defined as an individual who has been trained to acquire and distribute resources, as well as provide guidance, support, administrative control, and supervision to the employees who are working in a business organization, especially by being morally upright, well behaved, friendly, managing costs, and promoting the business's vison, culture, and values at all times.
As a general rule, the two (2) main goals that an operations manager must keep in mind include the following:
To keep costs as low as possible.To keep customers satisfied (effectiveness).Read more on managers here: brainly.com/question/24553900
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suppose that from 2014 to 2015, unemployment fell from 7.2 to 5.6% and inflation fell from 2.17 to 1.1%. an explanation of these changes might be that the
An explanation of these changes might be that the long run aggregate supply curve shifted to the left.
What causes the long-run aggregate supply curve to shift right?As the cost of essential inputs increases, the aggregate supply curve moves to the left, opening the door to a scenario in which output is lower, unemployment is higher, and inflation is higher.Stagflation is the term used to describe an economy that is experiencing both excessive inflation and slow growth at the same time.As productivity rises, the curve representing the total supply will move to the right.If the price of important inputs increases, it will shift back to the left; if it declines, it will migrate out to the right.Changes in inflationary expectations, shifts in the labor force and capital stock, shifts in government action (which is different from government spending), shifts in productivity, and supply shocks all affect how the short-run aggregate supply curve behaves.To learn more about supply curve refer
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travis bought a computer on sale at a 30% discount off of the original price. if travis's sale price was $440.00, what was the original price of the computer?
Travis purchased a PC during a deal for 30% less than the original cost. Travis sold the item for $440, making the original cost of the PC $628.57.
The Original Cost is what?The original cost of an asset refers to the total cost of acquisition. When determining an asset's initial cost, the total costs related to buying and using it are taken into consideration.
What does a sale price or a discounted price mean?The discount is represented in the advertisement as a percentage off the list price. As a result, a sale price of $70 will be achieved with a 30% discount on a $100 list price. Another way to understand the phrase is to say that it simply refers to the selling price of an item.
Discounted price= original price - x
Discounted price= x - 30x/100 = 70x/100
7x/10 = 440
x = 4400/7
= 628.57
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a contractor intends to bid on a job installing 30 airport security systems. because this will be a new line of work for the contractor, he believes there will be a learning effect for the job. after reviewing time records from a similar type of activity, the contractor is convinced that an 85 percent curve is appropriate. he estimates that the first job will take his crew eight days to install. how many days should the contractor budget for a. the first 10 installations? (do not round intermediate calculations. round your final answer to 3 decimal places.) number of days b. the second 10 installations? (do not round intermediate calculations. round your final answer to 3 decimal places.) number of days c. the final 10 installations? (do not round intermediate calculations. round your final answer to 3 decimal places.) number of days
42.888 days should the contractor budget for a. the first 10 installation.
a) First 10 installations -
Time for first 10 installations = T1 x T.F.(Total time)10
Now T1= 8 days
T.F.(Total time)10 = 7.116
Time for first 10 installations = 8 x 7.116 = 56.928 days
a) Second 10 installations -
similarly Time for second 10 installations = T1 X ( T.F.(Total time)20 - T.F.(Total time)10) = 8 (12.402-7.116) = 42.888 days
A production price range is an estimate of the cash required to take a production challenge from initiation to closure, together with all related expenses and prices which can be amassed all through the constructing process.
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assume the initial value of an investment is $1,000 and the growth rate is 8%. using the rule of 70, how many years will it take for the initial value to double? please choose the correct answer from the following choices, and then select the submit answer button. answer choices 8 years about 8.75 years 875 years 1 year
14 years will it take for the initial value to double.
How do you calculate a 70% rule?The rule of 70 is a method for calculating how many years it will take for someone's investment or money to double. The rule of 70 is a computation used to estimate how many years it could take to double an investment at a certain rate of return.The time it will take for your investment to double is calculated by dividing your growth rate by 70. Divide 70 by three, for instance, if your mutual fund has a three percent growth rate. As a result, the doubling time is 23.33 years since 70 times three equals 23.33.The mathematics of compounding are what led to the rule of 70. According to mathematics, a sum that has increased by rate r after t periods is equal to the sum at the beginning multiplied by the exponential of the growth rate r times the number of periods t.Learn more about the rule of 70 refer to :
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The _________ shows how the capital is structured in the business, including the value of assets and the amount the firm owes at a specific point in time.
balance sheet
The displays how the company's capital is organized, along with the value of its assets and the total amount of debt it owes at any given time.
Capital banking: What is it?Picture pertaining to capital, Simply put, capital refers to the funds that a bank has raised from its shareholders, other investors, and any profits that have been generated but not distributed.
Explain capitalization.Things that provide their owner with value or an advantage that fall under the broad definition of capital include a factory and its equipment, intellectual property like patents, or a person's or a company's financial holdings. Although money itself can be referred to as capital, the phrase is most frequently used to describe cash used to make purchases or investments.
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on october 1, 2021, culver corp. issued $936,000, 8%, 10-year bonds at face value. the bonds were dated october 1, 2021, and pay interest annually on october 1. financial statements are prepared annually on december 31.
The balance sheet will be:
Current liabilities:
Bond Interest payable $18,720
Long-term liabilities:
8% Bonds Payable $936,000
Debit accounts receivable and credit billings on construction contract generally can be defined as the journal entry should be made to recognize accounts receivable for long-term construction projects. This journal entry is a "billings in excess of costs" or liability account.
I = P x r x T
Where,
P = Principal = $936,000
R = Rate of Interest = 8% = 0.08
T = Time = 10 years
Hence,
I = $936,000 x 0.08 x 10
I = $748,800
October to December is 3 months
Thus,
Interest payable for 2021 = $74,880 x 3/12 = $18,720
There is a missing part in the question. The complete question can be seen below:
On october 1, 2021, culver corp. issued $936,000, 8%, 10-year bonds at face value. the bonds were dated october 1, 2021, and pay interest annually on october 1. financial statements are prepared annually on december 31.
Show the balance sheet presentation of bonds payable and bond interest payable on December 31, 2021.
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the type of health insurance coverage that may specify the maximum payment amount for each type of operation is:
Surgical expense is the category of health insurance that has the potential to set a maximum payment threshold for various types of operations.
How do you define surgical insurance?Surgical expense insurance is a form of insurance plan that aids in paying for the costs associated with procedures. It defines precise sums that are accessible for particular surgical operations. The costs of surgery would be covered by a reliable health insurance plan. Expenses for indefinite hospital stays or surgical procedures are not covered.
The surgeon's fee for specific surgeries or medical procedures is covered by surgical expenditure insurance, typically up to a maximum for each type of treatment. Regular medical insurance policies cover the insured's costs for things like prescription drugs, home or office visits from doctors, and other medical expenses.
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an automobile whose speed is increasing at a rate of 0.800 m/s2 travels along a circular road of radius 10.0 m. (a) when the instantaneous speed of the automobile is 6.00 m/s, find the tangential acceleration component. magnitude
The instantaneous speed of the automobile is 6.00 m/s, find the tangential acceleration component is 0.800 ms⁻²
Acceleration:
Acceleration refers the object is said to be accelerated if there is a change in its velocity.
Given,
An automobile whose speed is increasing at a rate of 0.800 m/s2 travels along a circular road of radius 10.0 m.
Here we need to find the instantaneous speed of the automobile is 6.00 m/s, find the tangential acceleration component.
Here we know that, the tangential acceleration component of the car is simply equal to the change of the tangential speed divided by the time taken is written as,
at = Δv / Δt
and this rate of change is already given by the problem, 0.800 m/s^2, so the tangential acceleration of the car is 0.800 ms⁻²
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which of the following classifications of property maintenance includes the day-to-day cleaning and upkeep required to maintain value and tenants?
Custodial maintenance is one of the types of property maintenance that comprises the routine cleaning and maintenance needed to keep a property's value and renters.
What are some examples of classification?You can categorize a set of objects based on a characteristic they share, such as berries or geometric forms. You could group apples into one category, bananas into the other, and on and on. Similar to this, triangles, polyhedral, and other geometric patterns can be categorized.
What are types and classification?As per similarities and differences, recognized species are divided into several groupings or taxa, which is the definition of classification. Phylogenetic classification, Spontaneous classification, and Manufactured classification are the three categories of categorization.
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assume the economy is at full employment and that investment spending declines dramatically. if the goal is to restore full employment, government fiscal policy should be directed toward
Assume the economy is at full employment and that investment spending declines dramatically. if the goal is to restore full employment, government fiscal policy should be directed toward an excess of government expenditures over tax receipts.
Investment is the willpower of cash to purchase of an asset to reap an growth in cost over a time frame. funding calls for a sacrifice of a few gift asset, along with time, money, or attempt. In finance, the motive of investing is to generate a return from the invested asset.
An investment includes setting capital to use these days with a view to boom its price over the years. Funding calls for setting capital to paintings, inside the form of time, cash, effort, and many others., in hopes of a more payoff within the future than what became initially installed.
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Which of the following is the simplest form of production?
(a) Subsistence
(b) Domestic consumption
(c) Surplus and export
(d) Cottage industry
The following is the simplest form of production Cottage industry. Thus, option (D) is correct.
What is the industry?An industry is a group of productive firms or organizations that manufacture or offer goods, services, or income sources. In economics, industries are divided into four categories: primary, secondary, tertiary, and quaternary; secondary industries are further divided into heavy and light industries.
Locally made handicrafts and textiles, which continue to be the foundation of many rural economies worldwide, are an example of a cottage industry. The work for such a setup for production is typically provided by members of the household and locally procured materials.
Therefore, Thus, option (D) is correct.
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in the case the ugly side of beautiful nails, the nail salon industry violated which of these worker rights? multiple choice to privacy. to organize and bargain collectively. to due process on the job. to a safe and healthy workplace.
In the case the ugly side of beautiful nails, the nail salon industry violated the worker rights to a safe and healthy workplace.
What are worker rights?Labor rights, also known as workers' rights, are legal and human rights that pertain to labor relations between employees and employers. These rights are enshrined in domestic and international labor and employment legislation. In general, these rights have an impact on working conditions in employment relationships.
Several university studies and articles from reputable news outlets, such as the New York Times, have condemned the numerous violations of nail salon employees' worker's rights. The nail salon employees were not provided with a safe and healthy working environment.
Therefore, the worker right to a safe and healthy workplace is violated in the case the Ugly Side of Beautiful Nails.
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Assume a project has normal cash flows (i.e., the initial cash flow is negative, and all other cash flows are positive). Which of the following statements is most correct?
Question 15 options:
All else equal, a project's IRR increases as the cost of capital declines.
All else equal, a project's NPV increases as the cost of capital declines.
All else equal, a project's MIRR is unaffected by changes in the cost of capital.
All else equal, the Payback will be lower, the higher the cost of capital.
In the given situation the statement is most correct is A project's NPV increases as the cost of capital declines. Thus the correct option is B.
What is Project?A project is a collection of tasks that must be finished in order to achieve a particular goal. Projects can be managed by one person or one hundred, and they can be simple or complex. it consists of a number of predetermined goals that must be completed in a specific time frame.
As the Weighted average cost of capital decreases, the NPV of a project rises. It is accurate to say that if the cost of capital decreases, the net present value will rise. Companies utilize the capital budgeting process to choose which projects to fund.
Therefore, option B is appropriate.
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Suppose Grandpa Walton deposits his monthly pension check into his bank account. Used in this way, the pension is performing which of the following functions of money? Select one: O A. Store of value. O B. Standard of value. O C. Unit of account. O D. Standard of deferred payment. O E. Medium of exchange
Grandpa Walton's monthly pension check into his bank account is performing the function of A. Store of Value.
What are the different functions of money?
Standard of Value – The amount of money required to obtain a good or service is used to determine its worth. This makes the exchange a profitable endeavor for both parties.Store of Value – Saving money allows you to save some of your purchasing power for use in the future. Through saving, you can use your present income for both immediate and future consumption.The Standard of Deferred Payments – In both lending and borrowing, money is crucial. Money is borrowed and returned after a period of time.A medium of Exchange – The role of money as a middleman in a trade economy. It facilitates and streamlines the exchange system. The amount of money required to obtain a good or service is used to determine its worth. This makes the exchange a profitable endeavor for both parties.Unit of account - Money has the quality of being utilized as an accounting unit. The implication is that financial transactions and the worth of the products and services produced in a nation over time are both measured and recorded in terms of money.To know more about functions of money, check out:
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When assets are purchased in a group for a single sum, it is referred to as aMultiple choice question.composite purchase.basket purchase.business consolidation.group asset divestiture.
When assets are purchased for a single sum it is known as a basket purchase
Sometimes businesses will buy a number of assets at once; this is known as a basket purchase. It is the purchase of several assets for a single cost, which is then divided among them according to their respective values. When a buyer gets the opportunity to purchase multiple assets for a price that is lower than the total of their individual market values, this type of acquisition often takes place.
The accountant normally records the cost of each asset separately in the fixed assets when many assets are acquired in this way. The appraiser or asset purchase or sale data obtained from a market for the same or similar assets may provide the fair value information necessary to calculate the breakdown of a basket buy.
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TRUE/FALSE. governments typically play no role in establishing prices or regulating how buyers and sellers are allowed to behave in agreeing on prices.
FALSE. Governments normally don't have any influence over how prices are set or how buyers and sellers can negotiate a price.
A new product's price may seem difficult to set at first, but if you take the time to review the data available on the product and the target markets, you can choose a reasonable and lucrative sales price. Consider the product's intrinsic value and the benefits it will provide consumers in addition to the overall costs of production and distribution. In addition to covering the cost of production, the product's profit should show the value it brings to customers.
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Which of the following is one reason that construction lenders typically prefer the cost approach to valuation over the income approach? (A) The cost approach provides a more conservative estimate of value (B) The cost approach provides a more optimistic estimate of value (C) The cost approach is a good indication of the expected value of an income-producing property once construction is complete and it has been leased-up (D) The cost approach is a better estimate of actual market value of the project a
Construction lenders typically favor the cost approach to valuation over the income approach because it provides a more conservative estimate of value.
The cost approach is a method for valuing real estate that predicts the price a buyer should pay for a piece of land should be equal to the price to construct an equivalent building. In the cost approach, the value of the cost approach property is determined by adding the cost of the land to ach to valuation over the income approach because it provides a more conservative the total cost of construction, less depreciation. When a property is new, it produces the most accurate market value when compared to other methods.
There are three different ways to value real estate, the other two being the similar approach and the income approach. The coast approach method evaluates real estate by estimating how much the structure conservative would cost today if it were completely destroyed and had to be rebuilt, as opposed to focusing on the prices other, comparable homes in the neighborhood are selling for or a property's capacity to generate cost approach revenue. It also takes into account the value of the land and takes into account any value loss (also known as depreciation) that may have occurred.
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which of the following focuses on five core job characteristics that affect the psychological states of an employee, which in turn affect work outcomes? multiple choice question.
The job Characteristics model focuses on five core job characteristics that affect the psychological state of an employee, which in turn affects work outcomes.
The job characteristics model uses job design to make jobs better. Jobs are broken down into specific tasks, and employees receive the authority to carry out those tasks. This autonomy gives employees more control over their work environment and increases their job satisfaction. The job characteristics model helps make the jobs at your organization more varied, challenging, and motivating. An engaged workforce is happier and more productive but keeping employees happy and engaged is something that HR practitioners and managers struggle with. This is where the job characteristics model comes in.
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TRUE/FALSE. Safetystock can be computed when using the fixed-order quantity inventory model bymultiplying a "z" value representing the number of standard deviationsto achieve a service level or probability by the standard deviation of periodicdemand.
Safety stock can be computed when using the fixed-order quantity inventory model by multiplying a "z" value representing the number of standard deviations to achieve a service level or probability by the standard deviation of periodic demand. This statement is TRUE.
A normalized distribution's Z value determines the degree of service at (0;1) The deviation of our distribution is then calculated by multiplying this number by each other.
The Z value is the point at which a change in safety of 99%, 95%, or any other percentage is achieved. To adjust the normalized distribution of (1;0) to our values, we convert by our deviation.
As we deal with probabilities, there is always a potential of running out of supply, thus at greater levels of safety, we need more units to account for the possibility of a single client making an unforeseen large purchase. As this person can appear anytime and purchase any amount there is always a level of uncertainty (5% or 1% or less).
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if you receive $24,000 in annual rent on property that costs you $250,000, what is your rental yield on this property? group of answer choices 14.4 percent 4.8 percent 57.6 percent 9.6 percent
Collecting $24,000 annual rent from an asset that you bought for $250,000 means that your rental yield is 9.6%
Rental yield is defined as a return percentage from the rental income collected from an asset or property. It measures the percentage of income received from an asset or property divided by the value of the asset or property. Given that your annual rent income is $24,000 from the property that you purchased for $250,000 then your rental yield is calculated as follows:
Rental yield = income received from asset / value of the asset × 100%
Rental yield = $24,000/$250,000×100%
Rental yield = 9.6%
Therefore the rental yield is 9.6%
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The farmer wants to install a well to supply water for crop irrigation. Where should the well be installed to ensure that the contaminant plume never reverses direction and intersects the home water supply well?.
Groundwater from wells, surface water, emptying ponds, rainwater, and municipal water area unit is the most source of crop irrigation water.
By victimization varied tubes, containment pumps, and spraying systems, water is unnaturally applied to the soil throughout irrigation. In locations wherever downfall is erratic, their area unit frequent dry spells, or drought is foretold, irrigation is usually used. Irrigation systems are available in a range of shapes and sizes, and they all offer water to the whole space in excellent distribution.
Drinking or getting ready meals victimization irrigation water isn't suggested as a result of it's not thought-about to be safe to consume. An irrigation well is made to preserve the water beneath, and a good contractor can install it so it's a particular distance from any existing septic systems.
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tax deductions and incentives that reduce taxes for those who use their money for particular positive behaviors . . .
Richer income earners benefit more financially from the present U.S. tax structure, which is more similar to a flat tax system (less progressive) thanks to tax deductions and incentives that lower taxes for people who spend their money on certain beneficial activities.
One method to lower your taxable income is to take a tax deduction. A standard deduction is one fixed deduction. Because higher-income taxpayers typically have significant deductible expenses like state and local taxes paid, mortgage interest, and charitable donations, itemized deductions are popular.
An "incentive" is anything that motivates a worker to engage in more of the task that their employer intended for them to do by way of the selected reward. Incentives can also refer to valuable items, desirable behaviours, and occasions.
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governments implement____trade policies that are designed to make it difficult for imports to enter a country. A. tariffs; B. subsidies; C. import quotas; D. voluntary export restraints; E. administrative policies
Governments implement administrative trade policies that are designed to make it difficult for imports to enter a country.
The collection of agreements, rules, and government policies affecting commerce with foreign nations is known as trade policy. Each country establishes its own norms for international trade, including its taxes, subsidies, and restrictions.
One of the main instruments a government may employ to implement protectionist policies is tariffs. Other weapons include import quotas, product standards, and subsidies.
Hence the correct option is E
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