a. EPS Plan I = $2.06, EPS Plan II =$-7.35
b. EPS Plan I = $3.12, EPS Plan II = $-5.92
c. Break-even EBIT = $795,000
How is this so ?EPS plan refers to a plan that is designed to maximize earnings per share.
EBIT stands for Earnings Before Interest and Taxes. It is defined as measure of a company's profitability that is calculated by taking a company 's revenue and subtracting its operating expenses
a) EPS Plan I = EBIT / Shares outstanding
= 400,000 / 195,000
= 2.05128205128
= $2.06
EPS Plan II = EBIT - Interest expense / Shares outstanding
= (400,000 - 1,429,000) / 140,000
= $-7.35
b)
EPS Plan I = EBIT / Shares outstanding = 600,000 / 195,000
= 3.07692307692
= $3.08
EPS Plan II = EBIT - Interest expense / Shares outstanding = (600,000 - 1,429,000) / 140,000
= -5.92142857143
= $-5.92
c) Break-even EBIT = Interest expense / Leverage ratio
= 1,429,000 / 1.7875
= 799440.559441
= $799, 440.56
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before nintendo became a video game company, what products did they make?
Nintendo was originally a manufacturer of handmade Hanafuda playing cards. The company was founded in September 1889 by Fusajiro Yamauchi and was based in Kyoto, Japan. The name Nintendo is derived from a Japanese word meaning "leave luck to heaven."
Nintendo started as a producer of Hanafuda playing cards, a typical Japanese playing card set. The company was founded in Kyoto in 1889 by Fusajiro Yamauchi. The company's name Nintendo was derived from the Japanese word "leave luck to heaven." However, in the late 1960s, the company started diversifying into other areas such as the hotel industry, food, and toy production.In 1975, the company launched EVR Race, an arcade game based on horse racing.
This game was developed by Shigeru Miyamoto, who would later become the creator of many of the company's most popular games such as Donkey Kong, Mario, and The Legend of Zelda. After the success of EVR Race, the company shifted its focus to video games and developed several arcade games, including Space Fever and Sheriff.Nintendo's first home console, the Nintendo Entertainment System (NES), was launched in 1983. It was a massive success and helped to make Nintendo one of the world's most recognizable brands.
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a manufacturing company accumulates the following data on variable overhead: actual cost incurred: $61,000; budgeted variable overhead at hours used: $64,000; applied variable overhead: $60,000. the variable overhead efficiency variance is:
A manufacturing company accumulates the following data. The variable overhead efficiency variance is 4000 U.
Calculating the problem:applied variable overhead = $ 60,000
variable overhead variance = $ 64,000
the variable overhead efficiency variance = $ 64,000 - $ 60,000
= $ 4000
What Is effectiveness Variance?Effectiveness variance is the difference between the theoretical quantum of inputs needed to produce a unit of affair and the factual number of inputs used to produce the unit of affair. The anticipated inputs to produce the unit of affair are grounded on models or once gests .
What's overhead effectiveness variance?Variable outflow effectiveness variance refers to the difference between the true time it takes to manufacture a product and the time calculated for it, as well as the impact of that difference. It arises from friction in productive effectiveness.
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Luca villanova has a major decision to make about how to increase attendance for the professional soccer team he owns. he wants to call his players and coaches together, generate alternatives, and come up with a solution by mutual agreement and vote. his style of leadership is called
The style of leadership that is illustrated by Luca villanova is known as a democratic leadership.
What is a democratic leadership?This is a leadership style where the members of the group are expected to participate in the decision-making process.
Hence, as the players and coaches are called together to generate alternatives and come up with a solution by mutual by Luca, then, the leadership style is known as a democratic leadership style.
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1. What is the role of an ergonomist? 2. List 4 ways in which heart rate can be measured. I 3. Discuss what percentage of the employees you would exclude from a manual material handling job 4. Describe how are accurate machine, tools and interchangeable parts related. 5. What can you use as an index of mental load? Why?
1. An ergonomist plays a crucial role in designing and improving systems, products, and environments to enhance human performance and well-being.
2. Heart rate can be measured through various methods, including pulse palpation, heart rate monitors, electrocardiograms (ECG/EKG), and photoplethysmography (PPG).
3. It depends on various factors, such as their physical capabilities, training, and the specific requirements of the job.
4. As they contribute to efficient and precise manufacturing processes.
5. The index of mental load refers to a measure or assessment of the cognitive demands placed on individuals during a task.
1. An ergonomist is a professional who focuses on optimizing the interaction between people and their work environment. Their role involves assessing and addressing factors such as physical ergonomics (e.g., workstation design, equipment layout), cognitive ergonomics (e.g., task complexity, decision-making processes), and organizational ergonomics to enhance human performance, safety, and well-being.
2. a) Pulse palpation: This involves manually feeling the pulse at certain points in the body (e.g., wrist, neck) to count the number of beats per minute.
b) Heart rate monitors: These wearable devices use sensors to track heart rate continuously, providing real-time data.
c) Electrocardiograms (ECG/EKG): These medical devices record the electrical activity of the heart and can be used to measure heart rate accurately.
d) Photoplethysmography (PPG): This non-invasive technique uses light to measure blood volume changes in peripheral tissues, providing an indirect estimation of heart rate.
3. It is crucial to assess each individual's physical fitness, considering factors such as strength, endurance, flexibility, and any pre-existing medical conditions. The goal is to ensure that employees can safely perform the tasks without excessive risk of injury.
4. Accurate machines, tools, and interchangeable parts are interrelated in manufacturing processes. Accurate machines and tools are essential for maintaining precision and consistency in production. They ensure that measurements, cuts, and operations are performed with high accuracy, reducing errors and improving product quality.
5. The index of mental load serves as an indicator of the cognitive demands imposed on individuals during a task. It helps evaluate the mental workload experienced by individuals and assesses factors such as attention, memory, decision-making, and information processing.
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In recent years, the United States has Group of answer choices had a large goods trade surplus with the rest of the world. exported more services abroad than it has imported. maintained an overall trade surplus (goods and services combined) with the rest of the world. had a small goods trade surplus with Japan
Answer:
exported more services abroad than it has imported.
Explanation:
The US in recent years have been the largest exporter of services in the world. The United states is as of today known as a global leader in services export which has been seen to grow seven fold over the past 34 years especially from areas like insurance and financial services. From an average of 40 countries(both emerging and advanced economies), the country has the lowest trade barriers in 14 out of 18 services sectors.
One to two sentences, explain what happens to a production possibilities curve if a natural disaster creates a scarcity of a key resource needed to make a product. Explain why this happens.
A natural disaster causing a scarcity of a key resource necessary for production will result in a shift inward or to the left of the production possibilities curve.
This occurs because the reduced availability of the key resource limits the economy's ability to produce the affected product, leading to a decrease in overall production capacity.
As a result, the economy's production possibilities are constrained, and it is forced to operate at a suboptimal level.
The scarcity of the key resource disrupts the balance between the production of different goods, leading to a decrease in potential output.
The economy will need to allocate its limited resources and adjust its production mix accordingly, potentially focusing on alternative products or finding substitutes for the scarce resource in order to maximize production under the new constraints imposed by natural disaster-induced scarcity.
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Why is it difficult to measure future cash flows? Accurately measuring expected future cash flows is not easy in a world of uncertainty M (Select from the drop-down menu.) True False
True, It is difficult to measure future cash flows because of the inherent uncertainty in the business environment.
There are various factors such as competition, changes in technology, changes in consumer preferences, and economic conditions that can impact the expected future cash flows of a business.
As a result, it becomes challenging to predict the future cash flows accurately, and there is always a degree of uncertainty involved. Additionally, there may be unexpected events such as natural disasters or pandemics that can impact the future cash flows of a business, making it even harder to measure them accurately.
Measuring future cash flows is difficult due to various factors such as economic conditions, market trends, and business performance. These factors contribute to the uncertainty and make it challenging to accurately predict future cash inflows and outflows.
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What percentage of invested capital does inventory represent?
50%
60%
70%
80%
The percentage of invested capital does inventory represent is given by the option D that is 80%.
The term stock alludes to the unrefined components utilized underway as well as the merchandise delivered that are ready to move. An organization's stock addresses perhaps of the main resource it has on the grounds that the turnover of stock addresses one of the essential wellsprings of income age and ensuing profit for the organization's investors. There are three sorts of stock, including unrefined substances, work underway, and completed products. On the balance sheet of a company, it is listed as a current asset.
A company's inventory is a very important asset. It is characterized as the variety of merchandise utilized underway or completed products held by an organization during its not unexpected course of business. Raw materials (any supplies used to produce finished goods), work-in-progress (WIP), and finished goods (those that are ready for sale) are the three general categories of inventory.
As verified above, stock is delegated an ongoing resource on an organization's monetary record, and it fills in as a support among assembling and request satisfaction. The carrying cost of an inventory item moves to the income statement's cost of goods sold (COGS) category when it is sold.
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You invested $5000 between two accounts paying 6 nd 8 nnual interest, respectively. if the total interest earned for the year was $380, how much was invested at each rate?
240$ was invested at 6% and 80$ was invested at 8%.
What is investment?The dedication of a resource to a long-term increase in value is known as investment. A present resource, such time, money, or effort, must be lost in order to invest.
The goal of investing in the financial realm is to make money from the asset that is being used. An unrealized capital gain (or loss), investment income like dividends, interest, or rental income, a mix of capital gain and income, as well as a gain (profit) or loss realized through the sale of a house or investment, may all be included in the return. Due to fluctuating exchange rates, the return may also include foreign exchange gains or losses.
Investors claim that when a low-risk investment is made, riskier ventures frequently yield higher returns.
Calculations:
x = Amount in the account 1
y = Amount in the account 2
Amount total invested = 5000$
1 Equation
x + y = 5000
2 Equation
Interest amount account 1 = \(i_{1}\)*x
Interest amount account 2 = \(i_{2}\) * y
\(i_{1}\)= 6% = 0,06
\(i_{2}\) = 8% = 0,08
Interest total earned = 320$
The equation is
\(i_{1}\) *x+\(i_{2}\) * y = 320
0,06x + 0,08y = 320
2) The system of equations is
x + y = 5000
0,06x + 0,08y = 320
In form of matrix
\(\left[\begin{array}{ccc}1&1\\0,06&0,08\\\end{array}\right] \left[\begin{array}{ccc}x\\y\\\end{array}\right] =\left[\begin{array}{ccc}5000\\380\\\end{array}\right]\)
3) The cramer rule
\(x=\left[\begin{array}{ccc}b_{1} &a_{12} \\b_{2} &a_{22} \\\end{array}\right] \\\)
\(-----\)
lAl
\(x=\left[\begin{array}{ccc}a_{11}&b_{1}\\a_{21} &b_{2}\\\end{array}\right]\)
\(------\)
lAl
|A| = 1 * 0,08 - 1*0,06 = 0,02
\(b_{1}\) = 5000
\(b_{2}\) = 320
\(a_{11}\) = 1
\(a_{12}\)= 1
\(a_{21}\) = 0,06
\(a_{22}\) = 0,08
x = 4000$
y = 1000$
Interest amount account 1 = \(i_{1}\) * x = 0,06 * 4000 = 240$
Interest amount account 2 = \(i_{2}\) * y = 0,08* 1000 =80$
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Qik Fix-It offers Cody a job as a plumber. No time for acceptance is specified in offer. The offer will terminate: Group of answer choices A. This common law offer will expire after a reasonable period of time. B. This UCC offer will expire after a reasonable period of time. C. After atypical work week (five business days) for this common law offer D. This common law offer will expire after a usual month (thirty calendar days). E. Never
Answer:
A. This common law offer will expire after a reasonable period of time.
Explanation:
Since in the question Cody offered a job from Qik Fix as a plumber but there is no time given for acceptance so the offer would be terminated after a reasonable time period as this represents a common law where the offer would be expire after a reasonable period in the case when the time period is not mentioned
Therefore the correct option is a.
write an explanation of how the iPhone goes from a design at Apple to a retail store shelf. Include at least four steps in the process.
The journey of the iPhone from designing at apple to retail stores includes sending the design to the manufacturing unit where the materials are selected, then these material is arranged based on the design then polishing and finishing took place, and at last shipped to different countries' outlets.
What is iPhone?An iPhone is the latest smart device introduced by the organization named apple with unique features of advanced technology. This phone provides the features of a computer in the phone itself.
The journey of the iPhone from design at apple to retail store shelf includes-
Decision-making for material selectionDevelopment of Device body partsAssembly of body parts and finishing which includes glass finishingTransported to various outlets.Learn more about Apple Iphone, here:
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Which of the following are characteristics of a scarce resource?
Choose 1 answer:
Choose 1 answer:
(Choice A)
A
The supply of the resource exceeds the demand of the resource.
(Choice B)
B
There is a fixed quantity of the resource available but no demand for it.
(Choice C)
C
There is a demand for that resource with limited supply.
(Choice D)
D
There is limited supply of a resource with no demand for that resource.
(Choice E)
E
The resource has unlimited supply and limited demand.
There is a demand for that resource with limited supply are characteristics of a scarce resource. When the demand for a natural resource exceeds the supply, resource scarcity results, which causes the stock of those resources to decrease.
As a result of rising costs that make the demand resource less accessible to those who are least well-off, this might result in unsustainable supply growth and an increase in inequality. When there aren't enough resources to meet everyone's needs, there is scarce resource. Oil is among the most well-known instances of how resource scarcity affects the United States. Local gas prices will surely climb when oil prices around the world do.
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what type of testimony is inappropriate for a health information manager serving as custodian of the record when he or she is called to be a witness in court?
Personal opinion or speculation is inappropriate testimony for a health information manager serving as a witness in court.
As a custodian of the record, a health information manager has a professional duty to maintain and safeguard medical records.
When called to be a witness in court, their role is to provide accurate and objective information related to the medical records in question.
In this capacity, it is important for the health information manager to present factual and verifiable information based on their knowledge and expertise.
Testimony that involves personal opinions, biases, or speculation is considered inappropriate because it may introduce subjective and unreliable information into the legal proceedings.
The health information manager should focus on presenting facts, interpreting medical records within their scope of expertise, and providing context or clarification when required.
It is essential for the health information manager to maintain professional integrity and adhere to the ethical standards of their role as a custodian of the record.
By providing objective and reliable testimony, the health information manager can contribute to the fair and just resolution of the legal case while upholding the integrity of the healthcare information management profession.
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Basis entered an agreement with Amazon whereby it would provide services allowing Amazon to create an electronic commerce service in Japan.A few months later, they signed a "Series of Preferred Stock Purchasing Agreement" under which Amazon bought 1,654,412 shares of Basis stock and got a seat on Basis's board. It also got an agreement designed to maintain the percentage of Amazon's ownership of Basis. The agreements became the focus of a dispute between them. Basis sued Amazon. The parties entered into settlement negotiations. Basis counsel sent an e-mail that set out the terms and ended it by saying, "please contact me first thing tomorrow morning if the email does not accurately summarize the settlement terms...." Amazon replied, "Correct." After this they exchanged e-mails and drafts which kept changing. When basis sought to enforce the settlement agreement, Amazon argued it was incomplete and indefinite Is Amazon correct? Why?
Based on the facts presented, it appears that Amazon may have a valid argument that the settlement agreement was incomplete and indefinite.
An agreement requires a meeting of the minds of the parties, meaning that both parties must have a clear understanding of the essential terms of the agreement. Here, it seems that there was some confusion about the terms of the settlement agreement.
Although Basis counsel sent an email outlining the terms of the settlement, subsequent emails and drafts showed that the terms were still being negotiated and changed.
If the terms of the agreement are not clear and definite, it can be difficult to enforce the agreement. A court may find that there was no meeting of the minds and that there was no enforceable contract. Additionally, the fact that the parties continued to exchange emails and drafts suggests that they did not consider the terms of the settlement agreement to be final.
In conclusion, Amazon may be correct in arguing that the settlement agreement was incomplete and indefinite based on the facts presented.
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A 5.66% annual coupon, 19-year bond has a yield to maturity of 4.14% . Assuming the par value is $1,000 and the YTM is expected not to change over the next year, what is the expected Current Yield for this bond? Please share your answer as a %.
A 5.66% annual coupon, 19-year bond with a yield to maturity of 4.14% and a par value of $1,000 has an expected current yield of 5.18%. A bond's current yield is the amount of interest income a bond produces in a single year as a percentage of its current market value.
In order to find the bond's expected current yield, we must first find the bond's current market value.
We can find the bond's current market value by using the bond pricing formula, which is as follows: $$PV=\frac{C}{(1+r)^1}+\frac{C}{(1+r)^2}+...+\frac{C+P}{(1+r)^n}$$ where PV = present value of the bond, C = annual coupon payments, r = the discount or yield rate, P = the par value of the bond, n = the total number of coupon payments.
To begin, we'll input the provided values into the formula and solve for PV. $$PV=\frac{56.6}{(1+.0414)^1}+\frac{56.6}{(1+.0414)^2}+...+\frac{1,056.6}{(1+.0414)^19}$$$$PV = \frac{56.6}{1.0414}+\frac{56.6}{1.0414^2}+...+\frac{1,056.6}{1.0414^{19}}$$$$PV = 950.42$$.
Now that we have the bond's current market value, we can calculate its expected current yield. The expected current yield formula is as follows: $$Current Yield = \frac{Annual Coupon Payment}{Current Market Value}$$. We'll input the provided values into the formula.$$Current Yield = \frac{56.6}{950.42}$$$$Current Yield = 0.0596$$.
Finally, we'll convert the decimal to a percentage. The expected current yield for this bond is 5.18%.Therefore, the answer is 5.18%.
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This jacket is so thin. It can't possibly keep out the rain."(Use the boomerang method.)
Answer:
The jacket is thin because it uses a fiber called thinsulate that enables it to have the lightest weight but is also the warmest.
Explanation:
In general marketing, the boomerang method refers to the 'reconstruction' of the customer's objection into the main reason for buying. In other words, using the same excuse that a customer has about a product to entice him/her to buy that product by reframing it as a selling point is known as the boomerang method.
In the given scenario, the customer's objection is about the thinness of the jacket can be used as a selling point by the salesman by stating that the lightness of the jacket is what makes it a good product. So, if the seller tells the customer "the jacket is thin because it uses a fiber called Thinsulate that makes it thin but also warm", then that will make it an interesting and important factor for the customer to like the product more.
A good without any close substitutes is likely to have relatively demand, since consumers cannot easily switch to a substitute good if the price of the good rises.
It should be noted that good without any close substitutes is likely to have relatively inelastic demand, this is because, consumers cannot easily switch to a substitute good in case there is an increase in price of the good.
Since the goods doesn't have close substitute, then change in price will not really affect the quantity demand because consumer doesn't really have other options as substitutes.
What is inelastic demand ?An inelastic demand can be regarded as one whereby a change in quantity demanded is small as a result of change in price is small.
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4. Your portfolio manager has suggested the following three companies for investment purposes: Gamma Gum, Beta Bank, and Fond Fund. Gamma Gum shares cost $20 per share, Beta Bank shares cost $30 per share, and Fond Fund shares cost $40 per share. You have $5,000 to invest and wish to hold as many Fond Fund shares as Gamma Gum and Beta Bank shares combined. What are the possibilities of how many shares of each company you could buy? Assume we can only buy whole shares.
The three possibilities for the number of shares I could buy:
Invest entirely in Fond Fund (0 shares of Gamma Gum and Beta Bank).
Buy 100 shares each of Gamma Gum and Beta Bank, holding 200 shares of Fond Fund.
Buy 200 shares each of Gamma Gum and Beta Bank, holding 400 shares of Fond Fund.
Let's consider the possibilities of how many shares of each company you could buy given the investment amount of $5,000. We'll denote the number of Gamma Gum shares as "GG," Beta Bank shares as "BB," and Fond Fund shares as "FF."
Since the goal is to hold as many Fond Fund shares as Gamma Gum and Beta Bank shares combined, we have the equation:
FF = GG + BB
We also need to consider the cost of shares. Given that Gamma Gum shares cost $20, Beta Bank shares cost $30, and Fond Fund shares cost $40, we can express the total cost as:
20 * GG + 30 * BB + 40 * FF = 5000
Now, let's explore the possibilities by substituting different values for GG and BB while solving the equations:
Possibility: GG = 0, BB = 0
In this case, all the investment goes into Fond Fund shares.
FF = GG + BB = 0 + 0 = 0 shares
Possibility: GG = 100, BB = 100
This means you buy 100 shares of Gamma Gum and 100 shares of Beta Bank.
FF = GG + BB = 100 + 100 = 200 shares
Possibility: GG = 200, BB = 200
This means you buy 200 shares of Gamma Gum and 200 shares of Beta Bank.
FF = GG + BB = 200 + 200 = 400 shares
It's important to note that since we can only buy whole shares, we can only consider integer values for GG and BB. Therefore, these are the three possibilities for the number of shares you could buy:
Invest entirely in Fond Fund (0 shares of Gamma Gum and Beta Bank).
Buy 100 shares each of Gamma Gum and Beta Bank, holding 200 shares of Fond Fund.
Buy 200 shares each of Gamma Gum and Beta Bank, holding 400 shares of Fond Fund.
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Y = GDP = C + I + G + NX. If NX = 0, this could mean: Choose the right answer (2 points)
a. The economy is closed - there are no imports and no exports
b. The economy is open, but the value of exports equals the value of imports
c. Both a and b are plausible
d. There is not enough information to answer the question
2. Say there was a change in nominal GDP in Country A between 2000 and 2004 which happens to use
dollars as its main currency. In year 2000, the nominal GDP of Country A was $1000. In year 2004,
nominal GDP in country A was $1500 or a rise 50%. Actual total production, Q, in Country A also increased
by 50% between 2000 and 2004. (2 points for each correct answer)
a. What can you say about the change in the price
level of Country A between 2000 and 2004?
b. If real GDP was $1000 in year 2000, what will the
amount of real GDP be in Country A in year 2004?
c. If year 2000 was the base year for the GDP Deflator,
what number would the GDP deflator be in year 2000?
d. What number would the GDP deflator be in year 2004?
a. Cannot be determined. b. $1500. c. 100. d. Cannot be determined.
Question 1: If NX = 0, what does it imply about the economy? (a, b, c, or d) Question 2: In year 2000, nominal GDP was $1000 and Q increased by 50%. Determine the change in price level, real GDP in 2004, the GDP deflator in 2000, and the GDP deflator in 2004. c. Both a and b are plausible.If NX (Net Exports) is equal to 0, it means that the value of exports (X) equals the value of imports (M). This implies that there are no net exports, and the economy can be either closed (a) with no imports and exports or open (b) with imports and exports but with equal values, resulting in a balanced trade.
The change in the price level of Country A between 2000 and 2004 cannot be determined with the given information. The nominal GDP increased by 50%, but this does not provide insight into whether the increase is due to changes in prices or changes in the quantity of goods and services produced.If real GDP was $1000 in year 2000 and the actual total production (Q) increased by 50% between 2000 and 2004, the amount of real GDP in Country A in year 2004 would also be $1500. If year 2000 was the base year for the GDP deflator, the GDP deflator for that year would be 100. The GDP deflator is calculated by dividing nominal GDP by real GDP and multiplying by 100.The GDP deflator in year 2004 cannot be determined with the given information. The GDP deflator requires knowledge of both nominal GDP and real GDP in the specific year to calculate the price level.Learn more about Cannot be determined
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mr. steele is speaking to a group of accountants about new tax laws. he presents numerous verifiable facts dealing with tax laws. some people realize that all his statistics come from extremely politically liberal publications that interpret all the facts in a similar way. mr. steele's evidence lacks
Mr. Steele is speaking to a group of accountants about new tax laws. He presents numerous verifiable facts dealing with tax laws. Mr. Steele's evidence lacks objectivity. Option A
This is further explained below.
What are tax laws?Generally, Tax law, often known as a revenue law, is a subfield of public law that examines how public or sanctioned authorities, such as national, state, and local governments, use a set of rules and processes to calculate and collect taxes within the parameters of the law.
In conclusion, New tax regulations are being discussed during Mr. Steele's presentation to a room full of accountants. He gives a variety of facts that may be independently verified that are related to tax legislation. The evidence presented by Mr. Steele is not objective. Alternative A
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CQ
Mr. Steele is speaking to a group of accountants about new tax laws. He presents numerous verifiable facts dealing with tax laws. Some people realize that all his statistics come from extremely politically liberal publications that interpret all the facts in a similar way. Mr. Steele's evidence lacks
A. objectivity.
B. relevancy.
C. accuracy.
D. sufficiency.
melinda earned $50,000 and paid taxes of $12,500. she would have paid $35 on the next $100 she made. compute her average and marginal tax brackets.
Melinda earned $50,000 and paid taxes of $12,500. If she would have paid $35 on the next $100 she made, we can determine her average and marginal tax brackets as follows:A. Average Tax Bracket Average tax bracket is the percentage of your income that you pay in taxes. It is determined by dividing the total amount of taxes paid by the total income earned.
The formula for computing the average tax bracket is given as:Average Tax Bracket = Total Tax Paid / Total Income Earned * 100. Since Melinda earned $50,000 and paid taxes of $12,500, her average tax bracket can be determined as follows:Average Tax Bracket = Total Tax Paid / Total Income Earned * 100 Average Tax Bracket = 12,500 / 50,000 * 100 Average Tax Bracket = 25%Thus, Melinda's average tax bracket is 25%.B. Marginal Tax Bracket. The marginal tax bracket is the percentage of tax that is paid on the next dollar of income earned. It is the tax rate that is applied to the next dollar of income earned. The marginal tax bracket is determined by looking at the tax bracket chart and determining the tax rate for the next dollar of income earned.Since Melinda would have paid $35 on the next $100 she made, we can determine her marginal tax bracket as follows:Marginal Tax Bracket = Tax Paid on Next Dollar / Increase in Income * 100 Marginal Tax Bracket = 35 / 100 * 100 Marginal Tax Bracket = 35%Thus, Melinda's marginal tax bracket is 35%.
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According to Alexander Hamilton, what actions are necessary to ensure the country's economic stability?Answer choicesa. Part of the trade embargo against Great Britain.b. Elimination of consumption tax.c. Creation of a trade alliance with France.d. National bank establishment.
The answer is option b. Elimination of consumption tax, According to Alexander Hamilton, actions that are necessary to ensure the country's economic stability are elimination of consumption tax.
A simple tax definition is what?A tax is a forced payment or levy that is gathered by local, state, and federal governments from citizens or companies to pay for essential public goods, services, and activities.
What does tax primarily serve?Taxation's primary purpose is to provide money for public spending. Over time, different defenses and explanations for taxes have been put forth. Early taxes supported the aristocracy and were used to assemble armies and construct fortifications.
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An economy that using its resources to produce the maximum number of goods and services is described as? A. Efficient B.underutilized C.growing. D.trading off
Answer:
underutilized
Explanation:
Which of the following is true when workers specialize in the production of one good
A) there is increased competition among the producers of similar goods
B) The quantity of output produced by the worker increases
C) The satisfaction of the worker increases
D) The cost of producing the good increases
The statement that is true when workers specialize in the production of one good is: A) there is increased competition among the producers of similar goods.
What is specialization?Specialization means to be an expertise when it comes to production of goods and service.
When employee are specialize in the production of goods it tend to lead to more competition between manufacturer that produce similar products.
Therefore the correct option is A.
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Find the maximum profit and the number of units that must be produced and sold in order to yield the maximum profit. Assume that revenue, R(x), and cost, C(x), are in thousands of dollars, and x is in thousands of units. R(x) = 9x – 2x², C(x) = x2 – 5x² + 4x + 1 The production level for the maximum profit is about units. (Do not round until the final answer. Then round to the whole number as needed.)
To find the maximum profit and the corresponding production level, we need to determine the quantity that maximizes the difference between revenue and cost. The profit function, P(x), can be expressed as P(x) = R(x) - C(x).
Given that R(x) = 9x - 2x^2 and C(x) = x^2 - 5x^2 + 4x + 1, we can substitute these equations into the profit functionTo find the maximum profit, we need to find the vertex of the quadratic function. The x-value of the vertex can be determined using the formula x = -b / (2a), where a = 4 and b = 5.Now, substituting this x-value back into the profit function, we can find the maximum profit:Performing the calculations, we can find the maximum profit.The production level for the maximum profit corresponds to the x-value of the vertex, which is approximately -5/8 (or 0.625 when rounded to the nearest thousand units). Therefore, the production level for the maximum profit is about 625 units.
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the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%
It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).
What is Operating Leverage?The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.
Magnitude of operating leverage= 4.5
Old sales= $100000
New sales= $110000
Percentage increase in sales:
(New-old)/old = (110,000-100,000)/100,000
= 10%
Consequently, a percentage rise in profit might be anticipated:
sales percentage growth times the degree of operational leverage
= 10% * 4.5
= 45%
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3.2.1 Give TWO examples of an advocacy campaign
Answer:
Make-A-Wish foundation
Earth hours
Explanation:
make a wish donates money and necessities
earth hours supports australian environment protection
______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???
Answer : Monopolistic competition
Answer:
Monopolistic Competition
Explanation:
In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.
Which of the following is a disadvantage to Linux?
Olearning curve
O customizability
O cost
Ofreedom
Answer:
Learning curve
Explanation:
which of these is not a social or economic goal of the US economy
What are the social or economic goals? Is there options?
Edit: The answer is A
Answer:
A
Explanation: