which of the following are effects of rising national incomes abroad on us exports? multiple select question. us aggregate demand curve shifts to the right. us exports rise. us aggregate demand curve shifts to the left. foreigners are encouraged to buy fewer us goods. us exports fall. foreigners are encouraged to buy more us products.

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Answer 1

Implications of foreign countries' rising national incomes on US exports The US aggregate demand curve turns right. Foreign buyers are urged to purchase more US goods increased US exports.

Income growth would lead to an increase in aggregate demand, while exchange rate growth would lead to an increase in aggregate demand. The combined demand curve will be directly impacted by a rise in net exports since it causes planned expenditure to increase. As a result, the market's equilibrium will change, which means that overall demand will rise. When foreign incomes rise, a country's net exports and overall demand rise; when foreign incomes fall, net exports and overall demand decline.

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in macroeconomics, describes a situation in which two people each want to exchange some good or service that the other can provide. group of answer choices a medium of exchange a double coincidence of wants interrelated banking the usefulness of money

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The double coincidence of wants refers to a scenario where two individuals require something that the other has to exchange. Money solves this issue by acting as a medium of exchange that is widely accepted as a standard of value.

In macroeconomics, the term "double coincidence of wants" describes a situation in which two people each want to exchange some good or service that the other can provide.The "double coincidence of wants" refers to a situation where two people need to want what the other has to offer in order for a trade to occur.

It means that two people must have something that the other wants, and they must be willing to exchange it. When there is no coincidence of wants, there is no exchange, and transactions cannot take place.The use of a medium of exchange is the most efficient way to overcome the double coincidence of wants issue. A medium of exchange is a commodity or item that is widely accepted in exchange for goods and services, and it serves as a standard of value. It eliminates the need for a double coincidence of wants, allowing for transactions to take place without the need for a direct exchange of goods and services.

Money is the most common medium of exchange used today. It is widely accepted as a standard of value, and it is used in nearly every transaction that takes place. Money is a vital tool for economic growth because it allows for transactions to occur smoothly and efficiently without the need for direct barter or the double coincidence of wants. In conclusion,

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determine the overhead costs assigned to model d using the two most expensive activities for cost pools. the costs of the two relatively inexpensive activities are allocated to the two most expensive activities in proportion to their costs. the engineering cost assigned to model d would be

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As per the given proportion the engineering cost assigned to model d would be $457.14.

For instance, if there are four activities involved in the project, each with a cost of $100, $200, $300, and $400 respectively, the two most expensive activities would be the third and fourth activities with costs of $300 and $400. Let's assume that the relatively inexpensive activities have costs of $100 and $200. To allocate their costs to the two most expensive activities, we need to determine the proportion of their costs relative to the total cost of all activities.

The total cost of all activities is $1000 ($100 + $200 + $300 + $400). The proportion of the cost of the first relatively inexpensive activity is 10% ($100/$1000) and the proportion of the cost of the second relatively inexpensive activity is 20% ($200/$1000).

To allocate these costs to the two most expensive activities, we multiply their proportions by the costs of the two most expensive activities.

For instance, the cost allocated to the third activity would be $100 x (300/700) = $42.86, while the cost allocated to the fourth activity would be $200 x (400/700) = $114.29.

Adding these allocated costs to the costs of the two most expensive activities gives a total engineering cost assigned to model C of $457.14.

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which of the following best defines shared leadership? select answer from the options below leadership that happens when all team members work together to reach common goals leadership where people at lower levels influence those at higher levels to create change leadership that is divided so no one has all the control leadership that is dispersed among people in a group

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Shared leadership refers to a leadership approach where authority and responsibility are distributed among members of a group. Option E, "leadership is dispersed among people in a group", holds true.

Shared leadership is a collaborative approach to leading a group or organization where everyone contributes to decision-making, problem-solving, and goal-setting. It is not just one person who has all the control but rather, the leadership is distributed among group members. This type of leadership is effective in fostering innovation, creativity, and commitment to achieving shared goals.

In contrast, option A is too broad and generic as it could apply to any type of teamwork, while option B refers specifically to influencing change rather than shared leadership itself. Option C is incorrect as it suggests an even split of control which may not always be the case in shared leadership. Therefore, option E is the most appropriate definition of shared leadership.

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palmer frosted flakes company offers its customers a pottery cereal bowl if they send in 3 boxtops from palmer frosted flakes boxes and $1. the company estimates that 60% of the boxtops will be redeemed. in 2014, the company sold 675,000 boxes of frosted flakes and customers redeemed 330,000 boxtops receiving 110,000 bowls. if the bowls cost palmer company $4 each, how much liability for outstanding premiums should be recorded at the end of 2014?

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Liability for outstanding premiums for 675,000 boxes at cost per bowl $4 each should be recorded at the end of 2014 is equal to $3,540,000.

Number of boxes sold = 675,000

Number of boxtops redeemed = 330,000

Cost per bowl = $4 each

Number of boxtops that were expected to be redeemed based on the number of boxes sold,

Expected number of boxtops redeemed

= (60% redemption rate) x (3 boxtops per bowl) x (675,000 boxes sold)

⇒ Expected number of boxtops redeemed = 1,215,000

Actual number of boxtops redeemed = 330,000

Estimated number of boxtops that will be redeemed but have not yet been redeemed is,

Estimated number of boxtops outstanding

= Expected number of boxtops redeemed - Actual number of boxtops redeemed

= 1,215,000 - 330,000

= 885,000

Liability for outstanding premiums by multiplying the estimated number of boxtops outstanding by the cost per bowl ,

Liability for outstanding premiums

= Estimated number of boxtops outstanding x Cost per bowl

= 885,000 x $4

= $3,540,000

Therefore, the liability for outstanding premiums that should be recorded at the end of 2014 is $3,540,000.

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in the context of the requirement of skilled analysts for implementing a global information system (gis), there is a severe shortage of qualified information systems . a. consultants in korea b. quality analysts in japan c. professionals in the united states d. project managers in germany

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The shortage of qualified information systems professionals in the United States can be attributed to the growing demand for skilled analysts to implement a GIS. So, correct option is C.

A GIS is a powerful tool used by businesses to gather, manage, and analyze complex data from various sources around the world. As companies increasingly rely on GIS to make informed decisions, the demand for qualified information systems professionals continues to rise.

This shortage is especially evident in the United States, where many companies are based and where technology plays a crucial role in business operations.

As a result, companies are willing to pay a premium for skilled analysts who can effectively implement and manage GIS. This has led to fierce competition for a limited pool of qualified professionals, further exacerbating the shortage.

To address this shortage, it is important for businesses and educational institutions to invest in training and development programs that prepare individuals with the skills needed to fill these positions.

This can include providing access to the latest technologies, offering specialized courses, and partnering with industry experts to provide mentorship and guidance.

Therefore, correct option is C.

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If a revenue in total for a month was $9,550, fixed expenses were $9,000 and variable expenses were $300 what would be the total profit/loss for the month?

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Answer:

the answer would be 250

because 9,000-9,550 = 550 -300= 230

a common problem associated with losing weight by drinking only low kcalorie weight loss products is: eating habits are not changed. the formula is available by prescription only, making the program inconvenient. formula plans are expensive. mixing the formulas require extensive calculation.

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A common problem associated with losing weight by drinking only low-calorie weight loss products is that  A. eating habits are not changed.

These products might help in reducing calorie intake temporarily, but they do not address the root cause of unhealthy eating patterns. To achieve long-term weight loss, it is essential to adopt a balanced diet and make sustainable changes to one's eating habits.


Low-calorie weight loss products often act as a quick fix but do not educate individuals about proper nutrition and portion control. This lack of education can result in the person regaining the lost weight once they stop consuming these products. Additionally, relying solely on low-calorie products can deprive the body of essential nutrients and lead to other health problems.


In summary, losing weight by drinking only low-calorie weight- loss products can be an ineffective and unsustainable method due to the lack of change in eating habits. Long-term weight loss success is more achievable through adopting a balanced diet, engaging in regular physical activity, and making lifestyle adjustments that promote a healthy relationship with food. Therefore the correct option is A

The Question was Incomplete, Find the full content below :

A common problem associated with losing weight by drinking only low kcalorie weight loss products is:

a. eating habits are not changed.

b. the formula is available by prescription only, making the program inconvenient.

c. formula plans are expensive.

d. mixing the formulas require extensive calculation.

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demand for concave utility meters is expanding rapidly, but the industry is highly competitive. a utility meter plant costs $44 million to set up, and it has an annual capacity of 660,000 meters. the production cost is $12 per meter, and this cost is not expected to change. the machines have an indefinite physical life and the cost of capital is 15%. what is the competitive price of a utility meter? competitive price is:

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The competitive price of a utility meter is $18.67.

When demand and supply are balanced on the market, this is referred to as equilibrium. The result is a level where prices are steady.

The price of a product that is considered competitive is determined by the competition. Business operators in related industries set competitive prices.

The setup fee for a utility meter plant is $44,000,000. The capacity for annual production is 660,000 meters. The cost of production is $5 per meter. 15% is the cost of capital.

Use the formula below to determine a utility meter's competitive price:

Set Up Cost = [(Competitive Price - Product Cost Per Unit) × Annual Production Capacity]/Cost of Capital

Set Up Cost = [(x - 12) × 660,000]/10%

44,000,000 = (660,000x - 7,920,000)/0.10

Multiply by 0.10 on both side, we get

4,400,000 = 660,000x - 7,920,000

Add 7,920,000 on both side, we get

660,000x = 12,320,000

Divide by 660,000 on both side, we get

x = 18.67

Therefore, Competitive price of a utility meter is $18.67.

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two years from now, a client will receive the first of three annual payments of $20,000 from a small business project. if she can earn 9 percent annually on her investments and plans to retire in six years, how much will the three business project payments be worth at the time of her retirement?

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At the time of the client's retirement, the three business project payments will be worth $77,894.


1. First payment:
The first payment of $20,000 will be received in two years and the client will retire in six years. So, the first payment will have four years to grow at a 9% annual interest rate.
Future value = P * (1 + r)^n
Where P is the payment amount, r is the interest rate, and n is the number of years.
Future value = $20,000 * (1 + 0.09)^4 = $20,000 * 1.4116 = $28,232
2. Second payment:
The second payment will be received in three years and will have three years to grow.
Future value = $20,000 * (1 + 0.09)^3 = $20,000 * 1.295 = $25,900
3. Third payment:
The third payment will be received in four years and will have two years to grow.
Future value = $20,000 * (1 + 0.09)^2 = $20,000 * 1.1881 = $23,762
Now, we will add the future values of all three payments to find the total value at the time of her retirement:
Total value = $28,232 + $25,900 + $23,762 = $77,894

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jasper metals is considering installing a new molding machine which is expected to produce operating cash flows of $68,000 per year for 8 years. at the beginning of the project, inventory will decrease by $26,400, accounts receivables will increase by $26,200, and accounts payable will increase by $18,900. at the end of the project, net working capital will return to the level it was prior to undertaking the new project. the initial cost of the molding machine is $288,000. the equipment will be depreciated straight-line to a zero book value over the life of the project. the equipment will be salvaged at the end of the project creating an aftertax cash flow of $74,000. what is the net present value of this project given a required return of 11.3 percent?

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The net present value of the project is negative, which means that the project is not a good investment opportunity given the required return of 11.3%.

To calculate the net present value (NPV) of this project, we need to calculate the present value of all the cash inflows and outflows associated with the project. Here's how we can approach this problem:

Calculate the initial cash outflow:

Initial cash outflow = Cost of the molding machine - Decrease in inventory + Increase in accounts receivable + Increase in accounts payable

Initial cash outflow = $288,000 - $26,400 + $26,200 + $18,900

Initial cash outflow = $306,700

Calculate the annual cash inflows:

Annual cash inflows = Operating cash flows - Depreciation

Annual cash inflows = $68,000 - ($288,000 / 8)

Annual cash inflows = $34,000

Calculate the salvage value:

Salvage value = Aftertax salvage value + Tax savings from the loss on sale

Salvage value = $74,000 + ($288,000 - $74,000) x 0.35

Salvage value = $105,100

Calculate the present value factor:

Using an 11.3% discount rate and an 8-year project life, we can find the present value factor from a present value table. The present value factor for 11.3% and 8 years is 0.403.

Calculate the NPV:

NPV = -Initial cash outflow + (Annual cash inflows x Present value factor) + Salvage value x Present value factor

NPV = -$306,700 + ($34,000 x 3.627) + ($105,100 x 0.403)

NPV = -$306,700 + $123,258 + $42,373

NPV = $-141,069

Therefore, the net present value of the project is negative, which means that the project is not a good investment opportunity given the required return of 11.3%.

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cullumber corporation purchased 22000 shares of common stock of the sherman corporation for 29 per share on jhanuary 2, 2020. sherman corporation had 100000 shares of common stock outstanding during 2021, paid cash dividends of 139000 during 2021, and reported net income 390000 for 2021. cullumber corporation should report revenue from investment for 2021 in the amount of

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The revenue from investment for 2021 that Cullumber Corporation should report is $80,000.

Cullumber Corporation owned 22000/100000 = 22% of the outstanding shares of Sherman Corporation as of January 2, 2020.

During 2021, Cullumber Corporation's share of Sherman Corporation's net income would be 22% x $390,000 = $85,800.

However, Cullumber Corporation also received cash dividends during 2021, which reduces the amount of revenue from investment.

Cullumber Corporation received 22% x $139,000 = $30,580 in dividends during 2021.

Therefore, Cullumber Corporation should report revenue from investment for 2021 in the amount of $85,800 - $30,580 = $55,220.

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freedom to own the factors of production, subsidized transportation services, and involuntary spending and investments are all examples of

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Freedom to own the factors of production, subsidized transportation services, and involuntary spending and investments are all examples of economic policies.

Economic policies refer to the actions taken by governments to influence the economy, including decisions related to taxation, spending, and regulation.

The freedom to own the factors of production refers to a policy that allows individuals and businesses to own and control resources such as land, labor, and capital.

This is generally seen in market-oriented economies where private property rights are protected, fostering entrepreneurship and economic growth.

Subsidized transportation services are an example of government intervention in the economy, where the government provides financial support to transportation companies, reducing costs for users.

This policy aims to improve accessibility and mobility, particularly for low-income individuals who may not be able to afford transportation services without subsidies.

Involuntary spending and investments refer to mandatory expenditures by the government, such as paying off national debt, providing public goods like infrastructure, and funding social welfare programs.

These policies are aimed at ensuring stability, addressing inequality, and promoting long-term economic growth.

In summary, these examples showcase various economic policies that governments implement to achieve different objectives, ranging from promoting individual ownership and market forces to providing essential services and fostering economic growth.

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from a legal standpoint, a business combination may be structured as a merger, consolidation, or acquisition. which of the following describes, from a legal standpoint, a business combination that is structured as a merger? group of answer choices the surviving entity is one of the two combining entities. the surviving entity is neither of the two combining entities. an investor-investee relationship is established. a parent-subsidiary relationship is established.

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The correct answer is: the surviving entity is one of the two combining entities.

From a legal standpoint, a business combination that is structured as a merger involves the surviving entity being one of the two combining entities.

In a merger, two or more companies combine into a single company, with one of the companies (the surviving entity) continuing to exist after the merger and the other company or companies ceasing to exist. The surviving entity assumes all the assets and liabilities of the other company or companies, and the shareholders of the other company or companies receive shares in the surviving entity.

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reddick enterprises' stock currently sells for $50.00 per share. the dividend is projected to increase at a constant rate of 5.50% per year. the required rate of return on the stock, rs, is 9.00%. what is the stock's expected price 3 years from today? a. $71.63 b. $68.69 c. $61.65 d. $71.04 e. $58.71

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Reddick Enterprises' stock currently sells for $50.00 per share with a return on the stock, the stock's expected price 3 years from today is $71.63. The answer is (a).

We can use the constant growth model to calculate the expected stock price in 3 years = P = D1 / (rs - g)

D1 = D0 × (1 + g) = $0 × (1 + 0.0550) = $0.08

D4 = D3 × (1 + g) = D2 × (1 + g)2 = D1 × (1 + g)

D4 = $0 × (1 + 0.0550) = $1.6069

P3 = $1.6069 / (0.0900 - 0.0550) = $71.63

thus, the expected stock price 3 years from today is $71.63. The answer is (a).

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luisa's parents can claim her as a dependent on their tax return. in 2022, her only source of income was a part-time job as a medical clerk where she earned $2,435 during the year. what is luisa's standard deduction?

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Luisa's standard deduction for 2022 is $2,785.

Luisa's standard deduction for 2022 can be calculated as follows:

1. Determine her earned income: In 2022, Luisa earned $2,435 from her part-time job as a medical clerk.

2. Calculate the additional amount: Since she is a dependent, add $350 to her earned income. This results in $2,435 + $350 = $2,785.

3. Compare with the basic standard deduction: For 2022, the basic standard deduction for a dependent is $1,100.

4. Choose the larger amount: In this case, Luisa's standard deduction is the larger amount, which is $2,785.

So, Luisa's standard deduction for 2022 is $2,785.

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in year 4, a taxpayer gifted an undivided one-half interest in the taxpayer's farm to the taxpayer's child. title to the farm was held by parent and child as tenants in common. in year 10, the taxpayer died and the other one-half interest in the farm was left to the same child. the taxpayer paid $40,000 for the farm in year 1, and the fair market value of the entire farm was $100,000 at the date of the taxpayer's death. an alternate valuation date was not elected. what is the child's basis in the farm after the taxpayer's death?

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In year 4, a taxpayer gifted an undivided one-half interest in the taxpayer's a child who receives money and is considered a dependent of another taxpayer must file their taxes as an individual. This claim is accurate.

A single dependent kid (under 65) must file a tax return if their gross income exceeds the greater of $1,000 or their earned income up to $5,850 + $350, or if their unearned income exceeds $6,200 (the standard deduction amount).

Single is the file status used by unmarried taxpayers who are not otherwise qualified for another filing status when submitting their federal income tax returns to the Federal Revenue Service (RS). Tax filing is not obligatory for everyone. The guidelines for submitting income taxes for the tax year 2021 are listed below. Your age, filing status, income, Depending on your circumstances, you may or may not need to file your taxes.

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you manage an hr department at a medium sized company with 4,000 employees. every year you lose approximately 30 of your top employees to companies who promise higher pay than what they are making at your company. an analysis of your recruitment and on-boarding costs indicates that, on average, it costs your company 5,000 per position to fill each of these vacancies. you feel certain that if you knew what your competitors were paying, you could reduce the turnover from 30 to 25 per year. given these facts, what is the most you would be willing to pay for high quality information on your competitor's pay practices?

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Maximum amount you should be willing to pay for the information is the difference between the potential savings and the cost of acquiring the information, which is $300,000 - $225,000 = $75,000.

The most you would be willing to pay for high-quality information on your competitor's pay practices would be $75,000. This can be calculated as follows:Given that the cost of filling a vacancy is $5,000 and the annual turnover rate is 30%, the total cost of turnover to the company is 30% x 4,000 employees x $5,000 = $6,000,000 per year.

Assuming that with the right information, the company can reduce turnover from 30% to 25%, the savings from reduced turnover would be 5% x $6,000,000 = $300,000 per year.If the cost of acquiring the information about competitors' pay practices exceeds the potential annual savings of $300,000, then it's not worth the investment.  

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since the level of doing business that constitutes intrastate business for qualification purposes has been difficult to define, the model business corporation act (mbca) lists several activities that do not require qualification. one such activity is .

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The Model Business Corporation Act prohibits mail-in orders that must be accepted outside of the state since it has been difficult to establish what amount of commercial activity qualifies as intrastate business for qualification reasons.

It is a comprehensive statute for business (stock) organisations that covers a range of topics, including creation, governance, and director conduct and liability. It is well-organized and written. The MBCA has influenced how corporation law is practised in the United States.

According to Florida law, corporations must apply to be recognised as foreign businesses before "transacting business" there. As a result, a corporation established outside of Florida that wishes to conduct business there must separately register as a foreign corporation in Florida.

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if a country reduces trade restrictions it would be pursuing an group of answer choices inward policy, which most economists believe has beneficial effects on the economy. inward policy, which most economists believe has negative effects on the economy. outward policy, which most economists believe has beneficial effects on the economy.

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If a country reduces trade restrictions, it would be pursuing an outward policy, which most economists believe has beneficial effects on the economy.

This is because free trade allows countries to specialize in producing goods and services in which they have a comparative advantage, leading to increased efficiency, productivity, and economic growth. By reducing trade barriers, countries can access a wider range of goods and services at lower prices, which can benefit consumers and increase competition in domestic markets. Moreover, free trade can promote international cooperation and reduce the likelihood of conflict between nations. Overall, an outward policy that promotes free trade is considered beneficial for the economy and global welfare by most economists.

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which of the following is not true with respect to a growing-equity mortgage? a. the monthly payments on the mortgage are initially small. b. it is si

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The correct answer is option D: the interest rate remains constant throughout the life of the mortgage. What is a growing equity mortgage? A growing equity mortgage is a type of mortgage where the interest rate remains fixed, but the monthly payments increase over time. It is also known as an increasing payment mortgage.

As the borrower continues to make payments, the equity in the property increases, and the total amount owed decreases. Therefore, option D is incorrect as it states that the interest rate remains constant throughout the life of the mortgage. In reality, the interest rate remains fixed, but the monthly payments increase over time, which means that the interest paid on the mortgage decreases over time while the amount of principal repaid increases with each payment.

Option A is true because the monthly payments on the mortgage are initially small, which increases with time. Option B is also true because it is a type of mortgage that is paid in installments. Option C is true because as the equity in the property increases, the total amount owed decreases.

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undifferentiated targeting is a strategy that multiple choice involves pursuing a large share of a small market. markets the same product to multiple regions. simultaneously pursues several different market segments with a different strategy for each. approaches the marketplace as one large segment. uses a different marketing strategy for each segment.

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Undifferentiated targeting is a strategy that approaches the marketplace as one large segment. This strategy involves pursuing a large share of a broad market

Undifferentiated targeting is a marketing strategy where a company produces a single product and markets it to the entire market without any consideration for individual market segments. This type of targeting allows for greater efficiency in marketing efforts, but may not be as effective for addressing the specific needs and wants of diverse customer groups. The company concentrates on a single product, using the same approach for all consumers regardless of age, gender, location, or any other factors, in this case, targeting the whole market, using one product or marketing campaign.

The approach behind undifferentiated marketing is that everyone in the broad market will have comparable needs and wants for the item. Therefore, it is not essential to segment the market based on individual needs or preferences. Companies that use this strategy usually only produce one version of their product or service for the entire market.

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what is the name of the legally mandated area on every credit solicitation which provides information about the terms and conditions of the card

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The legally mandated area on every credit solicitation that provides information about the terms and conditions of the card is known as the Schumer Box.

The legally mandated area on every credit solicitation that provides information about the terms and conditions of the card is known as the Schumer Box. It was introduced in 1988 after Senator Chuck Schumer proposed legislation to require credit card companies to provide more transparent information to consumers.

The Schumer Box typically includes important details such as the annual percentage rate (APR), annual fees, minimum finance charges, and other fees associated with the card. The purpose of the Schumer Box is to make it easier for consumers to compare credit card offers and make informed decisions about which card to choose.

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alice is single and self-employed in 2022. her net business profit on her schedule c for the year is $160,000. what are her self-employment tax liability and additional medicare tax liability for 2022?

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Alice's self-employment tax liability for 2022 is $24,480 (15.3% of $160,000).

Alice's self-employment tax liability for 2022 is calculated as follows:First, she will need to calculate her net self-employment income by subtracting any allowable expenses from her gross business income. In this case, since her net business profit is $160,000, this will be her net self-employment income.

Next, she will need to calculate her self-employment tax liability. This tax is calculated at a rate of 15.3% on her net self-employment income. This includes both the employer and employee portions of Social Security and Medicare taxes. Therefore, Alice's self-employment tax liability for 2022 is $24,480 (15.3% of $160,000).

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a taxpayer inherited 1,000 shares of extra corp., common stock, from a relative. the taxpayer's relative had paid $5,000 for the stock in year 1. the fair market value of extra corp. stock on march 1, year 3, the date of death, was $8,000 and increased to $11,000 six months later. the estate's executor elected the alternative valuation for estate tax purposes and distributed the stock six months after the date of death. how much income should the taxpayer report on the year 3 tax return for the inherited extra corp. stock?

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The taxpayer should report this capital gain of $3,000 on the year 3 tax return for the inherited Extra Corp. stock as a long-term capital gain.

The taxpayer inherited 1,000 shares of Extra Corp. common stock from a relative, which was valued at $8,000 as of the date of death. The estate's executor elected the alternative valuation for estate tax purposes, so the value of the stock for the purpose of calculating the estate tax was also $8,000.

If the taxpayer sells the stock for $11,000, the taxpayer would have a capital gain of $3,000.

For income tax purposes, the taxpayer's basis in the stock is the fair market value as of the date of death, which is $8,000. Since the stock was distributed six months after the date of death, it is treated as if the taxpayer acquired the stock for $8,000.

Therefore, if the taxpayer sells the stock for $11,000, the taxpayer would have a capital gain of $3,000. The tax rate for long-term capital gains depends on the taxpayer's income tax bracket.

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which of the following characteristics does not describe a perfectly competitive market? group of answer choices there are many people who desire and have the ability to purchase the product. firms set different prices for their product, either at or above the equilibrium price. many firms are producing identical products companies are able to enter and exit the market without any restrictions.

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The characteristic that does not describe a perfectly competitive market is "firms set different prices for their product, either at or above the equilibrium price".

What is a competitive market?

A competitive market refers to a situation in which a large number of producers supply identical goods or services. Therefore, no single producer can influence the market price by itself. A perfectly competitive market has some unique characteristics that distinguish it from other market forms, such as oligopoly, monopolistic competition, and monopoly.

The characteristics that describe a perfectly competitive market are as follows:

Many firms are producing identical products.Many people desire and have the ability to purchase the product.Companies are free to enter and exit the market without any restrictions.No single producer has control over the market price.Firms are price takers.There are no entry barriers.Firms produce at the lowest possible cost.

On the other hand, "firms set different prices for their product, either at or above the equilibrium price" is not a characteristic of a perfectly competitive market. In a perfectly competitive market, firms can only charge the market price, which is the price set by the equilibrium of supply and demand.

If firms attempt to set prices higher than the market price, they will not sell their goods because there are plenty of other firms willing to offer the same good at a lower price. Therefore, in a perfectly competitive market, all firms charge the same price, which is the market price.

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miranda is asked by her boss to attend the supervisors' meeting in the afternoon, and to participate in a brief discussion on the flex-time schedule proposal her department is supporting. which of the following is true about miranda's preparation for this meeting? question 3 options: a) she should bring research that supports the proposal so she can read it for the supervisors during the meeting. b) she should focus on the benefits of the proposal. c) she should create an elaborate outline and distribute it at the meeting. d) she should anticipate and outline the questions and objections the supervisors will have to this proposal, so that she can address them. e) she should enter this type of situation without an outline so she has an open mind.

Answers



Regarding the specific question about Miranda's preparation for a supervisors' meeting in which she will be discussing a flex-time schedule proposal supported by her department  D., she should anticipate and outline the questions and objections the supervisors will have to this proposal so that she can address them.

This answer is supported by the fact that Miranda's boss has specifically asked her to participate in a brief discussion on the proposal, which suggests that the supervisors may have questions or objections to the proposal. While it may also be helpful for Miranda to bring research that supports the proposal or focus on the benefits of the proposal, these actions alone may not be sufficient to address the questions or objections that the supervisors may have.



In conclusion, in Miranda's preparation for a supervisors' meeting, it is important to anticipate and outline the questions and objections that may arise, as this will help Miranda to address them and support the proposal.  Therefore the correct option is D

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factors affecting international equity returns are a. macroeconomic variables that influence the overall economy b. exchange rate changes c. all of the options d. the industrial structure of the country

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The correct answer is c. all of the options.All of these factors can affect international equity returns

a. Macroeconomic variables such as inflation rates, interest rates, GDP growth rates, and political stability can impact the overall economy and, in turn, influence international equity returns.

b. Exchange rate changes can affect the returns of international equities because changes in exchange rates can increase or decrease the value of foreign currency-denominated investments when converted back into the investor's home currency.

c. The industrial structure of the country can impact international equity returns. For example, an industry-specific shock, such as a change in regulation or a new technology, can affect the returns of equities in that industry across multiple countries.

Therefore, it's essential for investors to consider all these factors when investing in international equities to understand and manage the risks associated with their investments.

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the subject property has three bedrooms and a fireplace. comparable a has three bedrooms and no fireplace; it is valued at $310,000. comparable b has four bedrooms and a fireplace; it is valued at $360,000. a bedroom is valued at $30,000 and a fireplace is valued at $10,000. if you're using only two comparables, an appropriate range of values for the subject property would be: group of answer choices $320,000 to $350,000 $330,000 to $340,000 $320,000 to $330,000 $310,000 to $360,000

Answers

Appropriate range of values for the subject property would be $320,000 to $350,000.

We can use the given information to calculate the value of the subject property based on the value of bedrooms and fireplaces.

The value of a bedroom is given as $30,000, and the value of a fireplace is $10,000. Therefore, we can estimate the value of the subject property as:

Subject Property Value = (Number of Bedrooms x Value of Each Bedroom) + (Number of Fireplaces x Value of Each Fireplace)

Subject Property Value = (3 x $30,000) + (1 x $10,000) = $100,000

Using the two comparables, we can estimate the value of the subject property within a range. We can use the following formula to calculate the estimated value of the subject property based on the comparables:

Estimated Value of Subject Property = (Comparable A Value - Value of A Bedroom x Number of Missing Bedrooms) + (Value of a Fireplace x Fireplace Difference)

For the first comparable (A), the subject property has one fireplace but comparable A has no fireplace, so the fireplace difference is 1. Therefore, the estimated value of the subject property based on comparable A is:

Estimated Value of Subject Property based on Comparable A = ($310,000 + ($10,000 x 1)) = $320,000

For the second comparable (B), the subject property has three bedrooms but comparable B has four bedrooms, so the bedroom difference is -1. The subject property also has one fireplace and comparable B has one fireplace, so the fireplace difference is 0.

Therefore, the estimated value of the subject property based on comparable B is:

Estimated Value of Subject Property based on Comparable B = ($360,000 - ($30,000 x -1) + ($10,000 x 0)) = $390,000

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nico corp issued bonds bearing a coupon rate of 12 percent, pay coupons semiannually, have 3 years remaining to maturity, and are currently priced at $940 per bond. what is the yield to maturity?

Answers

According to Nico corp. issued bonds bearing a coupon rate, the yield to maturity is 37.6%.

In this scenario, Nico Corp has issued bonds with a coupon rate of 12 percent, a maturity of 3 years, and a current market price of $940 per bond.

To calculate the yield to maturity, we need to use a formula that takes into account the bond's current price, coupon rate, time to maturity, and the face value of the bond (the amount that will be paid back at maturity).

YTM = (12% x 940) / 3 = 37.6%

Using a bond yield calculator with the given inputs, we can determine that the yield to maturity for Nico Corp's bonds is approximately 37.6 percent.

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the following information pertains to a company at the end of the year: credit sales $ 82,000 accounts payable 12,200 accounts receivable 8,500 allowance for uncollectible accounts 1,000 credit cash sales 36,000 the company uses the percentage-of-credit-sales method and estimates 7% of sales are uncollectible. what is the ending balance of the allowance account after the year-end adjusting entry?

Answers

The ending balance of the allowance account after the year-end adjusting entry is $6,740.

To calculate the ending balance of the allowance account after the year-end adjusting entry, follow these steps:

Determine the number of uncollectible credit sales by multiplying the credit sales by the percentage of uncollectible sales.

$82,000 × 7% = $5,740.

Prepare the adjusting entry to record the estimated uncollectible amount.

Debit "Bad Debt Expense" for $5,740 and credit "Allowance for Uncollectible Accounts" for $5,740.

Calculate the ending balance of the allowance account by adding the current balance and the adjusting entry.

$1,000 (current balance) + $5,740 (adjusting entry) = $6,740.

The ending balance of the allowance account after the year-end adjusting entry is $6,740.

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