which of the following statements regarding a laffer curve is the most plausible? group of answer choices reducing a high tax rate is less likely to increase tax revenue than is reducing a low tax rate. reducing a high tax rate is more likely to increase tax revenue than is reducing a low tax rate. reducing a high tax rate will have the same effect on tax revenue as reducing a low tax rate. reducing a tax rate can never increase tax revenue.

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Answer 1

The most plausible statement about Laffer Curve is that reducing a high tax rate is more likely to increase tax revenue than reducing a low tax rate.

The Laffer Curve is a theoretical model that suggests that there is a point at which increasing tax rates will eventually lead to a decrease in tax revenue. This curve is often used by policymakers to determine the optimal tax rate that will maximize government revenue.

Out of the given statements, the most plausible one is that reducing a high tax rate is more likely to increase tax revenue than reducing a low tax rate. This statement is based on the idea that high tax rates can discourage economic activity and reduce incentives for individuals and businesses to invest and work.

As a result, reducing high tax rates may stimulate economic growth, increase productivity and lead to an overall increase in taxable income, which in turn could lead to higher tax revenue.

On the other hand, reducing a low tax rate may not necessarily lead to an increase in tax revenue, as there may not be significant room for growth or improvement. Moreover, reducing a low tax rate may result in a smaller tax base, meaning that fewer people or businesses may be paying taxes, and hence tax revenue may decrease.

It is worth noting, however, that the Laffer Curve model is not universally accepted and has been subject to criticism by some economists. Some argue that the relationship between tax rates and revenue is more complex than what the model suggests, and that other factors such as government spending, economic conditions, and tax compliance may also play a significant role in determining tax revenue.

In summary, reducing a high tax rate is more likely to increase tax revenue than reducing a low tax rate. Nonetheless, policymakers need to consider other factors beyond tax rates when designing effective tax policies that promote economic growth and ensure fiscal sustainability.

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Related Questions

gamma industries has net income of $200,000, and it has 1,910,000 shares of common stock outstanding. the company's stock currently trades at $31 a share. gamma is considering a plan in which it will use available cash to repurchase 15% of its shares in the open market at the current $31 stock price. the repurchase is expected to have no effect on net income or the company's p/e ratio. what will be its stock price following the stock repurchase? do not round intermediate calculations. round your answer to the nearest cent.

Answers

The company's stock currently trades at $31 a share. gamma is considering a plan shares of common stock outstanding. Gamma Industries has exactly shares $99.99.

Gamma industry 1,830,000 outstanding shares of common stock and a net income of $1,600,000.

Hence, its earnings per share are $1,600,000 + 1,830,000 = $0.8743.

Currently, the stock is trading at $75.

Hence, the Price Earnings Ratio = $75. $0.8743\s=85.7829

Currently, the corporation wishes to buy back 25% of its outstanding shares,

or 1,830,000 x (25/100) = 457,500.

1,830,000 shares remain outstanding after - 457,500, for a total of 1,372,500.

As a result, the earnings per share following the repurchase were $1.1657 ($1,600,000 + $1,372,500).

As a result, the stock price after the repurchase is calculated as follows:

Price Earnings Ratio x Earnings per Share after Repurchase = 85.7829 x $1.1657 = $99.99. (Note the unaltered price-to-earnings ratio).

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why is frito-lay considering the purchase of cracker jack? (2) what might a swot analysis for cracker jack look like based on an assessment of the ready-to-eat caramel popcorn category? (3) what are the implications for frito-lay?

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Frito-Lay may be considering the purchase of Cracker Jack because it would provide them with a new product line in the ready-to-eat caramel popcorn category, which is a growing and profitable segment of the snack food industry.

Cracker Jack has a strong brand name and loyal customer base, which could help Frito-Lay expand its market share in this category. A SWOT analysis for Cracker Jack based on an assessment of the ready-to-eat caramel popcorn category might look like this:

Strengths:

Established brand name and loyal customer base

Unique product with a strong flavor profile

Established distribution network

Weaknesses:

Limited product line compared to competitors

Limited geographical reach

Dependence on a single product

Opportunities:

Growing demand for healthy snack options

Expansion of product line into other snack categories

Increased marketing and advertising efforts

Threats:

Increased competition in the ready-to-eat caramel popcorn category

Changing consumer preferences and tastes

Regulatory changes affecting the snack food industry

The implications for Frito-Lay would be that they could leverage their existing resources, distribution network, and marketing expertise to grow Cracker Jack's market share in the ready-to-eat caramel popcorn category. However, they would also need to address the weaknesses and threats identified in the SWOT analysis to ensure the long-term success of the acquisition.

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maxxie purchased a tract of land for $29,500. today, the same land is worth $45,100. how many years have passed if the price of the land has increased at an annual rate of 5.7 percent?

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If the price of land has increased at an annual rate of 5.7 percent, then 7.6575 years have passed.

The total cost of borrowing the money is determined by a percentage of the loan's principal using an annual percentage, or APR. The APR on a credit or loan card is meant to provide a precise picture of how much it costs to borrow more money. The yearly rate of return is determined by dividing the overall gain or loss at the end of the year by the initial investment made at the start of the year. The annual rate of return or nominal annual rate are other names for this approach. The amount of interest you would be paying per month is known as a monthly interest rate.

[2ND] [CLR TVN]-29500 [PV]45100 [FV]5.7 [I/Y][CPT] [N] =7.6575 YEARS.

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factory worker, supermarket cashier, and short-order cook are all examples of occupations with high levels of . group of answer choices worker fatigue job strain career stress employee burnout

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Factory worker, supermarket cashier, and short-order cook are all examples of occupations with high levels of job strain.

"What is job strain"? Job strain is a common work-related stressor that results from an individual's lack of control over job demands. When job demands are high and the worker has little control over how they perform their job duties, job strain may occur. Job strain is common in occupations that involve high levels of responsibility and the need to perform demanding work duties on a daily basis.

Supermarket cashier, factory worker, and short-order cook are all examples of occupations with high levels of job strain because they require a lot of physical and mental effort to perform their duties.

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compute the inventory turnover ratio for the month of january under the fifo and lifo inventory costing methods. which costing method is the more accurate indicator of the efficiency of inventory management?

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To compute the inventory turnover ratio for the month of January under the FIFO and LIFO inventory costing methods, we need more information such as the cost of goods sold and average inventory.

Without that information, we cannot compute the inventory turnover ratio, and thus cannot determine which costing method is a more accurate indicator of inventory management efficiency.

The inventory turnover ratio measures the number of times a company sells and replaces its inventory during a specific period. It is computed by dividing the cost of goods sold by the average inventory for that period. The FIFO and LIFO methods are two common inventory costing methods used to determine the cost of goods sold and ending inventory.

Under the FIFO method, the first items purchased are the first items sold, while under LIFO, the last items purchased are the first items sold. The choice of inventory costing method can have a significant impact on the reported cost of goods sold, gross profit, and net income.

However, determining which costing method is a more accurate indicator of inventory management efficiency depends on the specific circumstances of the business.

In general, the FIFO method tends to provide a more accurate picture of the cost of goods sold, as it reflects the actual flow of inventory. On the other hand, the LIFO method may be more useful in periods of rising prices, as it tends to result in lower taxable income and higher cash flow.

Ultimately, the choice of inventory costing method should be based on a careful analysis of the business's needs and goals, as well as the specific characteristics of its inventory and pricing environment.

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erps are useful to auditors for which of the following reasons? multiple choice erps are required by the sarbanes-oxley act of 2002. erps track details regarding creation, modification, and use of transactions throughout the organization in a single system. erps are spread across multiple logical databases, allowing auditors to minimize disruption to processing when reviewing erp activity. erps use cloud computing technology, which allows auditors to review transactions from anywhere.

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ERPs track the details of the creation, revision, and use of deals within the association in one system. This is variant C.

Enterprise Resource Planning( ERP) is a software system that helps you manage your entire business by supporting robotization and processes in finance, mortal coffers, manufacturing, force chain force, services, copping ,etc.

As the name suggests, the main idea of ERP is to manage the company's colorful coffers so that they're used in a cost-effective manner. It should also be assured that all coffers are used efficiently.

Question

ERP is useful to adjudicators for which of the following reasons?

a) The ERP uses pall-calculating technology that allows adjudicators to view deals from anywhere.

b) ERPs are distributed across numerous logical databases, which makes it possible

c) verifier to minimize processing interruptions when vindicating ERP conditioning.

d) ERP lines track the details of creation, revision, and operation

deals across the enterprise in one system.

e) ERPs are commanded by the Sarbanes- Oxley Act of 2002.

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a taxpayer gave a gift of land worth $90,000 to a cousin. the land's original cost to the taxpayer was $30,000. as a result of the transfer, the taxpayer paid a gift tax of $12,000. assuming an annual gift exclusion of $15,000, what is the cousin's basis in the land?

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The cousin's basis in the land is $30,000, which is the original cost to the taxpayer, as the gift tax paid does not affect the basis.

The cousin's basis in the land is equal to the taxpayer's basis at the time of the gift, which is $30,000. The gift tax paid by the taxpayer is not relevant to the cousin's basis calculation.

The taxpayer is required to file a gift tax return to report the gift since it exceeded the annual gift exclusion of $15,000. However, the taxpayer does not owe any gift tax on the transfer because it is below the lifetime gift tax exemption amount, which was $11.7 million in 2021.

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Carrie is creating a personal balance sheet. the heading includes the period of time that the balance sheet represents. which could be the heading of carrie’s balance sheet? a. carrie’s balance sheet (january 1, 2021) b. carrie’s balance sheet (january)c. carrie’s balance sheet (friday, january 3) d. carrie’s balance sheet (january 2011 â€" january 2021)

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Carrie's Balance Sheet (January 1, 2021) serves as the most appropriate heading for Carrie's income statement because it includes the specific date which the balance sheet reflects (January 1, 2021).

(d) can not be the most appropriate heading

a. Carrie's Balance Sheet (January 1, 2021) is the most appropriate heading for Carrie's balance sheet as it includes the specific date (January 1, 2021) that the balance sheet represents. This provides clarity and accuracy regarding the period of time the balance sheet covers.

b. Carrie's Balance Sheet (January) would not be as specific as (a) as it only includes the month (January) without specifying the year.

c. Carrie's Balance Sheet (Friday, January 3) includes the day of the week (Friday) along with the date (January 3), which may not be necessary information for a balance sheet heading.

d. Carrie's Balance Sheet (January 2011 - January 2021) would imply that the balance sheet represents a period of 10 years, which may be too broad for a personal balance sheet. Personal balance sheets typically represent a snapshot of an individual's financial position at a specific point in time rather than a range of years.

Therefore, (d) may not be the most appropriate heading for a personal balance sheet. So, option (a) is the most suitable heading for Carrie's balance sheet.

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on january 1, 2014, ellison co. issued eight-year bonds with a face value of $3,000,000 and a stated interest rate of 6%, payable semiannually on june 30 and december 31. the bonds were sold to yield 8%. table values are: present value of 1 for 8 periods at 6% .627 present value of 1 for 8 periods at 8% .540 present value of 1 for 16 periods at 3% .623 present value of 1 for 16 periods at 4% .534 present value of annuity for 8 periods at 6% 6.210 present value of annuity for 8 periods at 8% 5.747 present value of annuity for 16 periods at 3% 12.561 present value of annuity for 16 periods at 4% 11.652 16. the present value of the principal is

Answers

The present value of the principal is $3,270,300.

The present value of the principal is calculated as follows: The amount of the bond payable semi-annually is given by the formula:PMT = (Stated interest rate * Face value) / Number of payments per yearSubstituting the values given:PMT = (6% * $3,000,000) / 2= $90,000The present value of an annuity of $1 for eight years at a 6% interest rate and two payments per year is 6.210.

The present value of an annuity of $1 for eight years at an 8% interest rate and two payments per year is 5.747.The present value of the principal is calculated as follows:PV = (PMT * PV annuity factor) + (Face value * PV factor)PV = ($90,000 * 6.210) + ($3,000,000 * 0.627)PV = $1,389,300 + $1,881,000PV = $3,270,300.

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a product sells for $30 per unit and has variable costs of $17.50 per unit. the fixed costs are $975,000. if the variable costs per unit were to decrease to $16.65 per unit, fixed costs increase to $1,041,300, and the selling price does not change, break-even point in units would: monthunits sold cost of salesjanuary460 $33,400february860 $40,000march1,900 $52,000april2,700 $64,000using the high-low method, the estimated variable cost of sales per unit sold is: monthunits sold cost of salesjanuary580 $27,800february720 $33,000march1,200 $45,000april2,580 $57,000using the high-low method, the estimated total fixed cost is:

Answers

Estimated variable cost of sales per unit sold = Change in cost of sales / Change in units sold = $30,600 / 2,240 = $13.66.To calculate the estimated total fixed cost using the high-low method, we can use the formula: Estimated total fixed cost = Total cost - (Estimated variable cost per unit x Total units)

To calculate the break-even point in units, we can use the formula:

Break-even point (units) = Fixed costs / (Selling price per unit - Variable costs per unit)

Using the original numbers, we get:

Break-even point (units) = $975,000 / ($30 - $17.50) = 65,000 units

If the variable costs per unit decrease to $16.65 and fixed costs increase to $1,041,300, the break-even point in units would be:

Break-even point (units) = $1,041,300 / ($30 - $16.65) = 78,000 units

To calculate the estimated variable cost of sales per unit sold using the high-low method, we need to find the change in cost of sales and the change in units sold between the highest and lowest months.

Using the highest and lowest months (April and January), we get:

Change in cost of sales = $64,000 - $33,400 = $30,600

Change in units sold = 2,700 - 460 = 2,240

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in 1970, 41% of married women were in the labor force, but by 2015, according to the bureau of labor statistics, 56.7% of married women were in the labor force. how has this effected family composition? choose the answer below which best answers this question. select the correct answer below: two earner house holds have increased. single parent house holds have increased. high income dual earner incomes have increased. all of the above.

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Sixty-three percent of moms in married couple households and nearly three-quarters of mothers in single parent families are employed (73.2 percent).

Thus,the correct option is all of the above

In India's metropolitan areas, roughly 4 in 10 women and 1 in 10 males in their early 20s were married in 2019–20. 9 out of 10 married males and just about 1 in 10 married women both worked for a living. In light of the upcoming worldwide women's day on March 8, these statistics are depressing.

In other terms, the population's participation rate is the proportion of people who are either employed or actively looking for work.

The formula for calculating the labour force participation rate is (Labor Force Civilian Noninstitutional Population) x 100.

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g in the job characteristics model (jcm), which dimension has the greatest impact on the job mps (motivating potential score)?

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In the Job Characteristics Model (JCM), the dimension that has the greatest impact on the job MPS (Motivating Potential Score) is skill variety.

The Job Characteristics Model (JCM) is a tool for describing jobs as stimulating and motivational for employees by increasing their sense of responsibility, achievement, and personal growth. It is based on the premise that the central aspect of job satisfaction is the extent to which jobs fulfill the characteristics that an employee expects it to have. It is a theory of work design that emphasizes the importance of designing jobs that meet employees' motivational needs by considering their characteristics.

It proposes that there are five core job characteristics that are related to critical psychological states, which in turn influence personal and work outcomes. The five job characteristics in the Job Characteristics Model are:Skill varietyTask identityTask significanceAutonomyFeedback.Motivating Potential Score (MPS) is a measure used to assess the potential of a job to motivate employees. It is calculated using the Job Characteristics Model's five dimensions to assess the level of challenge and skill required to perform a job.

MPS measures the degree to which a job's characteristics are motivating and encouraging for an employee, which contributes to their performance, job satisfaction, and growth potential. MPS is a number that ranges from 0 to 100, with higher scores indicating greater motivation potential.

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employees without formally defined power positions exercise significant personal power within an organization by creating a sense of

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Employees without formal power positions can exercise significant personal power in an organization by creating a sense of influence or credibility among their colleagues.

This personal power is often based on their expertise, knowledge, and personal charisma, and it can be just as influential as the formal power that comes with a job title or position. By gaining the respect and trust of their coworkers, these individuals can influence decisions and outcomes in the workplace.

For example, a senior salesperson who has been with the company for many years may not hold a formal management position but may still have significant influence within the sales team due to their experience and expertise.

Similarly, an employee who is particularly skilled at building relationships with clients may be able to influence decisions and outcomes related to customer service and retention, even if they do not hold a formal leadership position.

In essence, personal power is derived from an employee's ability to influence others through their personal attributes, rather than their position or authority within the organization.

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which of the four functions of management lays the groundwork and creates a well-designed road map of the actions needed to lead a company forward?

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The function of management that creates a well-designed road map of the actions needed to lead a company forward is Planning.

The management function that lays the groundwork and creates a well-designed road map for the actions needed to lead a company forward is the "Planning" function. Planning involves defining goals, developing strategies, outlining tasks and schedules, and allocating resources to achieve those goals.

It provides direction and purpose to an organization by outlining what needs to be accomplished and how to achieve it. Without a well-designed plan, an organization may lack direction and focus, and may not be able to effectively allocate resources and achieve its goals.

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The given question is incomplete, the complete question is:

Which functions of management lays the groundwork and creates a well-designed road map of the actions needed to lead a company forward ?

the difference between a revenue or cost item in the planning budget and the same item in the flexible budget at the actual level of activity is a(n) blank variance. multiple choice question. revenue activity spending

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The difference between a revenue or cost item in the planning budget and the same item in the flexible budget at the actual level of activity is a(n) spending variance.

A spending variance refers to the difference between the amount of money that was budgeted for a certain expense category and the amount of money that was actually spent. This variance can be either positive or negative, and it can indicate either over- or under-spending in a particular category.

ExampleSuppose a company budgeted $5,000 for office supplies in the current quarter, but the actual amount spent was $5,500. This would represent a negative spending variance of $500. If, on the other hand, the company had only spent $4,500 on office supplies, that would represent a positive spending variance of $500.

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according to the video, one in five jaguar-land rover purchases are from chinese buyers. the luxury car brand has also seen an 80% increase in sales in the chinese market since the beginning of 2015. based on these numbers, why does it make sense to diversify production into china?

Answers

Diversifying production in China can help Jaguar-Land Rover tap into a growing market, reduce costs, and increase their competitiveness in the global luxury car market.

Based on the statistics provided, it makes sense for Jaguar-Land Rover to diversify production into China because the Chinese market is a significant source of demand for their products.

With one in five purchases coming from Chinese buyers and an 80% increase in sales since 2015, it is clear that there is a strong demand for luxury cars in China. By diversifying production into China, Jaguar-Land Rover can potentially reduce costs associated with importing cars from their existing production facilities, while also gaining a greater understanding of local customer preferences and increasing their brand presence in the Chinese market.

Additionally, producing vehicles in China may allow the company to take advantage of local incentives and regulations that are designed to promote the growth of the domestic auto industry.

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tb mc qu. 05-108 (algo) a company reports... a company reports the following information: month units sold total cost january 990 $ 5,540 february 1,890 $ 7,080 march 2,580 $ 9,000 april 690 $ 3,330 using the high-low method, the estimated total fixed cost is:

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A business discloses the following data: January cost per month, total units sold: 990 $ 5,540 March 2,580 $ 9,000 February 1,890 $ April 690 $ 3,330. The estimated total fixed cost is  $846.

To use high low method, we need to identify the highest and lowest activity levels and their corresponding costs.

Highest activity level: 2,580 units sold in march with a total cost of $ 9,000.

Lowest activity level: 690 units sold in April with a total cost of $ 3,330

Using these value, we can calculate the variable cost per unit:

Variable cost per unit=(Total cost at Highest activity level-Total cost at Lowest activity level)/(Highest activity level-Lowest activity level)

Variable cost per unit=($ 9,000-$ 3,330)/(2,580-690)=$3.60

To calculate the total fixed cost, we can use either the highest or lowest activity level and their corresponding total costs:

Total fixed costs=Total cost-(Variable cost per unit*Number of units)

Using the highest levels:

Total fixed costs=$ 9,000-($3.60*2580)=$ 9,000-$ 9,288=-$288

Using the Lowest levels:

Total fixed costs=$ 3,330-($3.60*690)=$ 3,330-$ 2,484=$846

Since the negative fixed cost doesn't make sense, we can conclude that the estimated total fixed costs using high low method is $846.

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in the figure below shaded areas indicate recessions and white areas indicate booms. a chart depicting a blue line that rises and falls over time between 1974 and 1990; the line goes up during shaded areas and generally down in non shaded areas which macroeconomic variable is plotted in this figure? a. dow jones industrial index b. unemployment rate c. gdp growth rate d. aggregate investment e. aggregate consumption

Answers

In the figure of shaded areas indicate recessions and white areas indicate booms, the macroeconomic-variable that is plotted in figure is (b) Unemployment Rate.

The "Unemployment-Rate" is a macroeconomic variable that measures the percentage of the labor force that is currently unemployed but seeking employment and willing to work at the prevailing wage rate.

The labor force consists of all employed and unemployed people in an economy who are of working age and are either employed or actively seeking employment.

In the given diagram the drawn line rises during "recession-period" and falls in "boom-time" period.

In recession the "production-level" decrease and this decrease  employment level. As a result, "unemployment-rate" increase.

In boom time period, the "production-level" increase and this increase the employment level. As a result, "unemployment-rate" decrease.

So, the given figure represents unemployment rate.

Therefore, the correct option is (b).

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The given question is incomplete, the complete question is

In the figure below shaded areas indicate recessions and white areas indicate booms.

Which macroeconomic variable is plotted in this figure?

(a) Dow Jones Industrial Index

(b) Unemployment Rate

(c) GDP growth rate

(d) Aggregate Investment

(e) Aggregate Consumption.

accounting is an information and measurement system that identifies, records, and communicates an organization's business activities. true false

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An organization's business activities can be identified, recorded, measured, and communicated using an accounting system. True

The data is utilized to assess the organization's position and financial performance in order to make wise business decisions. In order to guarantee that the financial information presented is accurate, dependable, and pertinent, accounting entails the use of established concepts and standards.

The system has procedures for compiling financial statements, tracking transactions, and studying financial information. Accounting is crucial to corporate management because it offers crucial data for planning, budgeting, and decision-making. It would be difficult to successfully manage a business's financial resources without accounting.

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the following information applies to a taxpayer who owns two rental properties, property a and property b, and has no other involvement in passive activities: the taxpayer does not meet the requirements for the rental real estate exceptions. in year 3, property a is sold to an unrelated party for an $8,000 gain. other income for year 3 includes $4,000 interest income and $12,000 wages. what is the taxpayer's agi for year 3?

Answers

The taxpayer's AGI for year 3 is $24000. So the option A is correct.

The taxpayer's AGI for Year 3 would be $20,000 ($4,000 interest income + $12,000 wages + $8,000 gain from the sale of Property A).

Since the taxpayer does not meet the requirements for the rental real estate exceptions, the losses from Property A and the income from Property B are not taken into consideration for calculating AGI.

Therefore, the $8,000 gain from the sale of Property A is the only passive activity that is taken into account when calculating AGI.

Sale value of property A = $8000

Wages = $12000

Interest Income = $4000

Total AGI = Sale value of property A + Wages + Interest Income

Total AGI = $8000 + $12000 + $4000

Total AGI = 24000 $

So the option A is correct.

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The complete question is:

The following information applies to a taxpayer who owns two rental properties, Property A and Property B, and has no other involvement in passive activities:

                                  Year 1                     Year 2                     Year 3

Property A loss         $14,000                 $9,000                       $0

Property B income   $5,000                   $3,000                       $0

The taxpayer does not meet the requirements for the rental real estate exceptions. In year 3, Property A is sold to an unrelated party for an $8,000 gain, Other income for year 3 Includes $4.000 interest income and $12,000 wages. What is the taxpayer's AGI for year 3?

Multiple Choice

A. $24,000

B. $9,000

C. $16,000

D. $12,000

In the last pay period, Joana paid $201.60 in total taxes on their gross earnings of $1120. What percentage of their gross income do they pay in taxes?

Answers

The percentage of gross income that was paid in taxes by Joana was 18 % of gross income.

How to find the percentage of gross income?

To find the percentage of Joana's gross income that she paid in taxes, we can use the following formula:

Percentage of income paid in taxes = (Total taxes paid / Gross income) x 100%

Plugging in the given values, we get:

Percentage of income paid in taxes = (201.60 / 1120) x 100%

Percentage of income paid in taxes = 0.18 x 100%

Percentage of income paid in taxes = 18%

Therefore, Joana paid 18% of her gross income in taxes during the last pay period.

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. improvements in technology. 2. increases in the supply (stock) of capital goods. 3. purchases of expanding output. 4. obtaining the optimal combination of goods, each at least-cost production. 5. increases in the quantity and quality of natural resources. 6. increases in the quantity and quality of human resources. which set of items in the accompanying list would move an economy from a point inside its production possibilities curve to a point on its production possibilities curve?

Answers

Items 1, 2, 3, 5, and 6 on the list could potentially move an economy from a point inside its production possibilities curve to a point on its production possibilities curve by increasing the economy's productive capacity.

A production possibilities curve (PPC) depicts the utmost output that can be created given the available resources and technology. If the economy is presently functioning below the PPC, boosting productive capacity can shift it to a point on the curve.

This can be accomplished through technological advancements, increases in the supply of capital products, purchases of growing production, increase in the quantity and quality of natural resources, and increases in the quantity and quality of human resources. These modifications may result in improved productivity and efficiency, enabling the economy to create more output and move to a point on the PPC.

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mo just paid back a loan from his cousin by giving his cousin $13500. it was a 10-year loan using 8% simple interest. how much did mo borrow 10 years ago? question 17 options: a) 12420

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Mo recently returned a debt from his cousin by sending him $13,500. It was an 8% simple interest loan with a 10-year term. Mo borrowed $1516.85, 10 years ago.

Lenders make money when you take out a loan by charging interest. Or to put it another way, interest is the cost of borrowing loan from a bank. You are thus required to repay the debt in full plus the amount you borrowed plus the interest. Interest is the fee you pay to borrow money or the fee you charge to lend money. The most typical way to represent interest is as a yearly percentage of the loan amount. The interest rate on the mortgage is known as this percentage.

We know that Mo paid back a loan of $13500 after 10 years at a loan of $13500 after of 89%. We can use this information to find the Principal amount:

Simple interest= Principal * rate* time

13500=Principal * 0.89* 10

Principal= 13500/8.9

Principal= 1516.85

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replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because

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Replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because Implementing.

Because it necessitates considerable modifications to the organization's current processes and procedures, implementing an enterprise risk management programme to replace a standard risk management programme can be difficult for a company.

This calls for the creation of a culture of risk awareness, the implementation of a complete risk management programme, and its integration with the broader operations of the business. An enterprise risk management programme must also be customised to the firm's needs and continually reviewed and updated to account for shifting circumstances.

To guarantee the programme is successful and achieves the organization's goals, a significant amount of time and money must be invested.

Moreover, partnerships with external suppliers must be built and maintained.

Complete Question:

Replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because ____________.

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campbell soup stock currently sells for $99.58 per share and is expected to pay a year-end dividend of $2.89. if campbell's constant growth rate is 2.36%, calculate the expected rate of return.

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To calculate the expected rate of return for Campbell Soup's stock, we need to use the dividend discount model.

This model calculates the present value of all future expected dividends and capital gains. Using the formula, the expected rate of return for Campbell Soup's stock can be calculated as follows: Expected Rate of Return = (Expected Year-End Dividend / Stock Price) + Expected Growth Rate

Substituting the given values, we get: Expected Rate of Return = ($2.89 / $99.58) + 2.36% = 5.46% Therefore, based on the information provided, the expected rate of return for Campbell Soup's stock is 5.46%. This means that an investor can expect to earn a return of 5.46% on their investment in Campbell Soup's stock, consisting of dividends and capital gains.

However, it is important to note that this is just an estimate based on certain assumptions, such as the expected growth rate remaining constant. Investors should also consider other factors, such as market conditions and the company's financial performance, before making investment decisions.

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a single timebox during which specific agreed upon deliverables will be constructed and then demonstrated to the stakeholders is referred to as a(n) . a. user story b. release c. value stream target d. iteration or sprint e. nmnm

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"The single timebox during which specific agreed upon deliverables will be constructed and demonstrated to stakeholders is referred to as an iteration or sprint." Option D is correct.

An iteration or sprint is a time-boxed period, usually lasting 1-4 weeks, in which a team of developers works to complete a specific set of features or user stories. The team plans the work they will accomplish during the sprint in advance and then collaborates daily to make progress towards their goals.

At the end of the sprint, the team demonstrates their completed work to stakeholders, gathering feedback and insights for the next iteration. This process allows teams to work in a structured, predictable manner, and ensures that progress is regularly reviewed and validated by stakeholders.

Option D holds true.

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a company's history indicates that 25% of its sales are for cash and the rest are on credit. collections on credit sales are 25% in the month of the sale, 40% in the month after the sale, 20% in the second month after the sale and 15% is uncollectible. projected sales for december, january, and february are $67,000, $92,000 and $102,000, respectively. the february expected cash receipts from current and prior credit sales is:

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If collections on credit sales are 25% in the month of the sale, 40% in the month after the sale, the february expected cash receipts from current and prior credit sales is $62,225

To calculate the expected cash receipts from current and prior credit sales in February, we need to determine the portion of each month's credit sales that will be collected in February.

For December's credit sales of $16,750 (i.e., $67,000 x 75%), the expected collections in February would be:

25% collected in December = $4,188

40% collected in January = $6,700

20% collected in February = $3,350

15% uncollectible = $2,513

Therefore, the expected cash receipts in February from December's credit sales would be $11,225 ($4,188 + $6,700 + $3,350 - $2,513).

For January's credit sales of $69,000 (i.e., $92,000 x 75%), the expected collections in February would be:

25% collected in January = $17,250

40% collected in February = $27,600

20% collected in March = $13,800

15% uncollectible = $10,350

Therefore, the expected cash receipts in February from January's credit sales would be $27,450 ($17,250 + $27,600 + $13,800 - $10,350).

Finally, for February's credit sales of $76,500 (i.e., $102,000 x 75%), the expected collections in February would be:

25% collected in February = $19,125

40% collected in March = $30,600

20% collected in April = $15,300

15% uncollectible = $11,475

Therefore, the expected cash receipts in February from February's credit sales would be $23,550 ($19,125 + $30,600 + $15,300 - $11,475).

Adding up the expected cash receipts from all three months, we get a total of $62,225 ($11,225 + $27,450 + $23,550) in expected cash receipts from current and prior credit sales in February.

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john blakemore's home is located in columbus, ohio, where the rate of assessment is 35% of market value. the tax rate is $61.23 per $1,000 of assessed value. his home has a market value of $275,000. what is the property tax in dollars. round it to the nearest hundredth.

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John Blakemore's property tax is $5,891.94.

Property tax is a tax that homeowners pay to the local government based on the value of their property.

In John Blakemore's case, his home is located in Columbus, Ohio, where the rate of assessment is 35% of market value. This means that the local government assesses his home to be worth 35% of its market value, which is $275,000 in this case.

To calculate the assessed value of John Blakemore's home, we need to multiply the market value by the assessment rate:

Assessed value = market value x assessment rate

Assessed value = $275,000 x 0.35

Assessed value = $96,250

Now that we have the assessed value of the property, we can calculate the property tax. The tax rate in Columbus, Ohio, is $61.23 per $1,000 of assessed value. To calculate the property tax, we need to multiply the assessed value by the tax rate and then divide by 1,000:

Property tax = (assessed value x tax rate) / 1,000

Property tax = ($96,250 x $61.23) / 1,000

Property tax = $5,891.94

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one-year treasury bills currently earn 4.15% and you expect that one year from now, one-year treasury bill rates will increase to 4.95%; if the liquidity premium on two-year securities is 0.55%and the liquidity theory is correct, what should the current rate be on two-year treasury securities?

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The current rate on two-year Treasury securities should be 4.7%.

The formula to compute the current rate on two-year Treasury securities is given as follows:

R2 = R1 + LP2Here, R2 represents the rate on two-year Treasury securities, R1 represents the one-year Treasury bill rate, and LP2 represents the liquidity premium on two-year securities. We are given that the one-year Treasury bill rate is 4.15%, and it will increase to 4.95% in one year. Therefore, R1 = 4.15%, and R1' = 4.95%.

We have to find the rate on two-year Treasury securities, R2. The liquidity premium on two-year securities is 0.55%, which means LP2 = 0.55%.Now we can plug in the values in the formula to get R2 as follows:R2 = R1 + LP2 = 4.15% + 0.55% = 4.7%.

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HELP ASAP. WILL GIVE BRAINLIEST
after decreasing nominal GDP & real GDP, what would the next step for the federal reserve bank?
A. Observe how inflation is a factor.
B. Force banks to set the interest rate at 0%
C. Force consumers to buy more products

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The Federal Reserve Bank would normally monitor inflation after lowering both nominal and real GDP. This is so because the Federal Reserve Bank's monetary policy focuses primarily on reducing inflation.

How does the Fed keep inflation in check?

The Federal Reserve wants to affect interest rates in order to curb inflation. The Federal Reserve normally boosts interest rates to slow the economy and lower inflation when it is out of control.

Which of the following, if significant enough, would result in a decline in real GDP and a recession?

Response and justification the right response is a rise in interest rates that lowers overall demand.

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