Milton Friedman also believed that anything other than socialism should be considered.
What is socialism?This is a term that is used to refer to the economic system that has the government of a place controlling the means of production.
Most communist nations are known to practice socialism by being in charge of supply and demand in the country.
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What happens if you still have a balance on your credit card AFTER the company starts charging you interest?
A: The bank will make your interest payments for you
B: The bank will extend the 0% APR so you don't pay interest
C: The bank will offer you a 0% so they make no money off you
D: The bank will make money from the interest fees you pay
In its 20X5 income statement, Tow, Inc. reports proceeds from an officer's life-insurance policy of $90,000 and depreciation of $250,000. Tow was the owner and beneficiary of the life insurance on its officer. Tow deducted depreciation of $370,000 in its 20X5 income tax return when the tax rate was 30%. Data related to the reversal of the excess tax deduction for depreciation follow: Year Reversal of excess tax deduction Enacted tax rates 20X6 $50,000 35% 20X7 $40,000 35% 20X8 $20,000 25% 20X9 $10,000 25% There are no other temporary differences. In its December 31, 20X5 balance sheet, what amount should Tow report as a deferred income tax liability
Answer:
the deferred income tax liability is $25,200
Explanation:
The computation of the deferred income tax liability is given below:
= Excess of depreciation as per tax over books × Tax rate
= ($370,000 - $250,000) × 21%
= $25,200
Hence, the deferred income tax liability is $25,200
We simply applied the above formula so that the correct value could come
And, the same would be considered
where is the account accumulated depreciation on equipment found on the financial statements?
Answer:
The Balance Sheet
Explanation:
The accumulated depreciation lies right underneath the "property, plant and equipment" account in a statement of financial position, also known as a balance sheet or report on financial condition.
The annual market risk premium averaged over the past century is approximately blank______.
The annual market risk premium averaged over the past century is approximately the difference between the average return on the overall market and the risk-free rate of return. It helps investors estimate the additional return they can expect for taking on the risk of investing in the stock market.
The annual market risk premium averaged over the past century is approximately the difference between the average return on the overall market and the risk-free rate of return. It is used to estimate the additional return investors expect to receive for taking on the risk associated with investing in the stock market.
To calculate the market risk premium, you subtract the risk-free rate of return from the average return on the overall market. The risk-free rate is typically based on the return of a government bond or a similar low-risk investment.
For example, let's say the average return on the overall market over the past century was 10% and the risk-free rate of return was 3%. In this case, the market risk premium would be 7% (10% - 3%).
It's important to note that the market risk premium can vary over time and is influenced by factors such as economic conditions, investor sentiment, and market volatility. Therefore, the average market risk premium over the past century may not be indicative of future market conditions.
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Which can be added to profit to obtain total revenue?
To obtain total revenue, you can add "cost" to "profit." This is because total revenue is the sum of the profit and the cost of goods or services sold.
To obtain total revenue, you would add sales or revenue generated from the sale of goods or services to the profit. Profit is the amount remaining after deducting all expenses from total revenue, so adding profit to total revenue would not give you the correct result. Instead, the formula for calculating total revenue is:
Total Revenue = Sales Revenue + Other Revenue
Other revenue refers to any additional income or revenue sources that a business may have, such as interest income, rental income, or revenue from non-core business activities. By adding both sales revenue and other revenue together, you can calculate the total revenue generated by a business.
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Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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Journalize the following considering the seller is a SERVICE provider (i.e. NOT a manufacturer)
>> Assigned labor costs based on time cards for the month which indicated labor costs of 100,000 (80% direct and 20% indirect).
Group of answer choices
DR: Service Contracts In Process 80,000
DR: Manufacturing Overhead 20,000
CR: Payroll Liabilities 100,000
DR: Work in process 80,000
DR: Manufacturing Overhead 20,000
CR: Payroll Liabilities 100,000
DR: Service Contracts In Process 80,000
DR: Operating overhead 20,000
CR: Payroll Liabilities 100,000
DR: Service Contracts In Process 80,000
DR: Payroll Liabilities 100,000
CR: Manufacturing Overhead 20,000
The journal entry for a service provider would be:
DR: Service Contracts In Process $80,000
DR: Operating Overhead $20,000
CR: Payroll Liabilities $100,000
In this entry, the assigned labor costs of $100,000 are recorded. $80,000 is debited to the Service Contracts In Process account, representing the direct labor costs associated with the service contracts being worked on. $20,000 is debited to the Operating Overhead account, reflecting the indirect labor costs incurred in providing the services. Finally, the Payroll Liabilities account is credited for the total labor costs, indicating the company's obligation to pay its employees for their work. This journal entry accurately reflects the allocation of labor costs for a service provider.
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He said," I don't like you" change in indirect speech
Answer:
whether'.
Explanation:
Helpmeeeeeeeeeeeeeee
Answer:
18. b : most economic decisions are made by buyer and sellers
19. b : federal income tax
Explanation:
If a stock you buy is $50 per share and pays $2 per year in total dividends;
what is the dividend yield of the stock?*
Answer:
4%
Explanation:
Dividend yield shows the dividends paid out annually as a percentage of the share market price.
The formula for calculating dividend yield is the annual dividend per share/market value per share.
Dividend yield = dividend/ market share price x 100
Dividend yield = 2/50 x 100
Dividend yield = 0.04 x 100
Dividend yield = 4%
If you own a zero coupon bond that will pay $100,000 in 5 years and market interest rates for similar bonds fall from 8% to 6%, what happens to the value of your bond?.
A zero coupon bond is a type of bond that pays no interest. In contrast, instead of paying annual or semi-annual coupon payments, the bond is sold at a discount from its face value and the full value of the bond is paid at maturity.
The bond's value is inversely proportional to interest rates. When market interest rates increase, the bond's value decreases and vice versa. So, what happens to the value of your bond if market interest rates for similar bonds fall from 8% to 6% if you own a zero coupon bond that will pay $100,000 in 5 years.
The bond's value will rise if market interest rates fall from 8% to 6%. When market interest rates fall, the value of bonds rises and the price of zero-coupon bonds increases, providing a hedge against interest rate risk. In this scenario, the bond's present value will increase if interest rates fall.
The bond's current value will be determined using the present value equation for a single sum: P = FV / (1 + r)n Where P is the current value, FV is the future value, r is the interest rate, and n is the number of years to maturity.
The bond's value, according to the above formula, is: P = $100,000 / (1 + 0.06)5= $74,386.79
Thus, the value of your bond would increase from $68,058.73 to $74,386.79 if market interest rates fall from 8% to 6%.
Therefore, we can conclude that when market interest rates fall, the value of zero-coupon bonds rises.
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When does a customer relationship being
A) when the customer complains
B) after several sales
C) before the first sale
D) when the customer fills out a survey
E) when the customer receives the merchandise
Pharmacy technicians work in pharmacies that can be found where? Check all of the boxes that apply.
hospitals
drug stores
medical clinics
schools
manufacturing labs
Answer:
could be 3 of those answer choices
-hospitals
-drug stores
medical clinics
Explanation:
Answer:
1 2 3
Explanation:
Why did Poland make the transition from dictatorship to democracy
The current situation in Poland is seen as a strategic contest between the administration and the opposition. The transition is envisioned as a series of deliberate choices about political configurations.
When did Poland transition to democracy?The current situation in Poland is seen as a strategic contest between the administration and the opposition. The transition is envisioned as a series of deliberate choices about political configurations.
Poland experienced three of these regimes in the 1980s: a strict dictatorship, a broader dictatorship, and a democracy. Every single one can be thought of as a game-theoretic equilibrium. A change from one equilibrium to another is used to explain the transition between two political regimes. These changes happened as a result of shifting incentives for the government and the opposition brought about by a declining likelihood of Soviet intervention.
Therefore, Poland makes the transition from dictatorship to democracy.
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When you or someone else buys clothing or items produced in a foreign country, who benefits?
Explain your answer.
How does American style differ from Japanese style? Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. Japanese style is identified as casual, athletic, and clean-cut while American style is noted for having complicated cutting and structure.
Answer:
American style is identified as casual, and ethic and clean cut while japanese style is considered poorly and has been noted for having complicated cutting and structure
Explantion:
got it right on Edge 2022
76Q. You should waive all buyout fees when an active military member cancels their membership due to active military deployment.
Waiving all buyout fees for active military members is a simple yet meaningful way to show support and appreciation for their service and sacrifice. It is important for businesses and organizations to recognize the unique needs of military members and provide flexible and accommodating policies to support them.
To address the issue of buyout fees for active military members, it is important to recognize the unique circumstances and challenges faced by these individuals during their service. Military members may be required to deploy or relocate frequently, often with little notice or control over their schedules. As such, it is important to show support and flexibility for these individuals in any way possible.
One way to do this is by waiving all buyout fees when an active military member cancels their membership due to active military deployment. This allows military members to focus on their duties without worrying about additional financial burdens, and demonstrates a commitment to supporting our troops and their families.
Furthermore, it is important to note that this policy should apply not only to the initial sign-up period, but also throughout the duration of the membership. If a military member is required to relocate or deploy during their membership, they should be able to cancel without penalty or additional fees.
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How do you manage heavy workload in the workplace
Answer:
It’s called the STAR format, which stands for Situation or Task, Action, and Results.
Explanation:
Everyone has had a significant burden at some point in their professional lives. For me, being able to stand back and assess the circumstance can help me see things more clearly and objectively. I've discovered that it's preferable to prioritize the chores at hand rather than jumping in and attempting to accomplish it all—and all at once. Even if it can seem like everything needs to be done right now, that may not always be the case. To ensure that everyone in my team and my supervisor is aware of the projects that need to be completed immediately, I would organize those that do.
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How do objectives make it more likely that you will reach your goals?
.A.Objectives are based on others' experiences.
.B.Objectives provide a step-by-step path to success.
.C.Objectives are the best way to assess your interests.
.D.Objectives help guide your career choices.
Answer:B.Objectives provide a step-by-step path to success.
Explanation:
What are customer needs?
Answer:
A customer need is a need that motivates a customer to purchase a product or service.
Which of these is an educational institution where you can complete an undergraduate
study program in order to get a bachelor's degree?
A 2 year ollege
B Technical School
C Certificate program
D 4 year College
can woolworths raise extra capital for expansion
Woolworths can raise extra capital for the expansion a shop in each kingdom in Australia. With the organisation and its stores strolling correctly. Woolworths commenced to experiment with expanding their grocery range more shops began stocking clean culmination and vegetables and a bigger variety of meals.
Woolworths has created an aggressive facet thru its tremendous logistics systems and particularly organized providers' contracts, which ensure that goods are introduced at the proper time. further, the employer uses era to manipulate its delivery chain and stock.
Woolworths has created an aggressive part thru its outstanding logistics systems and relatively organized providers' contracts, which ensure that items are brought at the right time. in addition, the employer makes use of technology to control its supply chain and stock.
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1. How much does Kal Penn recommend you save?
Answer:
20% of your savings.
Explanation:
How does Ana spend her time in seedfolks?
Answer:
B
Explanation:
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How do bonds generate income for investors?
A. Bonds depreciate in value.
B. Bonds protect investors from bankruptcy.
C. Bonds pay interest to the bank that sold the bond.
D. Bonds pay a specified amount to the investor at maturity.
Answer: D) bonds pay a specific amount to the investor at maturity
Explanation:
Bonds generate income for investors: B. Bonds protect investors from bankruptcy.
Bonds are considered to be safer investments as compared to the stocks because the bondholders can claim on the money generated by deposition of bonds in the event of bankruptcy. It becomes one of the source of income in scarcity of money. Bonds depreciates in value with time. The value of the bond reduces with as that of its face value. Bonds pay principle interest to the bond holder rather than to the bank. There is no surety of getting a specified amount after the maturity of bond as the value of bond depreciates with the time.Hence, option B is correct.
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unemployment remained above 7our years after the 2007–2009 recession ended. this is an example of a:
The statement describes an example of prolonged unemployment following a recession.
The statement suggests that unemployment remained high for several years after the 2007-2009 recession concluded. This situation is an example of what is commonly called "jobless recovery." Jobless recovery occurs when an economy shows signs of economic growth and recovery, but the unemployment rate remains elevated for an extended period. It indicates a delayed improvement in the labor market despite overall economic progress.
The 2007-2009 recession, also known as the Great Recession, was a severe economic downturn that had a profound impact on the global economy. Following the recession, the labor market faced challenges in terms of job creation and reduced unemployment rates. Factors such as slow economic growth, industry changes, and structural shifts in the labor market can contribute to prolonged unemployment even after the recession ends. In this case, the extended period of unemployment above 7 years after the recession's end highlights the persistent nature of the challenges faced by the labor market and the time required for the recovery to fully translate into improved employment opportunities.
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ECONOMICS!HELP!!!!!!!
the figure shows the market for haircuts. what is the maximum total surplus?
Total surplus, also known as social welfare, is the sum of consumer surplus and producer surplus in a market. Consumer surplus is the difference between the price that consumers are willing to pay.
In the context of the market for haircuts, the maximum total surplus would be achieved at the point where the marginal benefit of a haircut for consumers (measured by the price they are willing to pay) is equal to the marginal cost for producers (measured by the cost of providing the haircut).
To illustrate this, let's assume that the market for haircuts is currently in equilibrium, and the figure provided shows the demand and supply curves for haircuts. The demand curve represents the willingness of consumers to pay for haircuts, while the supply curve represents the cost of producing haircuts for barbers.
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What’s the answer????
Opportunity cost is the value of your second choice, or whatever you give up to get something
Taylor gives up either the video games or the funny videos. So you can choose either one
If the U.S. dollar is strong, foreign imports are
A. strong
B. more expensive
C. less expensive
D. weak
Answer:
C
Explanation:
got right
Foreign imports are less expensive since the U.S. dollar is strong. So, the right answer is (C).
What are Foreign Imports?Imports are products and services that are purchased by businesses, governments, and individuals from outside the country. Neither the nature nor the method of the imports matters.
You can send them, email them, or even carry them on a plane in your hand luggage. They qualify as imports if they are made abroad and offered for sale to consumers here.
There are imports of even tourism-related goods and services. All mementos from your vacation that you purchase while traveling outside the country are imported.
A nation has a trade deficit if its exports are more than its imports. A trade surplus is produced when an economy imports less than it exports. If a nation has a trade imbalance, it must borrow money from other nations to cover the additional costs.
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