What are the implications of price wars for a company?

Answers

Answer 1

Implications led to more sales of the products, they are being sold for less money per product, which might potentially result in shorter-term profits.

What is the meaning of price wars ?

A price war is a conflict between rival businesses that lower the prices of their goods in an effort to strategically undercut one another and get a larger market share. A price war may be implemented as a longer-term strategy or as a short-term tactic to boost sales.

In a Price Conflict Five Techniques That Might Work:

To understand why you are engaged in this price war, do some study.Without reducing the price, add value to the good or service.If you can't further reduce your rates in the price war, advertise.Find a different strategy to differentiate out from the competition than price.Think about your brand.

Learn more about the price war:

https://brainly.com/question/12995874

#SPJ1


Related Questions

which of the following quotes is the best way to tell your boss that you can't accept a new assignment right now?

a. I would like to work on this. but if I take this on I won't be able to meet my current deadline.

b. you know I already have this other deadline

c. I just don't know if I can get this all done

d. I don't have time sorry​

Answers

Answer:

a

Explanation:

it would be fine hopefully

The correct quotes are the best way to tell your boss that you can't accept a new assignment right now is "I would like to work on this. But if I take this on, I won't be able to meet my current deadline". Thus, option (a) is correct.

What is assignment?

An assignment is a judicial word used in the context of contract and property law. Assignment is the process through which one person, the assignor, passes rights or advantages to another, the assignee.

Assignment is providing someone to a specific job or piece of labor, or assigning someone to a specific location to complete a job.

The simplest approach to inform your supervisor that you can't take on a new job right now is to say, "I'd want to work on this, but if I take it on, I won't be able to fulfill my present deadline." Therefore, it can be concluded that option (A) is correct.

Learn more about assignment here:

https://brainly.com/question/25875756

#SPJ2

What is an example of a 'Sunk cost" ? *

A the price of food when cooking a meal

B. the price of a video game when buying a birthday present

C. the price of last month's car repairs when getting your car fixed

D the price of college when getting a job​

Answers

Answer:

C. the price of last month's car repairs when getting your car fixed.

Explanation:

The correct option is - C. the price of last month's car repairs when getting your car fixed.

Reason -

A sunk cost is a past cost that you can’t recover.

The Case: The hairdressing industry in Pakistan is flourishing day by day. There are certainly lots of hairdressers and each of the hairdressers has a slightly different type of skill. Some salons only cut, some only provide color services, some only do natural hair, some do all types, etc. Also, they have different premises situated in a different location where they provide the services. The prices offered by the hairdresser depend on the services offered by them and its uniqueness. If the particular hairdresser is known for providing the best services in the particular market then he can increase the prices of his services as he knows that consumers can pay slightly more amount of money for his superior services. There is relatively a low barrier for entry and exit for setting up a new hairdresser shop. Requirement: Read the above scenario and explain in which market structure ‘the hairdressing industry’ falls and how?

Answers

Answer:

The Hairdressing Industry in Pakistan

The market structure of "the hairdressing industry" falls under Monopolistic Competition.  The features of this market structure include: many hairdresser shops, low barriers for entry and exit for setting up a new hairdresser shop, the hairdressing services are not perfect substitutes, and the pricing decisions of any one shop do not impact others.

Explanation:

In a monopolistic competition, each firm is differentiated from others by distinct goods and services.  This situation is enhanced in a services industry, where different skills are employed to further differentiate each firm's services from the others. While the products and services may look similar, one cannot actually substitute one for the other.  Therefore, each firm can charge different prices for their distinct products and services without being influenced by the other firms, unless through a cartel arrangement.

Answer:

According to the case, the five kinds of share are directly relevant and can be calculated from the provided information are:

1. Authorized Capital

2. Issued Capital

3. Un-issued Capital

4. Subscribed Capital

5. Called-up Capital

Explanation:

Authorized Capital:

The authorized capital is known as the registered capital of the company, Authorized capital is the maximum amount of share that a company is authorized to issuing share to its shareholders.

In this case, the Alpha limited company registered on 5th January 2023 with the capital of 500,000 which is divided into 25,000 ordinary shares and the value of each share is Rs. 20.

Issued Capital:

The issued share capital of company is monetary value of shares which legally offers by company to its shareholders.

In this case, the Alpha limited company on 20th of January offered for sale to the public from authorized capital. The company put forward 15,000 and the value of each share is 20 Rs. Consequently, the company’s issued capital is 300,000 Rs (15,000 shares x 20 Rs.) .

Un-issued Capital:

The un-issued share capital reflects the part of authorized capital stock that the company has not yet issued to the public.

In this case, the Alpha limited company has not issued his 10,000 shares, and the value of each share is 20 Rs so its total un-issued capital is Rs. 200,000 (10,000 shares x 20 Rs.).

Subscribed Capital:

The subscribed capital is the portion of issued capital for which the public has been subscribed and the company has accepted.

In this case, the Alpha limited company on 23rd January received applications for 14,500 shares from the public which informed by company’s bank, so the subscribed capital is Rs. 290,000 (14,500 shares x 20 Rs.).

Answers

The five kinds of capital that are directly relevant are:

Authorized Capital: Rs. 500,000Issued Capital: Rs. 300,000Un-issued Capital: Rs. 200,000Subscribed Capital: Rs. 290,000Called-up Capital: Rs. 290,000

What is a called-up capital?

The called-up capital refers to the portion of the subscribed capital that the company has demanded and the shareholders are required to pay.

In this case, the Alpha limited company called up the entire subscribed capital of Rs. 290,000 on 25th January. Therefore, the called-up capital is also Rs. 290,000.

Summarily,

- Authorized Capital: Rs. 500,000

- Issued Capital: Rs. 300,000

- Un-issued Capital: Rs. 200,000

- Subscribed Capital: Rs. 290,000

- Called-up Capital: Rs. 290,000

learn more about capital: https://brainly.com/question/13372465

#SPJ1

The market structure of the local pizza industry is best characterised by monopolistic competition. Pizza Shack is one of the producers in the local market. The market demand for Pizza Shack is: Qd = 225 – 10P. Pizza Shack’s cost function is: C(Q) = 0.15Q^2 Where Q^2 refers to q squared 3. Derive the total revenue equation:

Answers

The total revenue equation for Pizza Shack is $810.

To derive the total revenue equation for Pizza Shack, we need to use the demand equation and the price equation. The price equation is derived from the cost function, which is C(Q) = 0.15\(Q^{2}\).

To find the marginal cost, we need to take the derivative of the cost function with respect to Q, which is:

MC = 0.3Q

Now, to find the optimal price and quantity that Pizza Shack should produce, we need to set the marginal cost equal to the marginal revenue. In monopolistic competition, the marginal revenue is the change in total revenue when one more unit is sold, which is given by the derivative of the total revenue equation.

The demand equation for Pizza Shack is:

Qd = 225 – 10P

To find the price equation, we need to solve for P:
Qd = Qs
225 – 10P = Q
P = (225 – Q)/10

Now, we can plug in the price equation and the cost function into the revenue equation, which is:

TR = P x Q.

TR = (225Q – \(Q^{2}\))/10

To find the optimal quantity, we set the marginal cost equal to the marginal revenue:
MC = MR
0.3Q = (225 – 2Q)/10
3Q = 225 – 2Q
5Q = 225
Q = 45

Now that we have the optimal quantity, we can plug it back into the price equation to find the optimal price:
P = (225 – Q)/10
P = (225 – 45)/10
P = 18

Therefore, the total revenue equation for Pizza Shack is:
TR = P x Q
TR = 18 x 45
TR = $810

In conclusion, the total revenue equation for Pizza Shack is $810, and it is derived from the demand equation and the price equation, which are both based on the market structure of monopolistic competition.

know more about revenue equation here:

https://brainly.com/question/30760779

#SPJ11

What is the best way to avoid E.coli

Answers

Answer:

Be vigilant with foods which have the highest risk of exposure and maintain hygiene.

Explanation:

Following mentioned are some of the best ways to avoid E.coli :-

1. Cook hamburgers till 160 ° F in the oven.

2. Drink only pasteurized dairy products, juice, and cider.  

3. Clean all of your raw foods before you consume it.

4. Clean knives, counter tops and panels with warm water and soap after meat has impacted them.  

5. Don't place the cooked meat again on the very same tray that you were using for raw meat before first cleaning the pan.

It’s a good idea to explain any lengthy gaps in your employment history. Choose the sentence that best explains Michele’s recent lapse in employment.

a.
Michele’s sentence works best for to explain the gap in her employment.

b.
I previously held a position as inventory control associate at Bedrooms & Beyond, until I was laid off at the beginning of the COVID-19 pandemic lockdown in Philadelphia. Everyone was laid off, but I was one of the last to go. I requested for furlough, but they said they could not give that to me.

c.
I previously held a position as inventory control associate at Bedrooms & Beyond, until I was laid off at the beginning of the COVID-19 pandemic lockdown in Philadelphia.

d.
I was laid off from my last inventory control position for reasons beyond my control.

Answers

The best sentence that explains Michele's recent lapse in employment is: I previously held a position as inventory control associate at Bedrooms & Beyond, until I was laid off at the beginning of the COVID-19 pandemic lockdown in Philadelphia. Everyone was laid off, but I was one of the last to go. I requested for furlough, but they said they could not give that to me.

Everyone was laid off, but I was one of the last to go. I requested for furlough, but they said they could not give that to me.This sentence provides a clear and concise explanation for the gap in Michele's employment history.

It mentions the specific circumstances of being laid off due to the COVID-19 pandemic lockdown and the fact that everyone in the company was laid off. It also mentions Michele's attempt to request a furlough but being unable to receive it.

This explanation demonstrates that the employment gap was beyond Michele's control and highlights the impact of external circumstances on her employment situation.

For such more question on inventory:

https://brainly.com/question/29636800

#SPJ8

An example of a strategic plan would be
O retiring with no debt.
O winning a sporting event.
O earning extra money.
O doing inventory.

Answers

Retiring with no debt

Please provide an Excel spreadsheet showing all of your calculations. No credit will be given if this is not provided.

PQL Airlines is developing a new baggage check in system that will automate the process. The airlines will use retained earnings to fund the project. Currently, there are 2,550,000 shares of stock outstanding selling for $27 per share. They expect to pay a dividend of $2.50 per share and they expect to increase these dividends at a rate of 2.2% per year for the foreseeable future. The U.S. Treasury in currently paying 1.25% and the market risk premium is 8.5%. Because volatility in the airline industry, PQL Airlines has a very high beta of 1.8. There is currently $60 million worth of debt outstanding. These bonds are currently trading at 92% of par. The bonds have a 4.5% semi annual coupon annual rate with 10 years remaining. The corporate tax rate is 30%.
The Airlines will finance the expansion with both debt and equity and maintain the same capital structure.
What is the cost of equity?
What is the cost of debt?
What is the Weighted Average Cost of capital for PQL Airlines?
The baggage check system is expected to cost is expected to cost $2,000,000 and they believe will be functional for 5 years. This system will be classified as a 3 year asset for MACRS (table is provided below) and they expect to sell the physical part of the system after that point for $50,000. While this system would not necessary generate any additional revenue from passengers, there would be able to license the system to other airlines and expect to generate licensing revenues of $800,000 a year. In addition, there is an expected reduction in labor cost of $35,000 annually.
Compute the following:
NPV
IRR
Discounted Payback
Profitability Index
What is your recommendation for PQL Airlines and why?
MACRS:
Year 1 - 33%

Year 2 - 45%

Year 3 - 15%

Year 4 - 7%

Answers

Year 1 - 33% is the recommended rating for PQL Airlines. Therefore, choice (A) is the appropriate one.

Any business that offers air transportation services for people and/or cargo is known as an airline. In order to provide these services, airlines use aircraft.

They may also join forces with other airlines to fly the same flight under a codeshare arrangement. A license or air operating certificate issued by a governmental aviation organization typically recommended serves as recognition for airline firms. Both scheduled and charter airlines are possible.

German airship manufacturer DELAG, which was established on November 16, 1909, was the first airline.

The four oldest non-airship airlines that are still in operation are the Czech Airlines, Qantas (1920), KLM (1919), and Avianca (1919), all of which are from the United States.

Learn more about  Airlines, from :

brainly.com/question/17528181

#SPJ1

Raymond Moss, vice president of Moss Auto Parts, gets an annual bonus of 15% of any income, before deducting bonus and income taxes, above $100,000. Income before bonus and income taxes is $250,000. The effective income tax rate is 30%. Required: 1. Compute the amount of Raymond Moss's bonus. Bonus

Answers

Answer:

$22,500

Explanation:

Raymond Moss's bonus is computed as the excess of $100,000 of income before bonus and income taxes.

In other words, the income before bonus and income taxes of $250,000 minus $100,000 is the amount upon which the bonus is computed.

Bonus=excess of income before bonus and income taxes*rate of bonus

income before bonus and income taxes.=$250,000-$100,000

income before bonus and income taxes.=$150,000

bonus rate=15%

Bonus=$150,000*15%

Bonus=$22,500

It is January 2nd and senior management of Chester meets to determine their investment plan for the year. They decide to fully fund a plant and equipment purchase by issuing $10,000,000 in bonds. Assume the bonds are issued at face value and leverage changes to 2.7. Which of the following statements are true?
A. Working capital will remain the same at $18,964,118
B. Total Assets will rise to $235,535,291
C. Chesters' long-term debt will rise by $9,000,000
D. The total investment for Chester will be $217,192,866
E. Total liabilities will be $139,957,573

Answers

Answer:

A. Working capital will remain the same at $18,964,118C. Chesters' long-term debt will rise by $9,000,000E. Total liabilities will be $139,957,573

Explanation:

You included no balance sheet for Chester so I will answer based on inference.

Option A is most likely correct because Working capital relates to Current Assets less Current liabilities so Plant and Equipment (fixed assets) and bonds (long term liabilities) will not affect it.

Total assets rising to $235,525,291 is also quite possible if the assets were previously $225,525,291 so just check for that but this is most likely correct.

Option C is wrong because the long term debt should rise by $10,000,000 which is the value of the bonds.

Option D is wrong as well as this relates to long term bonds not investment by shareholders.

Total liabilties rising is probably correct if the current figure on the balance sheet is $129,957,573 because that would mean that it increased by $10,000,000 which is the price of the bond.

So just check your given balance sheet for Options C and E for my notes and if correct, they are your answers as well as A.

Bob lives in Houston and runs a business that sells boats. In an average year, he receives $842,000 from selling boats. Of this sales revenue, he must pay the manufacturer a wholesale cost of $452,000; he also pays wages and utility bills totaling $301,000. He owns his showroom; if he chooses to rent it out, he will receive $38,000 in rent per year. Assume that the value of this showroom does not depreciate over the year. Also, if Bob does not operate this boat business, he can work as an accountant, receive an annual salary of $48,000 with no additional monetary costs, and rent out his showroom at the $38,000 per year rate. No other costs are incurred in running this boat business.

Identify each of Darnell's costs as an implicit cost or an explicit cost of selling pianos.

a. The wholesale cost for the pianos that Darnell pays the manufacturer
b. The salary Darnell could earn if he worked as an accountant
c. The wages and utility bills that Darnell pays
d. The rental income Darnell could receive if he chose to rent out his showroom

Answers

Answer:

A. The wholesale cost for the pianos that Darnell pays the manufacturer.

One reason why firms might want to pursue a strategic alliance strategy is to exploit
economies of scale. Exploiting economies of scale should reduce firm’s costs. Does this
mean that a firm pursuing an alliance strategy to exploit economies of scale is actually
pursuing a cost leadership strategy? Why or why not? Support your answer

Answers

So, a strategic alliance may benefit the combined group in two ways: one, it will enable them to target larger clients without facing significant rivalry

What is an economy of scale?

Economies of scale, which are commonly assessed by the quantity of product provided per unit of time, seem to be the cost savings that businesses gain as a result of the significant scale of the economy.

In order to lower manufacturing costs, economies of scale is the method of producing any good at a very high volume. Strategic alliances allow two businesses to more effectively merge their operations.

It will enable them to lower costs through economies of scale. Additional benefits of economies of scale include lower prices for goods or cost focus in the marketplace.

Learn more about economies of scale, Here:

https://brainly.com/question/15605103

#SPJ1

You happen to be checking the newspaper and notice an arbitrage opportunity. The current stock price of Intrawest is $20 per share and the one-year risk-free interest rate is 8%. A one-year put on Intrawest with a strike price of $18 sells for $3.33, while the identical call sells for $7. Explain what you must do to exploit this arbitrage opportunity. Berk, Jonathan; DeMarzo, Peter; Harford, Jarrad. Fundamentals of Corporate Finance (2-downloads) (Berk, DeMarzo

Answers

Answer:

Using the Put-Call parity principle where the following relationship holds:

Covered Call = Protective Put

Using the above, find the call price:

Call + Strike price / (1 + risk free rate) = Stock price + Put

Call + 18 / (1.08) = 20 + 3.33

Call + 16.67 = 20 + 3.33

Call = 23.33 - 16.67

Call = $6.66

The call option is overvalued at $7 so sell the Call option and buy the Put option and the Stock and borrow $16.67 which is the present value of the Put.

The net gain will be:

= 7 - 6.66

= $0.34

Please post about a time when your attitude made a positive difference.

Answers

Developing a positive mindset at work can help you achieve success. It has happened for me several times in my career.

One of the instances I'd like to tell is when I was vying for the position of manager in my workplace as an employee.

In a telecom company, I managed the sales department. I had been working there for 7 years with no success; three of the employees put in less time than I did yet managed to get the top position. I was demotivated by the thought that perhaps there is something I am not doing correctly when I repeatedly lost the post to them. Even though my sales figures were strong, luck evaded me in some way.

Since there had been no advancement, it had been ten years. Nonetheless, I never wavered from my commitment to keep trying. I consistently adhered to the fundamentals and worked to become a better seller. My sales started to rise considerably.

Ultimately, the figures were significant enough to turn the proper heads. Finally, I received a promotion, but guess what? It was to the position of Area Retail Head, which is much more important than Manager. While it took ten years, I am still happy with my accomplishments. It's still as delicious as it was before.

Therefore, being positive in all those years, not looking back or getting discouraged paid dividends and made a huge difference in my life.

To know more about Positive attitude visit:

https://brainly.com/question/2548062

#SPJ1

Given the accounts below, choose all of the ones that affect equity. (Check all answers that apply.) Check all that apply. Revenues Mortgage Payable Cash Common Stock Accounts Payable Expenses Dividends

Answers

Revenues, gains, expenses, and losses are the primary accounts that have an impact on owner's equity. If you make money, your owner's equity will rise.

Which of the following accounts will not affect owner's equity?

The transfer of cash from one asset to another in the process of buying inventory for cash has no effect on owners' equity (inventory). Owner equity increases as revenues rise. Owner's equity is reduced by revenues, which are a byproduct of operating expenses. Common stock, retained earnings, dividends, revenue, and expense all have an impact on stockholders' equity. Equity held by owners of a company remains unchanged if land is purchased with cash.

Since they are creditors of the company, bondholders do not possess any equity in it. An equity position exists for both common and preferred stockholders. Assets rise as stockholder equity falls. However, since the purchase of office equipment on account is not a capital-related activity, it will not affect the stockholders' equity even though it is true that the assets would increase.

To learn more about equity refer to :

https://brainly.com/question/25847981

#SPJ4

HELPED NEEDED !

David’s company has production plants set up in almost 20 countries. However, his company is experiencing low demand and its total exports are decreasing. Moreover, due to strong competition, David’s company has resorted to intensive marketing strategies. This focus has led to an increase in marketing costs. In which phase of the product cycle is David’s company?

A.
introduction
B.
decline
C.
maturity
D.
growth

Answers

Answer:

B. Decline

He has scaled his business, and the years have caused damage to his overall products hence the business is in decline.

6. Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be $5.00 per share. The company plows back 50% of its earnings and if the Chief Financial Officer (CFO) estimates that the company's return on equity (ROE) is 16%. Assuming the plowback ratio and the ROE are expected to remain constant forever: Suppose that you are confident that 10% is the required rate of return on the stock. What does the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity? (please give a number) 1 point​

Answers

10.0000%, market price of $50.00 per share imply about the market's estimate of the company's expected return on equity.

The given amount is;

The market price of $50.00 per share.The company's expected return on equity is 10%.ROE x blowback ratio16.0000% x 50.0000%8.0000%

Because the needed rate of return to the stock is 10%, the market's assessment of the company's expected return on equity is greater than that derived using the plowback ratio and the ROE.

As a result, the significance of the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity are the aforementioned.

Learn more about on market price, here:

https://brainly.com/question/31964955

#SPJ1

People over age 50 control ____
of the wealth in the U.S.

Answers

Answer:

yes it is correct answer

Reggie, who is 55, had AGI of $35,200 in 2022. During the year, he paid the following medical expenses:
Drugs (prescribed by physicians)
Marijuana (prescribed by physicians)
Health insurance premiums-after taxes
Doctors' fees
Eyeglasses
Over-the-counter drugs
$ 570
1,470
1,280
1,320
445
270
Required:
Reggie received $570 in 2022 for a portion of the doctors' fees from his insurance. What is Reggie's medical expense deduction?

Answers

Reggie's medical expense deduction is $7,276.

AGI, or adjusted gross income, is a person's total income minus certain deductions and is used to calculate taxable income.

Reggie, who is 55 years old, had an AGI of $35,200 in 2022. During the year, he incurred the following medical expenses:

Drugs (prescribed by physicians): $5,701

Marijuana (prescribed by physicians): $1,470

Health insurance premiums-after taxes: $1,280

Doctors' fees: $1,320

Eyeglasses: $445

Over-the-counter drugs: $270

Reggie was reimbursed $570 by his insurance company for a portion of the doctors' fees. To calculate his medical expense deduction, we first need to subtract any reimbursements from his total medical expenses.

Total medical expenses: $5,701 + $1,470 + $1,280 + $1,320 + $445 + $270 = $10,486

Reimbursements: $570

Medical expenses after reimbursements: $10,486 - $570 = $9,916

To claim a medical expense deduction, the expenses must exceed a certain percentage of AGI, which varies depending on the taxpayer's age. For taxpayers who are 65 or younger, the threshold is 7.5% of AGI. For taxpayers who are over 65, the threshold is 7%.

Since Reggie is 55 years old, the threshold is 7.5% of his AGI or $35,200 x 0.075 = $2,640.

Therefore, Reggie can deduct the portion of his medical expenses that exceed $2,640.

Amount of medical expenses that exceed the threshold: $9,916 - $2,640 = $7,276

Therefore, Reggie's medical expense deduction is $7,276.

Know more about Adjusted gross income here:

https://brainly.com/question/31249839

#SPJ8

Whhat other methods of marketing research would be important to explore to ensure you knew the needs of your target market?

Answers

Understanding your target market and customer base is the goal of consumer insights research, which should be customized for your business.

What are the four typical market research methods?

Consumer observation, focus groups, surveys, and interviews are four common types of market research approaches.

Which kind of market research is more effective?

Surveys. It should come as no surprise that surveys are the most widely used type of market research. They allow you to easily get data from a huge number of people and are reasonably priced.

What procedures are used to identify and select target markets?

Businesses can define their target market using a variety of techniques (s). Consumer surveys, pricing experiments, in-person interviews, focus groups, etc. are examples of primary research methodologies. secondary information given by governmental organizations, consultancy companies, etc.

To Know more about observation

https://brainly.com/question/28041973

#SPJ1

Alfred E. Old and Beulah A. Crane, each age 42, married on September 7,2017. Alfred and Beulah will file a joint return for 2019. Alfred's Social Security number is 111-11-1109. Beulah's Social Security number is 123-45-6780, and she adopted "Old" as her married name. They live at 211 Brickstone Drive, Atlanta, GA 30304. Alfred was divorce from Sarah Old in March 2016. Under the divorce agreement, Alfred is to pay Sarah $1,250 per month for the next 10 years or until Sarah's death, whichever occurs first. Alfred pays Sarah $15,000 in 2019. In addition, in January 2019, Alfred pays Sarah $50,000, which is designated as being for her share of the marital property. Also, Alfred is responsible for all prior years' income taxes. Sarah's Social Security number is 123-45-6788. Alfred's salary for 2019 is $150,000. He is an executive working for Cherry.Inc. (Federal I.D. No. 98-7654321). As part of his compensation package, Cherry provides him with group term life insurance equal to twice his annual salary. His employer withheld $24,900 for Federal income taxes and $8,000 for state income taxes. The proper amounts were withheld for FICA taxes. Beulah recently graduated from law school and is employed by Legal Aid Society.Inc. (Federal I.D. No. 11-1111111), as a public defender. She receives salary of $42,000 in 2019. Her employer withheld $7,500 for Federal income taxes and $2,400 for state income taxes. The proper amounts were withheld for FICA taxes. Alfred and Beulah had interest income of $500. They received $1,900 refund on their 2018 state income taxes. They claimed the standard deduction on their 2018 Federal income tax return. Alfred and Beulah pay $4,500 interest and $1,450 property taxes on their personal residence in 2019. Their charitable contributions total $2,400 (all to their church). They paid sales taxes of $1,400, for which they maintain the receipts. Alfred and Beulah have never owned or used any virtual currency, and they do not want to contribute to the Presidential Election Campaign. Compute the Old's net tax payable (or refund due) for 2019. Suggested software: ProConnect Tax Online

Answers

To compute the Olds' net tax payable (or refund due) for 2019, we need to gather all the relevant information and calculate their taxable income, apply the appropriate tax rates, deductions, and credits. Since the tax calculation involves various factors and tax laws, it would be best to use tax software such as ProConnect Tax Online or consult with a tax professional. The software will streamline the process and ensure accurate calculations based on the specific tax laws and regulations applicable to the Olds' situation.

if you get opportunities to have a training which one do you want to choose why​

Answers

Answer:

water proof

Explanation:

If a company obtained a bank loan, it would record that it received a(n) revenue in exchange for a(n) liability .

Answers

There are different kinds of loans. If a company obtained a bank loan, it would record that it received asset revenue in exchange for an Asset.

Is loan received a revenue?

Loans can be gotten from shareholders or any other person. They are

not grouped as revenue.

When loan is said to be received, the cash is known or regarded as an asset of the borrower.

Assets are known to be cash, accounts receivable, supplies, etc.

Learn more about loan from

https://brainly.com/question/26011426

Determine the missing amount:
Assets=Liabilities+owners Equity x 272000 573000

Answers

Based on the given amounts of assets and liabilities, the missing amount of Owner's equity is $301,000

How to find the equity?

The Owners equity is one of the parts of the Accounting equation which is:

Assets = Liabilities + Owners Equity

The Assets in this instance is $573,000 and the Liabilities are $272,000.

The Owner's equity is the missing amount and it can be found as:

573,000 = 272,000 + Owners Equity

Owners Equity = 573,000 - 272,000

Owners Equity = $301,000

Find out more on owner's equity at https://brainly.com/question/28222828

#SPJ1

(b) A company had an average inventory last year of $208,000 and its inventory turnover was 6. If sales volume and unit cost remain the same this year as last and inventory turnover is 8 this year, what will average inventory have to be during the current year

Answers

Answer: 156000

Explanation:

The average inventory during the current year would be calculated as follows:

Inventory Turnover Ratio = Cost of goods sold / average inventory

where,

Inventory turnover = 8

Cost of goods sold = $208,000 × 6 = $1,248,000

Average inventory = Unknown

Therefore, 8 = 1248000 / Average inventory

Average inventory = 1248000 / 8

Average inventory = 156,000

Vick Vickers has a large consulting practice. New clients are required to pay one-half of the consulting fees up front. The balance is paid at the conclusion of the consultation. How does Vickers account for the cash received at the end of the engagement

Answers

Answer:

Vick Vickers

Vickers accounts for the cash received at the end of the engagement by debiting Cash account and crediting Consulting Fees (Revenue).

Explanation:

Then the fees received upfront, which were earlier credited to the Deferred Service Revenue account, are then closed by a debit to the Deferred Service Revenue and a credit to the Consulting Fees (Revenue) account.  This is in line with the double-entry system of financial accounting and the new Revenue from Contracts with Customers, IFRS 15 or the ASC 606 equivalent.

The correct answer the finance charge

The correct answer the finance charge

Answers

The finance charge on the average daily balance for the card over 1 month period is $70.

How do we calculate the finance charge?

The finance charge is the cost of consumer credit. It includes any charge payable directly or indirectly by the consumer and imposed directly or indirectly by the creditor as a result of or as a condition of credit extension.

Data

The amount used on the Credit card are: $200, $300 and $150 for different period in a year. The balance will for the month will be:

=  $200 + $300 + $150 - ($150 + $150)

= $650 - $300

= $350

The amount of finance charge on the account is:

= 20% * $350

= $70

Read more about finance charge

brainly.com/question/3436429

#SPJ1

5 of 100
Harry is looking at buying a building that has a monthly income of
$3,600, a 5% vacancy rate, and annual expenses of $8,640. He is
expecting a 12% return on his investment. How much should he pay for
this building?

Answers

The amount that Harry should pay for the investment is the present value of the net income discounted at the rate of return of 12% is equal to $270,000.

What do you mean by investment?

Investment refers to the dedication of an asset to acquire growth in value over a duration of time. In finance, the motive of making an investment is to generate a return from the invested asset.

As per the information,

The vacancy rate is given is 5%

The occupancy rate is 100 - 5= 95%

\(\rm\,The\,Net \,Income = Occupancy \, Rate \times Income - Expenses\\\\ \rm\,The\,Net \,Income = (95\% \times 3,600 \times 12) - 8,640\\\\ \rm\,The\,Net \,Income = \$32400\)

Now, if it is assumed that the income is earned forever, then the present value of the income will be

PV of net income = A/r

A- 32400 , r - 12%

                           \(\rm\,PV = \dfrac{32400}{0.12}\\\\\\PV = \$270000\)

Hence, The amount that Harry should pay for the investment is the present value of the net income discounted at the rate of return of 12% is equal to $270,000.

Learn more about investment:

https://brainly.com/question/24703884

#SPJ1

Draw a graph with Goods Per Day on the vertical axis and Leisure Hours Per Day increasing from left to right on the horizontal axis. Show that a person who works can work fewer hours and increase utility when the wage rate increases.

Answers

The person's financial limitation would be represented by a curve that sloped from left to right, showing that the more free time someone has, the fewer things they can afford, and vice versa.

What does a graph with a market supply curve's vertical axis mean?

In economics, the supply curve is a graphical depiction of the relationship between the price of a good and the amount of it that a seller is willing and able to supply.

What products have vertical supply curves as examples?

A vertical supply curve demonstrates that the supply of a certain commodity is fixed and unaffected by price. Helium, for instance, has a limited supply, hence the market will determine its price rather than increasing supply.

To know more about financial visit:-

https://brainly.com/question/29641948

#SPJ9

Draw a graph with Goods Per Day on the vertical axis and Leisure Hours Per Day increasing from left to
Other Questions
What is the objective component of a SOAP note? Most fuel gases used for welding are market segments that transcend national borders are more common in blank______ markets. Dow Jones is a furniture company that assembles two types of chairs: Recliners and Rockers. Separate assembly lines are used for each type of chair. Classify each cost item to: a. Direct (D) or indirect (I) costs for the total number of Recliners assembled. b. Variable (V) or fixed (F) costs depending on how total costs change as the total number of Recliners assembled changes. (If in doubt, select on the basis of whether the total costs will change substantially if there is a large change in the total number of Recliners assembled). c. Manufacturing (M) or non-manufacturing (NM) costs Please help this is very hard for me Which statement describes the most likely message of this passage?Trevor had to take an elective class, so he just picked one that fit his schedule: cooking. He hadnt done so much as boil water before taking the class. To his surprise, he loved the class and was soon making dinner for his family.A. Trying new things can be rewarding.B. You should fight for what you believe in.C. Learning a new skill is often challenging.D. Dealing with new situations is difficult. A e-commerce technologies allowed _____________, enabling merchants to target their marketing messages to specific individuals. 1) State the area of the given trapezoid.5m5m8m4mA) 20 square metersB) 26 square metersC) 32 square metersD) 40 square meters Reread paragraphs 910 of the story. Then answer the multiple-choice questions that follow. From The Tell-Tale Heart by Edgar Allan Poe 9 No doubt I now grew very pale;but I talked more fluently, and with a heightened voice. Yet the sound increasedand what could I do? It was a low, dull, quick soundmuch such a sound as a watch makes when enveloped in cotton. I gasped for breathand yet the officers heard it not. I talked more quicklymore vehemently; but the noise steadily increased. I arose and argued about trifles, in a high key and with violent gesticulations, but the noise steadily increased. Why would they not be gone? I paced the floor to and fro with heavy strides, as if excited to fury by the observations of the menbut the noise steadily increased. Oh God! what could I do? I foamed I ravedI swore! I swung the chair upon which I had been sitting, and grated it upon the boards, but the noise arose over all and continually increased. It grew louderlouderlouder! And still the men chatted pleasantly, and smiled. Was it possible they heard not? Almighty God!no, no! They heard!they suspected!they knew! they were making a mockery of my horror!this I thought, and this I think. But any thing was better than this agony! Any thing was more tolerable than this derision! I could bear those hypocritical smiles no longer! I felt that I must scream or die!and nowagain hark! louder! louder! louder! louder! 10 Villains! I shrieked, dissemble no more! I admit the deed!tear up the planks!here, here!it is the beating of his hideous heart! What effect do the punctuation choices in paragraph 9 have on the tone? Answer choices for the above question A. The dashes and exclamation marks reveal that the narrator is losing control. B. The italics make it clear that the narrators words arent to be trusted. C. The semicolons introduce a formal tone into an informal speech. D. The frequent questions reveal the narrators attempt to engage the reader. Which phrase from the passage most clearly suggests the narrators disturbed mental state at the end of the story? Answer choices for the above question A. but I talked more fluently B. Why would they not be gone? C. It grew louderlouderlouder! D. And still the men chatted pleasantly Yall i need help rn its due at 1:55Yalll answerrrrrr nowwwww 6 2 = -48Need help Andrew is lighter than Carl, and Carl is heavier than Marty. Therefore, it follows necessarily that Andrew is lighter than Marty. Argument based on mathematicsArgument from definition Categorical syllogismHypothetical syllogismDisjunctive syllogism The position of the firm's supply curve depends on a. the number of firms in the industry b. the market demand curvec. summing the prices from individual supply curvesd. the taste of the buyers. PLEASE ANSWERWhich has been observed in the study of embryology?A:Species whose embryos have similar traits rarely have a common ancestor.B:Species whose embryos have similar traits always have similar body forms as adults.C:All traits present in early embryos remain throughout development.D:Some traits in certain embryos disappear as the embryo develops.Is it A,B,C, or D Help please i will upload a picture Who is Alfred Thayer Mahan What is his role in the United States during this time?. Scenario A. The manager at Dunder-Mifflin Paper Company interested in understanding how a four day work week will influence employee productivity. He decides to implement a four day work week at Dunder-Mifflin and then he compare employee productivity at his company with the productivity of the employees at a different paper company that has a traditional 5 day work week.What is the confound?How could the confound be fixed for Scenario A? Be sure to tell me what technique you are using (constancy, repeated measures, randomization, elimination, or balancing), as well as how you would apply that technique to this specific scenario, and how that would fix this confound. u 1 :dx V1 - (3x + 5)2 arcsin(ax + b) + C, where u and V have only 1 as common divisor with p = type your answer... g= type your answer... a = type your answer... b = type your answer... I Bill Bryson and Wallace Stegner, each in his own way, have written in favor of wilderness areas. How are the pieces similar in this regard? How are they different? Support your response with specific quotations, ideas, and facts from Stegners letter and Brysons account Suppose that the six-months interest rate in New York is 6 percent and the six-months interest rate in London is 5 percent, and that the spot rate is 0.52/$ (e=d/f ) and the six-months forward rate is 0.49/$ (eF =d/f). If UK is the domestic country, what is the covered interest differential? Type in your answer below and show all your workings or upload a file. According to Krutz, a tool that presidents use to exert more power is: ______________ a. Claiming executive privilege b. Executive orders c. Executive agreements d. All of the other answers are correct