Answer: When actual output exceeds potential
Firms raise their prices by more than the usual amount in an attempt to cover increased production costs.
Explanation: The price level rises because employers have to raise wage rates to entice more people into the labor market and employers have to pay more for other inputs that become more expensive to produce.
As an investor, what is the risk involved when investing in companies on the stock
exchange?
a. Investors can lose their existing shares if the value of the stock does not
increase within 90 days of purchase
b. Once they purchase a share, investors cannot sell them at a higher price
The price of stocks can decrease; for example, when the company
receives bad press
d. Investors are only at risk if the purchase a share when the stock price has
fallen
C.
Answer:d
Explanation:
The investor are only at risk if the purchase of a share when the stoc price has fallen
Which one of the following taxes are NOT a mandatory, or
required deduction from your paycheck?
Federal Income Tax
O Retirement Savings
O State Income Tax
O FICA
State Income Tax can be deducted from paycheck.
State Income Tax are NOT a mandatory, or required deduction from your paycheck. Thus, its C.
What is State Income Tax?The majority of U.S. states also levy a state income tax in addition to the federal income tax that the nation as a whole collects. Several municipal governments also charge an income tax, frequently based on calculations made for the state income tax.
Individuals are subject to income taxes in 42 states and several localities in the US. A ninth state, New Hampshire, levies an income tax on individuals on dividend and investment income but not on other types of income.
Eight states have no state income tax. The income of companies is taxed by 47 states and numerous cities.
A fixed or graduated rate of state income tax is levied on the taxable income of individuals, businesses, and certain charities and trusts. Both the state and entity type tax rates are different.
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An investor sells 150 shares of Amazon (AMZN) stock at $35.00 and pays a $7 commission. What is the total amount of money received by the investor ?
$5,243
$5,250
$5,520
Please help me answer it correctly
Answer:$5,257 well....thats not an option so im sorry....if i were to guess based on answer opitons i would pick $5,243
Explanation:
:)
is the manager of South African Airways actively involved in the decision
Professor John Lamola is the manager of South African Airways actively involved in the decision to rescue the business, which started in 2021.
The airline South African Airways had been in the market for about 86 years, and had its operations closed in 2020, but after a business recovery plan, the company returned to operationalize in the market.
What is a Business Recovery Plan?It corresponds to a strategy for a business to be restructured after a series of disruptions that may result from negative risks associated with the market. Judicial recovery helps companies to incorporate means that help in the suspension or renegotiation of debts in a period of crisis, which could lead to bankruptcy and closure of activities.
Therefore, a judicial recovery plan helps companies to institute strategic measures and support until they can be reorganized and repositioned to continue operating in the market.
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Which of the following combinations of cheese and wine could France produce in 40 hours ?
Based on the table, the combinations of cheese and wine that France could produce in 40 hours is a. 8 units of cheese and 20 units of wine.
How to determine the combinations of cheese and wine that France could produce in 40 hours?We shall estimate the number of units of cheese and wine that France can produce in 40 hours.
From the table:
France takes 5 hours to make 1 unit of cheese.
France takes 2 hours to make 1 unit of wine.
To compute the number of units France can produce in 40 hours, we divide 40 by the respective hours:
For cheese: 40 hours / 5 hours per unit = 8 units.
For wine: 40 hours / 2 hours per unit = 20 units.
Hence, the combination of cheese and wine that France could produce in 40 hours is 8 units of cheese and 20 units of wine.
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[Total = 25marks]
QUESTION 2
a. Azon and Son Ltd acquired use of plant over three years by way of a lease. Installments of
GhC700,000, are paid six monthly in arrears on 30 June and 31 December. Delivery of the plant
was on 1 January 2010 so the first payments of GhC700,00 was on 30 June 2010. The present
value of minimum lease payments is GhC3,000,000, Interest implicit in the above is 10% per six
months. The plant would normally be expected to last three. Azon and Son is required to insure
the plant and cannot return it to the lessor without severe penalties.
Required
i. Describe whether the above lease should be classified as an operating or finance
1
A significant portion of the asset's economic life—three years—is covered by the lease period. The minimum lease payment present value is GhC3,000,000, which is essentially the entire leased asset's fair market value.
The equivalent of monthly rent, a lease payment is formally stipulated in a contract between two parties and gives one party the right to use the other party's real estate holdings, manufacturing equipment, computers, software, or other fixed assets for a predetermined period of time.
A lease payment will be shown as a right-of-use asset and lease liability on the balance sheet. The ROU asset is the ownership of the asset under the lease contract, whereas the lease liability period is the payment obligation during the course of the lease contract.
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With an aim of a diagram, distinguish between the income effect and substitution effect of change in price of a normal good
Hello. You did not present a diagram to which the question refers. However, I will try to help you in the best possible way.
The income effect is the term related to the increase or decrease in the consumer's purchasing power in relation to the fluctuation in the price of consumer products and the value of the national currency. On the other hand, the substitution effect refers to the impact between the variation of the consumers' income value and the product's prices.
Christie sued her former employer for a back injury she suffered on the job in 2019. As a result of the injury, she was partially disabled. In 2020, she received $240,000 for her loss of future income, $160,000 in punitive damages because of the employer's flagrant disregard for the employee's safety, and $15,000 for medical expenses. The medical expenses were deducted on her 2019 return, reducing her taxable income by $12,000. Christie's 2020 gross income from the above is:
Answer:Christie's 2020 gross income= $172,000
Explanation:
According to IRS, under the tax benefit rule Amount of punitive damages and amount of recovered medical expenses is to be added to gross income, $240,000 for the loss of future income of will not be included.
Therefore we have that
Christie's 2020 gross income=Punitive damages + Recovered medical expenses = $160,000 + $12,000 = $172,000
What was Indiana's total government expenditures in fiscal year 2018-2019? (1 point)
O $15.9 billion
O $11.9 billion
O$34.89 billion
O $34.11 billion
Indiana's total government expenditures in the fiscal year 2018-2019 is $34.89 billion. The correct option is C.
Public consumption, public investment, and transfer payments made up of capital transfers and income transfers (pensions, social benefits), collectively referred to as government expenditures, are all included in the definition of goods and services.
Fiscal policy is characterized as the strategy used by the government to carry out various economic policy goals through the use of taxation, public expenditure, and public borrowing.
Thus, the ideal selection is option C.
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One instance of a political or legal trend is the maturing of the "Millennials" cohort in
the United States.
True
False
True. The maturing of the "Millennials" cohort in the United States is an instance of a demographic trend, which can have political and legal implications as this generation becomes a larger portion of the population and gains more influence in society.
What are MillennialsMillennials are a generation of people born between the early 1980s and the mid-1990s or early 2000s, depending on the source. They are also sometimes referred to as Generation Y. Millennials are known for growing up during a time of rapid technological advancement, globalization, and social change.
They are the first generation to have grown up with easy access to the internet, social media, and smartphones, which has shaped their attitudes, behaviors, and worldview.
The values, beliefs, and priorities of the Millennial generation are likely to shape the political and legal landscape in the years to come.
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Which of the following is not a reason that sellers allow customers to use bank (or third-party) credit cards?
a. To be able to charge customers more due to fees and interest.
b. To avoid the risk of customers not paying.
c. To speed up receipt of cash from the credit sale.
d. To increase total sales.
e. To avoid having to decide who gets credit and how much.
The option that is not part of reason why sellers usually allow customers to use bank (or third-party) credit cards is a. To be able to charge customers more due to fees and interest.
What is Credit cards?Credit cards provide the line of credit so that the user can make purchases, balance transfers and/or cash advances.
However, the seller usually allow customers to use bank (or third-party) credit cards because it speeds up receipt of cash from the credit sale.
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operations management course concept
The operations management course concept refers to the systematic design, direction, and control of the processes that transform inputs such as raw materials, energy, and labor into outputs such as goods and services that satisfy customer needs.
This management process includes inventory management, scheduling, supply chain management, quality control, and more. The goal of operations management is to create efficient processes that maximize productivity while minimizing costs.
Students taking an operations management course learn about these concepts and how to apply them to real-world situations in various industries. They also study topics like process design, project management, lean principles, and decision-making models.
The course is usually offered as a part of business administration, engineering, or industrial technology programs. Graduates of the course may go on to careers as operations managers, logistics managers, supply chain analysts, process improvement specialists, or manufacturing engineers, depending on their areas of focus and interests.
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Suppose the following data were taken from the 2022 and 2021 financial statements of American Eagle Outfitters. (All numbers, including share data, are in thousands.) 2022 2021 Current assets $ 871,500 $972,000 Total assets 1,908,500 1,786,000 Current liabilities 415,000 360,000 Total liabilities 564,916 528,656 Net income 197,760 410,590 Net cash provided by operating activities 322,000 498,600 Capital expenditures 289,000 290,200 Dividends paid on common stock 82,000 126,700 Weighted-average common shares outstanding 206,000 216,100 (a) Calculate the current ratio for each year. (Round answers to 2 decimal places, e.g. 15.25.) 2022 2021 Current ratio enter current ratio rounded to 2 decimal places : 1 enter current ratio rounded to 2 decimal places : 1 (b) Calculate earnings per share for each year. (Round answers to 2 decimal places, e.g. 15.25.) 2022 2021 Earnings per share $ enter a dollar amount rounded to 2 decimal places $ enter a dollar amount rounded to 2 decimal places (c) Calculate the debt to assets ratio for each year. (Round answers to 1 decimal place, e.g. 29.5%.) 2022 2021 Debt to assets ratio enter percentages rounded to 1 decimal place % enter percentages rounded to 1 decimal place % (d) Calculate the free cash flow for each year. (Enter negative amounts using either a negative sign preceding the number e.g. -45 or parentheses e.g. (45).) 2022 2021 Free cash flow $enter a dollar amount $enter a dollar amount
Answer:
Kindly check explanation
Explanation:
Given the following :
__________________2022______2021
Current asset______871,500___972,000
Total assets______1,908,500__ 1,786,000
Current liabilities___415,000____ 360,000
Total liabilities_____ 564,916____ 528,656
Net income________197,760____ 410,590
Net cash (from OP)__322,000____ 498,600
Capital expenditures_289,000___ 290,200
Dividends paid(CS)___82,000____ 126,700
Weighted-average common shares outstanding 206,000 216,100
*(OP) = Operating activities
*(CS) = common stock
Current ratio for each year:
2022:
Current asset / current liability
$871,500 / $415,000 = 2.1 : 1
2021:
$972,000 / $360,00 = 2.7 : 1
EARNING PER SHARE :
Net income / weighted average shares outstanding
2022:
$197,760 / 206,000 = $0.96
2021:
$410,590 / 216,100 = $1.90
DEBT TO ASSET RATIO:
Total liabilities / Total asset
2022:
$564,916 / $1,908,500 = 0.296
2021:
$528,656 / 1,786,000 = 0.296
FREE CASH FLOW :
Net cash (from OP) - Capital expenditure - Dividend paid on common stock
2022:
$322,000 - $289,000 - $82,000 = - $49,000
2021:
$498,600 - $290,200 - $126,700 = $81,700
Enteries 2022 2021
Current asset 871,500 972,000Total assets 1,908,500 1,786,000Current liabilities 415,000 360,000Total liabilities 564,916 528,656Net income 197,760 410,590Net cash (from OP 322,000 498,600Capital expenditures 289,000 290,200Dividends paid(CS) 82,000 126,700Part A) :
The current ratio for each year :
2022:Current Ratio = Current asset / current liability
Current Ratio = $871,500 / $415,000
Current Ratio = 2.1 : 1
2021:Current Ratio = Current asset / current liability
Current Ratio = $972,000 / $360,00
Current Ratio = = 2.7 : 1
Part B :
The Earning per share for each year :
2022:Earning per share= Net income / weighted average shares outstanding
Earning per share= $197,760 / 206,000
Earning per share== $0.96
2021:Earning per share= Net income / weighted average shares outstanding
Earning per share=$410,590 / 216,100
Earning per share= $1.90
Part C:
Debt to asset ratio for each year :
2022:Debt to asset ratio=Total liabilities / Total asset
Debt to asset ratio=$564,916 / $1,908,500
Debt to asset ratio = 0.296
2021:Debt to asset ratio=Total liabilities / Total asset
Debt to asset ratio=$528,656 / 1,786,000
Debt to asset ratio= 0.296
Part D:
Free Cash flow for each year :
2022:Free Cash flow=Net cash (from OP) - Capital expenditure - Dividend paid on common stock
Free Cash flow=$322,000 - $289,000 - $82,000
Free Cash flow = - $49,000
2021:Free Cash flow=Net cash (from OP) - Capital expenditure - Dividend paid on common stock
Free Cash flow$498,600 - $290,200 - $126,700
Free Cash flow= $81,700
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BC Fruits Ltd, a fruit bottling and canning company, is planning to expand its operations. The directors
are hoping to increase the range of preserved fruit products and in doing so will need to invest in new
equipment. They are also hoping to open a new facility in the northern part of the country. The CFO has
been asked to prepare a report on the following issues of conceptual framework. You are the Finance
Controller of the company, and your CFO wants to address all issues in his report and has asked for your
assistance.
Prepare brief notes for the CFO, addressing each of the following and using the Conceptual Framework as
a source of reference:
(a) Identify potential providers of finance for BC Fruits Ltd and their information requirements in
respect of financial statements.
(b) Explain the terms 'performance' and 'position' and identify which of the financial statements will
assist the user in evaluating performance and position.
(c) Indicate why, for decision-making purposes, the financial statements alone
The potential providers of finance for BC Fruits Ltd will be commerical banks and the private investors.
Based on the information, the information requirements of the providers will be cash position, contingent liabilities, revenues, profit performance, etc.
Performance simply means the behavior over a particular period while position means the state of affairs on a particular date. It should be noted that while profit and loss statement reflects the performance of a business, the balance sheet shows the position of a company.
In conclusion, financial statements only shows the summary of financial transactions.
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The political candidates keep talking to the citizens about the possibility of a recession what would most likely happen if a country experience a recession
The thing that would MOST likely happen in this case if a country experiences a recession is D.Businesses will suffer from decreased sales and profits, eventually leading to closure
What is recession ?Recession, in economics, can be described as the downward trend in the business cycle.
Itshouldbe nopted that this can be seen as the decline in production and employment, whereby the incomes and spending of households to decline and as a result of thisthere would be hunger sa well as hardship in the country for this cause.
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missig part
What would MOST likely happen if a country experiences a recession?
A.
Feeling confident in the economy, people will begin to spend money more freely.
B.
Jobs will be more plentiful, and companies will be doing a lot of hiring.
C.
Families will start to purchase larger and more expensive homes.
D.
Businesses will suffer from decreased sales and profits, eventually leading to
"Based on your understanding of the risks associated with different mortgage loan types, which of the following mortgage loans would be considered the safest with respect to default risk?
a. ARM loans
b. alt-A mortgage loans
c. qualified mortgage loans
d. subprime mortgage loans o"
Qualified mortgage loans are the safest loans with respect to default risk. The correct answer is option C.
What is a mortgage loan?A mortgage loan is a loan used either by purchasers of property to raise funds to buy real estate, or by existing property owners to raise funds for any purpose while putting a lien on the property being mortgaged. The loan is "secured" on the borrower's property . A legal mechanism is put into place which allows the lender to take possession and sell the secured property to pay off the loan in the event the borrower could not pay the loan amount or did not abide by its term.
A Qualified Mortgage is a category of loans that have less risky features. If a loan is a Qualified Mortgage it means the lender met certain requirements and it is assumed by the lender that the borrower have the ability to repay .
Therefore, the safest mortgage loan with respect to default risk is qualified mortgage loan.
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Which of the following organizations must comply with rules and regulations established by specific government agencies to enforce the Equal Employment Opportunity Act of 1972?
a. Government organizations with a minimum of 10 employees
b. Private employers with 15 or more employees
c. Private organizations with a minimum of 10 employees
d. Labor unions with 5 or more members
Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
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OSHA requires that employers incorporate which of the following elements into their emergency action plans?
Employers must include the following elements in their emergency action plans, per OSHA regulations:
A means by which fire and other emergencies are reported to employees.Evacuation procedures and emergency escape route assignments.Procedures to account for all employees after an emergency evacuation have been completed.Rescue and medical duties for those employees who are to preform them.The Occupational Safety and Health Administration (OSHA) requires employers to have a well-defined emergency action plan in place to ensure the safety of employees in the event of a fire or other emergency.
The plan should include a means of reporting emergencies to employees, clear evacuation procedures and emergency escape route assignments, procedures to account for all employees after evacuation, and designated rescue and medical duties for employees.
This helps to ensure a coordinated and effective response in the event of an emergency, reducing the risk of injury or harm to employees and improving the chances of a successful outcome. For the safety of employees at work, it's important to have a well-thought-out emergency action plan.
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When searching for information on a potential employer, you should look in the following places: Responses Occupational Outlook Handbook Occupational Outlook Handbook local library local library company’s Web site company’s Web site Chamber of Commerce Chamber of Commerce
When conducting research on a potential employer, there are several places where you can look for information. One of the first places to start is the company's official website, as it will provide you with information on the company's history, products or services, mission, and values.
You can also check out their social media presence to see how they engage with their customers, partners, and employees.
Another useful resource is the Occupational Outlook Handbook, which can provide you with information on job descriptions, salary expectations, and job outlooks for various occupations. Additionally, you can visit your local library to access business directories, industry reports, and other relevant publications. You may also consider reaching out to your local Chamber of Commerce to gather information on the company's community involvement, reputation, and overall performance. You can also search for reviews and ratings on job search websites such as Glassdoor, Indeed, and LinkedIn. By gathering information from these sources, you can gain a better understanding of the company's culture, values, and goals, and determine whether it is a good fit for your career aspirations.
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Which of the following is an example of Brazil undertaking importing?
a.Brazil buys made-in-China products to sell in its domestic market.
b.China buys raw materials such as iron ore from Brazil.
c.Brazilian companies invest heavily in the housing industry in the country.
d.Chinese companies invest in Brazilian industry.
A good example of Brazil undertaking importation is A. Brazil buys made-in-China products.
The products are made in China and imported into Brazil by businesses, institutions, and individuals resident in Brazil.
Importation does not involve the following options:
Option b, whereby "China buys raw materials such as iron ore from Brazil." For Brazil, this is an export. Option c, whereby "Brazilian companies invest heavily in the housing industry in the country." This is domestic investment for Brazil. Option d, whereby "Chinese companies invest in Brazilian industry." This is known Foreign Direct Investment (FDI).Thus, when Brazilian persons import products and services from another country, they are classified as imports and not exports or domestic investments.
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The Eggers Corporation filed an amended Form 1120, claiming an additional $400,000 deduction for payments to a contractor for a prior tax year. The amended return was based on the entity's interpretation of a Regulation that defined deductible advance payment expenditures. The nature of Eggers's activity with the contractor did not exactly fit the language of the Regulation. Nevertheless, because so much tax was at stake, Eggers's tax department decided to claim the deduction. Eggers’s tax department estimated that there was only a 15% chance that Eggers’s interpretation would stand up to a Tax Court review.
a. What is the amount of tax penalty that Eggers is risking by taking this position?
b. What would be the result if there was a 45% chance that Eggers’s interpretation of the Regulation was correct?
Answer: See explanation
Explanation:
a. What is the amount of tax penalty that Eggers is risking by taking this position?
The amount of tax penalty that Eggers is risking by taking this position will be:
= $400,000 × 20%
= $400,000 × 20/100
= $400,000 × 0.2
= $80,000
The 20% used is the penalty charged when a claim is more than the final amount that's being allowed by the court or the IRS.
b.What would be the result if there was a 45% chance that Eggers’ interpretation of the Regulation was correct?
The result in this case if there was a 45% chance that Eggers’ interpretation of the Regulation was correct will be that Eggers will have zero tax penalty given. This is because since a reasonable cause was shown by the corporation, the penalty will be waived.
On February 28, 2009, $5,000,000 of 6%, 10-year bonds payable, dated December 31, 2008, are issued. Interest on the bonds is payable semiannually each June 30 and December 31. If the total amount received (including accrued interest) by the issuing corporation is $5,060,000, which of the following is correct?
a) The bonds were issued at a premium.
b) The amount of cash paid to bondholders on the next interest date, June 30, 2009, is $300,000.
c) The amount of cash paid to bondholders on the next interest date, June 30, 2009, is $50,000.
d) The bonds were issued at a discount.
Answer:
a) The bonds were issued at a premium.
Explanation:
Given that
There are the bonds of $5,000,000
And, if the total amount received that involved the accrued interest also so the amount of the bond is $5,060,000
This means the bond is issued at premium as the value is increased i.e. fro m $5,000,000 the value is now $5,060,000
So, the option a is correct
And, the rest of the options would be incorrect
performance.
Below is the information relating to production and sale of the
threeproducts for the year ending 31 December 2019:
Particulars
Krollers
Bags
Output sold (000)
Unit sales and costs
Selling price
Direct materials
Direct labour
Fixed production costs
Selling and distribution
Costs
Layers
Bags
1,200
Shs
1,050
Shs
Broilers
Bags
1,300
Shs
200,000 185,000 180,000
90,000 100,000
60,000 50,000
28,000 24,000
7,000 7,000
80,000
45,000
30,000
7,000
Administrative costs
5,000 5,000
6,000
Management accountant further advised that shutting down the
production line of feed concentrate for Kroilers will save 20% of the
total annual fixed costs.
Required:
Advise SIL's management, on whether the production line of
feed concentrate for Kroilers should be shut down.
(9 marks)
Based on the information provided, I recommend that SIL does not shut down the production line of feed concentrate for Kroilers
How to explain the informationThe decision to shut down a production line is a complex one that should be made on a case-by-case basis.
In the case of SIL, the management accountant has advised that shutting down the production line of feed concentrate for Kroilers will save 20% of the total annual fixed costs. This would result in a net profit increase of Shs. 2,800,000 (20% of 28,000,000). However, there are a number of other factors that need to be considered.
Based on the information provided, I recommend that SIL does not shut down the production line of feed concentrate for Kroilers. The financial benefits of the closure would be offset by the costs of job losses, lost sales, and damage to the company's reputation. The company should explore other options, such as finding a way to reduce costs without closing the production line.
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Jamie Kerr is an hourly employee of Noonan Company located in Los Angeles. This week, Kerr had to travel to the company's regional office in Santa Fe. He left Sunday at noon and arrived in Santa Fe at 3:30 P.M. During the week, he worked his normal 40 hours in the Santa Fe office (Monday through Friday-9 A.M. to 5 P.M.). In addition, he attended the company's 3½-hour work training session on Wednesday evening. Kerr's hourly rate of pay is $26.90 per hour.
Round the interim computations to two decimal places and use the rounded answers in subsequent computations. Round the final answers to the nearest cent.
a. Kerr's overtime earnings for the week are
b. Kerr's total earnings for the week are
a) Kerr received $164.78 in weekly overtime pay. Individuals who work for a company and receive compensation are called employees. Under the heading "Income from salaries," earned salaries are taxable.
How does income relate to salary?For the purposes of income tax, the amount that an employee receives from his employer in any of the following forms during a fiscal year will be considered "Salary": Wages: Wages are a set amount of money that an employer pays its employees in exchange for their work.
In the Netherlands, what is the "30 rule"?Employees recruited from outside the Netherlands to temporarily work here can take advantage of the 30% facility. They are exempt from paying tax on up to 30% of their salary provided they meet the conditions for the 30% facility.
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Please select the word from the list that best fits the definition
Level of a woman's income relative to that of a man.
There are different ways to define a term. Th word from the list that best fits the definition is Wage gap
What is wage gap?This is a term that refers to the level of women's income that is relative to that of men.
The wage gap exist due to the Differences in pay that is due to occupational segregation where there is more men in higher paid industries and women in smaller paid industries.
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Answer:
Wage gape
Explanation:
2023-2024 EDGE
The group of people within an organization who participate in the buying process and share common goals, risks, and knowledge important to a purchase decision are referred to as the
Answer:
Buying center
Explanation:
The group of an people in an organization that participated for purchasing the process and at the same time they share the common goals, objectives, risk and knowledge that are crucial for making a purchasing decision we called it as the buying center. In this the unit of the decision making of an organziation contacted to the members for making the buying decision process of the firm
So the above should be the answer
Unbanked Partner #1
1. I've had terrible customer service at the banks I've been into, so I don't like them and I
don't trust them. I'm certainly not leaving my money with them,
Being unbanked has become an increasingly common situation for many individuals in recent years. An unbanked person is someone who has no financial account with any institution. Individuals may choose to be unbanked for a variety of reasons, including a lack of trust in banks due to poor customer service or a negative experience.
A person may have experienced a bad encounter with a bank employee and choose to leave the bank and seek other banking options. They may also be unable to maintain a minimum balance in their bank account, and banks may impose fees for accounts that fall below a certain amount. It can be inconvenient to have to travel to a bank to withdraw money, especially if the nearest bank is far away. Additionally, the time spent waiting in line at a bank can be tedious, and it can be difficult to fit into a busy schedule.
There are alternatives to traditional banks that may be more convenient and better suit the needs of unbanked individuals. Credit unions, for example, offer similar services as banks but are often smaller and more focused on serving the community. Mobile banking apps have also become increasingly popular, offering services such as depositing checks and transferring money.
The use of prepaid debit cards is another option that allows for the convenience of a card without the need for a traditional bank account. The unbanked may also benefit from budgeting tools and financial literacy resources, which can help them make informed financial decisions and take control of their finances. Overall, being unbanked does not mean that an individual cannot access financial services or manage their money effectively.
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Investor purchased 2,000 shares of stock at $3.25 per share. Broker’s commission was $30. What was the total amount paid for the stock?
Answer:
Total amount paid for the stock $6530
Explanation:
2000 x $3.25 + $30 = $6530
The total amount paid for the stock is $6530.
The investor purchased 2,000 shares of stock at $3.25 per share. The cost of the shares is 2000 × $3.25 = $6500.
The broker's commission was $30. This is an additional fee that the investor paid to the broker for executing the trade.
The total amount paid for the stock is $6500 + $30 = $6530.
Here is a breakdown of the calculation:
Cost of shares: $3.25/share × 2,000 shares = $6500
Broker's commission: $30
Total amount paid: $6500 + $30 = $6530
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Based on the words you have identify each part of the pyramid enumerate the four kinds of social responsibilities
According to the Corporate social responsibilities's pyramid, the four kinds of social responsibilities are:
environmental responsibilityphilanthropic responsibilityethical responsibilityeconomic responsibility.What is a social responsibility?Basically, this refers to a framework in which an individual/corporation is obligated to work and cooperate with other individuals/organizations for the benefit of the community that will inherit the world that individual leaves behind.
It is described as a duty that every individual has to maintain; such as balance between the economy and the ecosystem one lives within. A social responsibility pertains not only to business organizations, but also to all whose actions impact the environment and it aims to ensure secure healthcare for people living in rural areas and eliminate barriers like distance, financial condition, etc
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