Primary voters are different from general election voters in that primary voters are on average more extreme than general election voters (option b). This is because primaries tend to attract individuals with stronger party affiliations and more ideologically driven motivations, whereas general election voters consist of a broader range of political beliefs and affiliations.
There are several ways in which primary voters differ from general election voters. Firstly, primary voters tend to be younger and more liberal than general election voters. This is because primary elections are typically only open to registered party members, who tend to be more ideologically committed than the general electorate. Additionally, primary voters are on average more extreme than general election voters, as they are often more motivated by a particular issue or candidate than by the broader concerns of the electorate. However, primary voters also rely more on party identification than ideology in choosing whom to vote for, as they are often more focused on selecting the candidate who best represents their party's values and interests. Finally, it is worth noting that primary voters generally have more knowledge of politics than general election voters, as they are more likely to be engaged and informed about the issues and candidates at stake.
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How to treat someone very mean on their special day??
When I mean special day I mean
Mothers day
Birthday
Meeting
whoever answers the questions correctly and best I will mark them Brainly and will give them more points
Answer:
birthday
Explanation:
- give them a happy birthday card but glue the card shut
- give them a wrapped present but inside the box put nothing but glitter in it
Which two methods can be used to pass conversion attributes such as model type, color, and year of production through a floodlight activity? (select two)
The two methods that can be used to pass conversion attributes such as model type, color, and year of production through a floodlight activity are: Custom Floodlight Variables, Dynamic Remarketing.
Custom Floodlight Variables (CFV): Custom Floodlight Variables allow you to pass custom data through a Floodlight tag. This method involves creating custom parameters in the Floodlight tag and then passing data through those parameters from the conversion page. For example, you could create a custom parameter called "model" and pass the model type through that parameter.
Dynamic Remarketing: Dynamic Remarketing allows you to show ads to users based on the specific products or services they viewed on your website. This method involves passing data such as product ID, model type, color, and year of production through a Floodlight tag on the product page. This data is then used to show relevant ads to users who viewed that product.
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What type of Interests pays interest on interest?
O Compound Interest
O Simple Interest
Answer:
Compound interest
Explanation:
Selected transactions for Sophie’s Dog Care are as follows during the month of March. March 1 Paid monthly rent of $1,460. 3 Performed services for $170 on account. 5 Performed services for cash of $90. 8 Purchased equipment for $730. The company paid cash of $100 and the balance was on account. 12 Received cash from customers billed on March 3. 14 Paid wages to employees of $640. 22 Paid utilities of $88. 24 Borrowed $1,830 from Grafton State Bank by signing a note. 27 Paid $270 to repair service for plumbing repairs. 28 Paid balance amount owed from equipment purchase on March 8. 30 Paid $2,200 for six months of insurance. Journalize the transactions. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.)
Answer:
March 1
Dr Rent expense $1460
Cr Cash $1460
March 3
Dr Accounts receivable $170
Cr Service revenue $170
March 5
Dr Cash $90
Cr Service revenue $90
March 8
Dr Equipment $730
Dr Cash $100
Cr Accounts payable (730-100) $630
March 12
Dr Cash $170
Accounts receivable $170
March 14
Dr Salaries and wages expense $640
Cr Cash $640
March 22
Dr Utilities expense $88
Cr Cash $88
March 24
Dr Cash $1830
Cr Notes payable $1830
March 27
Dr Maintenance and repairs expense $270
Cr Cash $270
March 28 Accounts payable $630
Cash $630
March 30
Dr Prepaid insurance $2200
Cr Cash $2200
Explanation:
Preparation of Journal entries
March 1
Dr Rent expense $1460
Cr Cash $1460
(To record rent expense paid)
March 3
Dr Accounts receivable $170
Cr Service revenue $170
(To record services performed on account)
March 5
Dr Cash $90
Cr Service revenue $90
(To record services performed for cash)
March 8
Dr Equipment $730
Dr Cash $100
Cr Accounts payable (730-100) $630
(To record equipment purchased)
March 12
Dr Cash $170
Accounts receivable $170
(To record cash received from customers)
March 14
Dr Salaries and wages expense $640
Cr Cash $640
(To record wages paid to employees)
March 22
Dr Utilities expense $88
Cr Cash $88
(To record utilities expense paid)
March 24
Dr Cash $1830
Cr Notes payable $1830
(To record cash borrowed by signing a note)
March 27
Dr Maintenance and repairs expense $270
Cr Cash $270
(To record cash paid for repairs)
March 28 Accounts payable $630
Cash $630
(730-100)
(To record cash paid to accounts payable)
March 30
Dr Prepaid insurance $2200
Cr Cash $2200
(To record prepaid insurance paid)
ryan sells 200 plastic ball point pens at $0.50 each. his total costs are $25. his profits are group of answer choices $25. $75. $100. $175.
Ryan's profit on selling 200 plastic ball point pens at $0.50 each is $75.
Ryan sells 200 plastic ball point pens at $0.50 each. His total costs are $25. His profits are $75.
According to the problem, the cost price (CP) of each ball pen = Total cost / Number of ball pens= $25 / 200= $0.125
Therefore, Ryan sells each ball pen at $0.50. This means his selling price (SP) of each ball pen = $0.50
Ryan's profit (P) on selling a ball pen= Selling Price - Cost Price= $0.50 - $0.125= $0.375Ryan sells 200 ball pens.
Hence, his total profit (P) = Profit on selling 1 ball pen × Number of ball pens= $0.375 × 200= $75Therefore, Ryan's profit on selling 200 plastic ball point pens at $0.50 each is $75.
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Three business people who wish to invest in a new company. Each person is willing to pay one third of the total investment. . After careful calculation, they realize that each of them would pay $ 7600 less if they could find two more equal investors. How much is the total investment in the new business.
A) $ 64,000
B) $ 54,000
C) $ 21,000
D) $ 5,400
E)e) $57,000
1
1
the western capital growth mutual fund has: total assets $ 809,500,000 total liabilities $ 5,900,000 total number of shares 40,000,000 what is the fund's net asset value (nav) per share? (round your answer to 2 decimal places.)
The net asset value is $ 809,500,000.
The required details about net asset value is mentioned in below paragraph.
Net asset value is the cost of an entity's property minus the cost of its liabilities, regularly in terms of open-quit or mutual price range, on the grounds that stocks of such price range registered with the U.S. Securities and Exchange Commission are redeemed at their internet asset cost. Net asset value NAV) is the cost of a fund's asset much less the cost of its liabilities in keeping with unit. NAV = (Value of Assets-Value of Liabilities)/variety of gadgets first rate.NAV is calculated with the aid of using dividing the overall cost of all of the coins and securities in a fund's portfolio, minus any liabilities, with the aid of using the variety of first rate stocks. The NAV calculation is crucial because it tells us how plenty one percentage of the fund must be worth.
net asset value =(assests - liabilities) / overall stocks
=$ 809,500,000-$ 5,900,000/40,000,000
=$ 809,500,000
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A distributor has heard that one of the major manufacturers from which it buys is considering going directly to the consumer. What can the distributor do about this
In this scenario, the distributor can do the following things to prevent a major manufacturer from which it buys from going directly to the consumer:1.
Strong and good relationship: The distributor can work to establish a strong relationship with the manufacturer. This can be done by ordering in large quantities, paying on time, and providing great customer service.2. Value-adding services: A distributor can offer value-added services like installation, repair, or maintenance to the products.3. Create a win-win situation: The distributor can create a win-win situation with the manufacturer to keep them happy.
The distributors should make sure that their relationship with the manufacturer is strong. By ordering large quantities, paying on time, and providing great customer service, the manufacturer will be more likely to keep working with the distributor. Moreover, the distributor can offer value-added services such as installation, repair, or maintenance. By doing this, the manufacturer will feel as though they are receiving more value for their money.
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rick just left his company of 25 years to go to work for a competitor. rick’s change in jobs reflects which aspect of the work-retirement relationship? quizlet
Rick's change in jobs reflects the aspect of the work-retirement relationship known as "job mobility." Job mobility refers to an individual's ability to switch jobs or employers during their career. In Rick's case, he left his company of 25 years to work for a competitor, indicating that he exercised his job mobility.
Job mobility is a common aspect of the work-retirement relationship, where individuals have the freedom to change jobs or employers based on their personal or professional goals. This aspect allows individuals to explore new opportunities, gain new experiences, and potentially improve their job prospects or financial situation. In Rick's situation, he made the decision to leave his company of 25 years and join a competitor. This indicates that he took advantage of his job mobility and opted for a new opportunity that he believed would be beneficial to his career growth or other personal factors.
It's important to note that job mobility can have various motivations, including seeking higher salaries, career advancement, better work-life balance, or a desire for new challenges. Each individual's reasons for changing jobs may vary, but the common thread is the exercise of job mobility in the work-retirement relationship.
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On May 31, 20X1, the Arlene Corporation adopted a plan to sell its cosmetics line of business, considered a component of the entity. The assets of the component were sold on October 13, 20X1, for $1,120,000. The component generated operating income of $300,000 from January 1, 20X1, through disposal. In its income statement for the year ended December 31, 20X1, the company reported before-tax income from operations of a discontinued component of $620,000. What was the book value of the assets of the cosmetics component
Answer:
$800,000
Explanation:
Calculation to determine the book value of the assets of the cosmetics component
Assets of the component $1,120,000.
Less gain on sale of the assets ($320,000)
($620,000-$300,000)
Book value of the assets $800,000
($1,120,000-$320,000)
Therefore the book value of the assets of the cosmetics component will be $800,000
Sweethearts production was temporarily suspended in which year?
Production of sweethearts was momentarily halted in 1901.
In 1901, the first Sweethearts, or conversation hearts, were produced. Several designs, including lozenges, postcards, horseshoes, watches, and baseballs, were previously manufactured.
Due to Necco ceasing operations, the candies were no longer produced last year. Afterwards Necco Wafers and the Sweethearts were bought by the Ohio-based Spangler Candy Corporation. Time claims that due to the timing of the sale, Spangler was unable to complete the production of the candy in time for Valentine's Day last year.
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when price and total revenue move in the same direction along the demand curve, this indicates that demand is ____
When the price and total revenue move in the same direction along the demand curve, this indicates that the demand is inelastic. When the price of a product increases, the quantity of product demanded by the consumers decreases because of the high price.
On the other hand, when the price of the product decreases, the quantity of product demanded by the consumers increases .In elastic demand, when the price of a product increases, the quantity of product demanded by the consumers decreases significantly because of the high price. Likewise, when the price of a product decreases, the quantity of product demanded by the consumers increases significantly because of the low price.
However, when the price and total revenue move in the same direction along the demand curve, this indicates that the demand is inelastic .Therefore, the given statement that "when price and total revenue move in the same direction along the demand curve, this indicates that demand is inelastic." is correct. When the demand is inelastic, consumers don't change their buying habits even if the price of the product changes.
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what effect will a low economic growth have on the country
Answer:
it can lead to national poverty and economy crisis
What will happen if there is a problem between Finance and Marketing?
To change the relationship, marketing needs to understand the finance mindset. Basically, finance people are risk averse. ... The more marketing's initiatives address customer lifetime value, improve the rate of product adoption, reduce customer churn and lower acquisition costs, the better the company's cash flow.
Suppose you have $1,325 and plan to purchase a 5-year certificate of deposit (CD) that pays 3.5% interest, compounded annually. How much will you have when the CD matures
The amount I would have when the CD matures is $1573.68.
What is the amount I would have when the CD matures?When an amount is compounded annually, it means that both the amount invested and the interest already accrued increases in value once in a year.
FV = P (1 + r)^n
FV = Future value P = Present value R = interest rate N = number of years1325 ( 1.035)^5 = $1573.68
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Consider a simple firm that has the following market-value balance sheet: Next year, there are two possible values for its assets, each equally likely: $I,190 and S970. Its debt will be due with 4. 9% interest. Because all of the cash flows from the assets must go either to the debt or the equity, if you hold a portfolio of the debt and equity in the same proportions as the firm's capital structure, your portfolio should earn exactly the expected return on the firm's assets. Show that a portfolio invested 43% in the firm's debt and 57% in its equity will have the same expected return as the assets of the firm. That is, show that the firm's WACC is the same as the expected return on its assets. If the assets will be worth $1,190 in one year, the expected return on assets will be %. (Round to one decimal place.) If the assets will be worth $970 in one year, the expected return on assets will be %. (Round to one decimal place.)The expected return on assets will be %. (Round to one decimal place.)For a portfolio of 43% debt and 57% equity, the expected return on the debt will be %. (Round to one decimal place.)If the equity will be worth $717. 95 in one year, the expected return on equity will be Q%. (Round to one decimal place.) If the equity will be worth $497. 95 in one year, the expected return on equity will be %. (Round to one decimal place.)The expected return on equity will be %. (Round to one decimal place.) The expected pre-tax return on a portfolio of 43% debt and 57% equity will be %. (Round to one decimal place. There may be a slight difference due to rounding.)
A portfolio invested 43% in the firm's debt and 57% in its equity will have the same expected return as the assets of the firm, thus demonstrating that the firm's WACC is equal to the expected return on its assets.
To show that a portfolio invested 43% in the firm's debt and 57% in its equity will have the same expected return as the assets of the firm, we need to consider the weighted average cost of capital (WACC) and the expected return on assets.
The WACC is calculated by weighting the cost of debt and the cost of equity based on their proportions in the firm's capital structure. In this case, the portfolio is invested 43% in debt and 57% in equity, which matches the firm's capital structure.
Since the debt has a stated interest rate of 4.9%, we can calculate the expected return on debt as 4.9%.
The expected return on equity can be derived by subtracting the expected return on debt from the expected return on assets. We are given two possible values for the firm's assets: $1,190 and $970, each equally likely. By calculating the expected return on assets for both scenarios, we find that it is the same for both cases, which is the average of the two expected returns on assets.
Therefore, the portfolio's expected return on equity will also be the same, as it is directly linked to the expected return on assets.
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guysss i need helpppp
what color is a carrot plzzzzzz this teacher is on my a.ss about it
Answer:
BLUE Hope this helps :)))))
Explanation:
............
Answer:
totally megenta
Explanation:
☺️☺️☺️☺️☺️☺️☺️☺️
companies use a predetermined overhead rate rather than an actual overhead rate because ______.
Companies use a predetermined overhead rate rather than an actual overhead rate because to get around this problem.
For businesses, using a predetermined overhead rate rather than an actual overhead rate can be beneficial in many ways.
Predetermined overhead rates provide a consistent and reliable estimate for the total overhead costs of a company, helping to ensure that sufficient funds are being allocated for these costs.
This type of rate also allows for easier budgeting since the amount of overhead costs is known in advance, rather than changing from project to project due to fluctuating actual costs. By using a predetermined overhead rate, companies can easily plan for and budget their overhead costs, helping them to stay on track financially.
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PLEASE HELP ME I NEED HELP!!!!!!
Which of these factors would NOT cause the demand curve for a particular good to shift?
Group of answer choices
a change in the costs of a necessary factor of production
a change in the number of consumers in the market
a change in the level of consumer income
a change in consumer preference
Answer:
a change in the level of consumer income
Explanation:
i did the problem recently :)
A consumer has preferences defined over Food and Shelter. The income of the consumer is $800/month and the prices of Food and Shelter are $50/lb and $25/sq yd, respectively. Draw the budget line. Show the affordable set and give an example of a bundle that is not affordable.
The budget line shows the combinations of Food and Shelter that a consumer can afford given their income and the prices of the goods. The affordable set is the area below or on the budget line. An example of an affordable bundle is 10 lbs of Food and 20 sq yds of Shelter, while an example of a non-affordable bundle is 20 lbs of Food and 10 sq yds of Shelter.
The budget line represents the different combinations of Food and Shelter that a consumer can afford given their income and the prices of the goods. To draw the budget line, we need to determine the maximum amount of each good that the consumer can purchase within their budget.
Let's start with the consumer's income of $800/month. Assuming all income is spent on either Food or Shelter, we can divide the income by the prices to find the maximum quantities the consumer can afford. With a price of $50/lb for Food, the consumer can afford a maximum of 800/50 = 16 lbs of food. With a price of $25/sq yd for Shelter, the consumer can afford a maximum of 800/25 = 32 sq yds of shelter.
To draw the budget line, we plot the quantity of Food on the x-axis and the quantity of Shelter on the y-axis. Connecting the points (0, 32) and (16, 0) gives us the budget line. This line represents all the combinations of Food and Shelter that the consumer can afford.
The affordable set is the area below or on the budget line. Any combination of Food and Shelter within this area is affordable for the consumer.
For example, a bundle of 10 lbs of Food and 20 sq yds of Shelter would lie on the budget line and would be affordable for the consumer.
An example of a bundle that is not affordable would be 20 lbs of Food and 10 sq yds of Shelter, which lies above the budget line and exceeds the consumer's budget.
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How is a mutual fund different than an index fund?
Answer:
Index funds are mutual funds, but instead of owning maybe twenty or fifty stocks, they own the entire market. (Or, if it's an index fund that tracks a specific portion of the market, they own that portion of the market:)
Two characteristics of an autocratic and democratic leadership style
Answer:
• You have a highly structured working environment.
• You dictate all the working methods and processes.
Explanation:
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Maynard Enterprises paid $1,860 in dividends and $1,900 in interest over the past year. The common stock account increased by $1,680 and retained earnings decreased by $770. What was the company's net income
To calculate the net income of Maynard Enterprises, we need to use the formula:
Net Income = Dividends + Interest - (Increase in Common Stock + Decrease in Retained Earnings)
Plugging in the values given in the question, we get:
Net Income = $1,860 + $1,900 - ($1,680 + $770)
Net Income = $1,860 + $1,900 - $2,450
Net Income = $1,310
Therefore, the net income of Maynard Enterprises over the past year was $1,310.
It is important to understand the various components of the formula used to calculate net income. Dividends and interest are both forms of income that a company may generate. Dividends are payments made to shareholders from a company's profits, while interest is paid on borrowed funds.
On the other hand, an increase in common stock indicates that the company has issued more shares of stock, while a decrease in retained earnings means that the company has used its profits to pay dividends or invest in the business rather than retaining them.
By subtracting the increase in common stock and decrease in retained earnings from the total income generated from dividends and interest, we arrive at the net income of the company.
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mentoring moment: mission statements think about choices to include and choices to avoid when developing a mission statement. drag and drop each of the following phrases to either the good mission statements box or the poor mission statements box. is meaningful states what the organization wants to accomplish is very broad addresses customers the organization serves is specific is market-oriented lists all the products the organization sells is product-oriented describes the business the organization is in is less than seven words
Good mission statements are is meaningful, is specific, is market-oriented, and addresses customers the organization serves. Poor Mission Statements are is very broad, lists all the products the organization sells, is product-oriented, describes the business the organization is in, and is less than seven words.
Good Mission Statements:
Is meaningful: A good mission statement should be meaningful and convey a clear sense of purpose that inspires and motivates stakeholders.Is specific: A specific mission statement provides a clear direction for the organization and helps it stay focused on its goals.Is market-oriented: A market-oriented mission statement focuses on the needs and wants of customers, which helps the organization to understand its target audience and develop products and services that meet their needs.Addresses customers the organization serves: A mission statement that addresses the customers the organization serves indicates that the organization understands the importance of meeting the needs and expectations of its customers.Poor Mission Statements:
Is very broad: A mission statement that is too broad can be vague and fail to provide clear direction for the organization.Lists all the products the organization sells: Listing all the products an organization sells can make a mission statement sound more like a product catalog than a statement of purpose, which can be off-putting to customers.Is product-oriented: A mission statement that is product-oriented may fail to convey a sense of purpose beyond simply selling products.Describes the business the organization is in: Describing the business an organization is in is often too vague to provide meaningful direction for the organization.Is less than seven words: A mission statement that is too short may fail to provide sufficient detail and direction for the organization.To learn more about mission statements: https://brainly.com/question/30584584
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Which Energy career pathways work with renewable energy? Check all that apply.
O Energy Conversion
O Energy Generation
O Energy Analysis
O Energy Transmission
O Energy Distribution
Answer:
Energy Generation, Energy Transmission, & Energy Distribution
Explanation: I think this is correct
Julie Martin bought stock for $3,000, using $2,000 of her own money and $1,000 borrowed from the broker. One month later, the stock is sold for $3,850. Interest owed to the broker is $15; brokerage commissions to buy and sell the stock totaled $150. Rates of return: %
Answer:
The Rates of return = 22.83%
Explanation:
The stock that is bought by Julie Martin = $3000
Own money used to buy = $2000
Borrowed money =$1000
Interest on borrowed money = $15
Brokerage commissions = $150
The stock is sold after one month = $3850
Now first calculate the net profit = Selling price of stock – cost price of stock – Interest on borrowing – commission
= 3850 – 3000 – 15 – 150
= 685
Now calculate the rate of return = Net profit / cost of stock
= 685 / 3000
= 0.2283 or 22.83 percent.
Answer:
21.64%
Explanation:
First you would want to take the total cost of buying the stock and add it up.
1000+2000+15+150=3165
After this you would take the price at which it was sold ($3850) and subtract 3165 from it.
3850-3165=685
$685 is the total profit.
Finally you would take the total profit and divide it by the total cost.
685/3165=0.2164297
This gives you the final Rates of Return of 21.64%
what is referred to a process that involves developed action plan that leads to achieving specific goals
Answer:
The appropriate approach is "Developing strategic plan ".
Explanation:
Knowing what it does and reevaluating it to ensure that it is the leading northern star for certain activities seems to be the secret to creating a successful strategic planning strategy. This strategy includes defining the intent, strategies, and procedures of an organization which would be used to achieve those objectives. As such, this strategy seems to be an important aspect of the operation of an organization, even though it is necessary to undertake the process of designing the schedule with serious thought and thoroughness.Goal setting is the process which involves developed action plan.
Let understand that "Goal setting "involves drawing an action plan in order to motivate and guide a person or group toward a goal.
Setting a deadline for a goal create a schedule to achieve the particular goal.
Some benefit of goal setting in an organisation includes:
Goals provides Motivation because energy are directed for accomplishment of the task.Its provides a dedicated direction for the company.Goal setting result to sense of personal satisfaction.Its bring forth clear focus on what is important.Its brings Clarity in Decision Making in a company.New goals become part of an organisation purpose of existence.Learn more about Goal setting here
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What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUSusan Sleugh earns $89,079 annually. Income tax is charged using the following information: 1.11% on on first $45225 of taxable income 2.13% on next $83989( over $ 45225 upto $129.214) 3. 15% on $129.214 Calculate the annual income tax payable.
Susan Sleugh earns $89,079 annually. Income tax is charged using the following information: 1.11% on the first $45225 of taxable income, 2.13% on the next $83989( over $ 45225 up to $129.214), and 15% on $129.214. Susan Sleugh's total tax payable is $-3526.60.
For income below $45225, the rate of tax is 1.11%. Therefore the amount of tax that Susan has to pay for the income below $45225 is:1.11/100 × 45225 = $501.28
Next, for the next $83989( over $ 45225 up to $129.214) the rate of tax is 2.13%. Therefore, the amount of tax that Susan has to pay for this amount is 2.13/100 × 83989 = $1791.27Now, for the amount above $129.214, the rate of tax is 15%.
Therefore, the amount of tax that Susan has to pay for the amount above $129.214 is:15/100 × (89079 - 129214) = -$5829.15. Hence, her total tax payable for the year is Total tax payable = $501.28 + $1791.27 - $5829.15= -$3526.60. Susan Sleugh's total tax payable is $-3526.60.
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three types of cost-reimbursable contracts are cost plus incentive fee, cost plus fixed fee, and cost plus percentage of costs.
The three types of cost-reimbursable contracts are cost plus incentive fee, cost plus fixed fee, and cost plus percentage of costs.
In a cost plus incentive fee contract, the contractor is reimbursed for the allowable costs incurred, and an additional incentive fee is provided based on achieving predetermined performance targets. This incentivizes the contractor to meet or exceed specified objectives.
In a cost plus fixed fee contract, the contractor is reimbursed for the allowable costs incurred, and a predetermined fixed fee is added as compensation for the contractor's services. The fee remains the same regardless of the actual costs incurred.
In a cost plus percentage of costs contract, the contractor is reimbursed for the allowable costs incurred, and a percentage of these costs is added as a fee. The fee increases as the costs incurred by the contractor increase.
These types of cost-reimbursable contracts provide flexibility for both the contractor and the client, allowing for adjustments based on actual costs and performance.
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