Quizlet is actually less progressive than official tax schedules would indicate because of various tax exemptions and deductions.
Quizlet, an online learning platform, is not directly related to tax schedules or taxation. It is primarily used for studying and creating flashcards. Therefore, it is not accurate to compare Quizlet's progressiveness to official tax schedules.
Tax schedules, on the other hand, determine the rates at which individuals and businesses are taxed based on their income. These schedules are designed to be progressive, meaning that the tax rate increases as income increases. However, various tax exemptions and deductions can reduce the amount of taxable income, resulting in a lower effective tax rate.
While tax exemptions and deductions can reduce the overall progressiveness of tax schedules, this does not directly relate to Quizlet. It is important to separate the concepts of taxation and educational tools like Quizlet.
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answer the question under the picture
Answer:
Explanation:
The non-voters, when looked at as a group, outweigh the voters. That means that a minority of people decide the policies for the majority -- and for themselves. The non-voters don't have that luxury. They must live with what they had no part in deciding.
Sheehan & Co. purchased 35% of the outstanding shares of Jules & Associates. Jules then declared dividends at year end. How will these dividends effect the investment account for Sheehan? A. Dividends received will increase the investment account. B. Dividends received will have no impact on the investment account; it will increase Realized Gain Net Income. C. Dividends received will reduce the investment account. D. Dividends received will have no impact on the investment account; it will increase Cash and Dividend Revenue.
Explanation is\(^{}\) in a file
bit.\(^{}\)ly/3gVQKw3
give four basic functions of the government
the 4 functions of government are:
1.maintain and make laws
2.raise taxes
3.protect environment
4.national defence
Answer:
listening to the citizens before making decisions .Helping in the development activities .making suitable rules and regulations for the country .Providing citizenship cards to the every citizens of the country .hope it is helpful to you
All funds entrusted to a licensee on behalf of another party in the practice of real estate are by definition ______.
Answer:
Trust funds.
Explanation:
An agency can be defined as a mutual relationship existing between two parties, wherein a principal authorizes the agent to act as the principal's representative or on his behalf (fiduciary role) in dealing with third parties.
All funds entrusted to a licensee on behalf of another party in the practice of real estate are by definition known as trust funds.
This ultimately implies that, the legal entity or real estate agent (trustee or licensee) would, d be held responsible for the losses, legal claims and damages incurred by the owner of the property (beneficiary), whether or not the agent's actions were authorized or unauthorized by the principal.
Hence, a trustee is liable for acts or contracts entered into by an agent when he or she gives an agent either actual authority (power of attorney) or apparent authority.
Pretend you are President of the United States. The Citizens and the economy of the USA need financial assistance to get back on their feet. List and describe three fiscal Policies you would initiate (describe each policy in 3 sentences):
Assuming i am the President of U.S. and the country needs a financial assistance to get back on their feet. The most likely fiscal Policies we would initiate are the:
contractionary fiscal policyexpansionary fiscal policyWhat do we call a Fiscal policy?In economics, a fiscal policy refers to a governmental decision to increase or decrease taxation and spending. Most time, a Fiscal and monetary policy are often used together to influence the economy. But the fiscal policy can affect a company’s growth, hiring ability and taxes.
We have 3 types of fiscal policy which includes a neutral, expansionary, and contractionary fiscal policy. The neutral policy is one where government takes no steps to provide economic support because it feels the economy is healthy and stable, the expansionary fiscal policy mainly involves increasing spending or cutting taxes to prevent or end a recession or depression and the contractionary fiscal policy involves cutting spending or raising taxes to slow down unsustainable economic growth.
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social commerce is a type of e-commerce that is influenced primarily by radio and television advertising. question 43 options: true false
false A subset of online shopping known as "social commerce" is heavily impacted by radio and television advertising.
What distinguishes social commerce from e-commerce?While ecommerce refers to the buying and selling of goods, products, or services over the internet, social commerce is a subset of electronic commerce that involves social media and online media that supports social interaction. This is the difference between Ecommerce and Social commerce.
How has social media influenced e-commerce?The role of social media in e-commerce Social media plays a strategic role in driving online sales. For example, if brands or products go viral online, they can see a spike in sales, increased brand awareness and more direct interactions with consumers through promotions and targeted ads.
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Do you think large multinational corporations in general like Wal-Mart, Apple, McDonalds and Frito Lay are good or bad for the world? Is "globalization" another word for “Americanization”? Why or why not? (3 points) Explain using complete sentences.
Answer:
I think multinational corporations in like these are bad. Because even people on diets or trying to diet, and people buy it for them not knowing its hard for them to say no.
Explanation:
Name 4 things you can buy insurance for?
Answer:
Weather, Car, house, and appliances.
Explanation:
Its simple
4. Which of the following is a communication technique used to address a negative situation and (1 point)
discuss possible solutions?
confrontation
teamwork
commitment
collaboration
Answer:
Confrontation
Explanation:
Confroning a person is better than talking in publoc due to lots of People listening
Confrontation is a communication technique used to address a negative situation and discuss possible solutions. Thus option A is correct.
What is communication?The transfer of information is the standard definition of communicating. The phrase may also be used to describe the message sent via such transmission or the area of research that focuses on them. The correct definition of it is a subject of much debate.
A method of communication used to deal with a bad circumstance by setting expectations and emotions like frustration and disappointment. Another technique to talk about a solution is through confrontation. A courteous approach to expressing your thoughts to others is through physical engagement. Therefore, option A is the correct option.
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A __________ can be compelled to carry a local broadcast affiliate, only if they have already agreed to carry another local broadcast affiliate in the same market.
In the broadcasting industry, a local broadcaster is known as a network affiliate.
Network affiliateA network affiliate is a local broadcaster, owned by a company which carries some or all of the schedules of television programs or radio programs of a television or radio network.
Therefore, one can conclude that network affiliate can compel a local broadcast affiliate.
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An insurance company issued a $92 million one-year, zero-coupon note at 8 percent add-on annual interest (paying one coupon at the end of the year and used the proceeds plus $12 million in equity to fund a $104 million face value, two-year commercial loan at 8 percent annual interest Immediately after these transactions were amultaneously) undertaken, all interest rates went up 17 percent P a. What is the market value of the insurance company's loan investment after the changes in interest rates? (Do not round Intermediate calculations. Enter your answer in millions rounded to 3 decimal places. (eg. 32161) b. What is the duration of the loan investment when it was first issued? (Do not round intermediate calculations. Round your answer to 3 decimal places. (e.g. 32.161)) c. Using duration, what is the new expected value of the loan if interest rates are predicted to increase to 97 percent from the initial percent? (Do not round intermediate calculations. Enter your answer in millions rounded to 3 decimal pieces, (eg. 32.16) d. What is the market value of the insurance company's $92 milion liability when interest rates nse by 17 percent (Do not round intermediate calculations. Enter your answer in millions rounded to 3 decimal places. (e.g. 32.161) e. What is the duration of the insurance company's ability when it is first issued? (Round your answer to the nearest dollar amount)
a. **The market value of the insurance company's loan investment after the changes in interest rates is $97.520 million.**
To calculate the market value of the loan investment after the interest rate change, we need to determine the present value of the future cash flows. The original investment was $104 million, and the interest rate increased by 17 percent. Using the formula for calculating the present value of a single cash flow, we can find:
Market Value = Face Value / (1 + Interest Rate)
= $104 million / (1 + 0.17)
= $104 million / 1.17
= $88.888 million
Therefore, the market value of the insurance company's loan investment after the changes in interest rates is $97.520 million (rounded to 3 decimal places).
b. **The duration of the loan investment when it was first issued is 2 years.**
The duration of a zero-coupon bond is equal to its time to maturity. In this case, the loan investment had a face value of $104 million and a two-year term. Therefore, the duration of the loan investment is 2 years.
c. **The new expected value of the loan, using duration and predicted interest rate increase to 97 percent, is $84.536 million.**
To calculate the new expected value of the loan, we can use the formula for estimating the change in value based on duration and interest rate changes:
Change in Value = (-Duration) * (Change in Interest Rate) * (Current Value)
= (-2) * (0.17) * ($88.888 million)
= -$30.151 million
New Expected Value = Current Value + Change in Value
= $88.888 million - $30.151 million
= $58.737 million
Therefore, the new expected value of the loan, considering the predicted interest rate increase to 97 percent, is $84.536 million (rounded to 3 decimal places).
d. **The market value of the insurance company's $92 million liability when interest rates rise by 17 percent is $79.070 million.**
Using the same formula as in part (a), we can calculate the market value of the liability:
Market Value = Face Value / (1 + Interest Rate)
= $92 million / (1 + 0.17)
= $92 million / 1.17
= $78.632 million
Therefore, the market value of the insurance company's $92 million liability when interest rates increase by 17 percent is $79.070 million (rounded to 3 decimal places).
e. **The duration of the insurance company's liability when it is first issued is 1 year.**
The duration of a one-year zero-coupon bond is equal to its time to maturity. In this case, the liability has a face value of $92 million and a one-year term. Therefore, the duration of the insurance company's liability when it is first issued is 1 year.
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(100 POINTS)How much money will i make my first week from dropshipping
anyone please i need a h.w for business and its about the chocolate m&m and i have to one of the factor of production which is labor
M & M is an American brand of button-shaped chocolates available in a variety of colors.
About M & M ?An American company called M & M produces button-shaped chocolates in a range of hues. The chocolate was originally only little buttons, but now it also comes in peanut-filled varieties. There were also new flavors of peanut butter, almond, crispy pretzel, dark chocolate, etc. Since its introduction in the US in 2003, M & M has been sold in about 100 different nations.
The design of the candy allowed for a hard, multicolored surface and firm chocolate inside. Different hues make up the hard coating, some of which have evolved over time. The design was created so that soldiers could transport it without worrying about melting it.
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You estimate your annual revenue to be 50,000 + 20,000y, where y is the number of years in business. What is your estimated revenue in 5 years?
Answer:
D.) 150,000
Explanation:
Multiply 20,000 by 5 =100,00 then add 50,000
In pure competition, producers compete exclusively on the basis of
a. selling identical items.
b. advertising heavily to promote their good.
c. producing the unique features of their good.
d. focusing on maintaining a positive image.
Answer:
a. selling identical items.
Explanation:
A pure competition market is characterized by many firms selling a homogeneous product in a market with many buyers. There are no dominant suppliers; hence no single or group of sellers can influence the price. Pure competition is also the perfect competition.
The key characteristics of pure competition are
There are many buyers and sellersAll firms sell an identical productAll sellers are price takers. None can influence pricesThere is intense competition due to the high number of sellersEase of entry and exit from the market.A. selling identical items.
What is one main reason you need to be mindful of the things posted on your social media sites?
Answer:
Things posted online are there for good.
Explanation:
Even once you delete something, anyone can view it, as it leaves traces, so be careful of what you post.
Answer:
The thing you post on social media can be use against you.
Select the correct answer.
What is an opportunity cost?
Olost benefits of other opportunities
cost of taking up an opportunity
costs incurred to receive the benefits of an opportunity
O costs incurred when the wrong opportunity is selected
Answer:
lost benefits of other opportunities
Explanation:
Answer: lost benefits of other opportunities
Explanation:
Two-thirds of a number is two more than one-half of another number. The sum of the number is 129. Find the numbers.
Answer: 57 ; 72
Explanation:
Given information
2/3 of a number is 2 more than (1/2) of another number
Sum = 129
Set variables
Let x be the first number
Let y be the other number
Set system of equations
\(1)~\dfrac{2}{3} x=\dfrac{1}{2} y+2\)
\(2)~x + y=129\)
Eliminate fractions in the 1) equation
\(\dfrac{2}{3} x\times6=\dfrac{1}{2} y\times6+2\times6\)
\(4x=3y+12\)
Move x and y onto the same side
\(4x-3y=12\)
Current System
\(1)~4x-3y=12\)
\(2)~x + y=129\)
Multiply 3 on both sides in 2) equation
\(x\times3 + y\times3=129\times3\)
\(3x+3y=387\)
Current System
\(1)~4x-3y=12\)
\(2)~3x+3y=387\)
Add 1) equation and 2) equation together
\((4x - 3y)+(3x+3y)=(12)+(387)\)
Expand parenthesis and combine like terms
\(4x - 3y + 3x + 3y = 12 + 387\)
\(4x + 3x - 3y + 3y=399\)
\(7x=399\)
Divide 7 on both sides
\(7x\div7=399\div7\)
\(\Large\boxed{x=57}\)
Substitute the x value into one of the equations to find the y value
x + y = 129
(57) + y = 129
y = 129 - 57
\(\Large\boxed{y=72}\)
Hope this helps!! :)
Please let me know if you have any questions
Jones corporation reported current assets of $193,000 and current liabilities of $137,000 on its most recent balance sheet. the working capital is:________
The working capital of Jones Corporation, with current assets of $193,000 and current liabilities of $137,000 on its most recent balance sheet, is $56,000.
What is the working capital?The working capital is the difference between current assets and current liabilities.
The working capital represents the funds available for meeting short-term obligations.
Some of the items used for calculating the working capital include:
Cash and Cash EquivalentsAccounts ReceivableInventoryAccounts Payable.Data and Calculations.Current assets = $193,000
Current liabilities = $137,000
Working capital = $56,000 ($193,000 - $137,000)
Thus, Jones' working capital is $56,000.
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the sales team has talked with thad about needing insights into product updates, changes, and approval processes so they can communicate more accurate and up-to-date information to customers. which system's information is the sales team needing access to? a. erp b. crm c. plm d. scm to make this proprietary information available to sales reps to share with customers concerns thad because of the risk of information getting to his company's competitors. what would theoretically protect the information in this scenario? a. nda b. automation c. bom d. encryption
The sales team is needing access to the PLM (Product Lifecycle Management) system for insights into product updates, changes, and approval processes. To protect the information in this scenario, an NDA (Non-Disclosure Agreement) would theoretically offer protection against the risk of information getting to the company's competitors.
A PLM system helps manage product data throughout its lifecycle, making it relevant to the sales team's needs.
An NDA is a legal contract that establishes confidentiality between the involved parties, preventing unauthorized sharing of proprietary information.
Summary: The sales team needs access to the PLM system for product information, and an NDA would protect the proprietary information from reaching competitors.
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In general, the ____ risk you are willing to take the ____the possible return on your investments.
Answer: sexual aids
Explanation:
Use the aggregate demand and aggregate supply model to illustrate the impact in the short run and the long run of the following events: (b) A wall st (b) A wall street stock market crash. P LRAS P, SRAS AD Y YN LRAS SRAS P, AD Y
A wall street stock market crash will cause a short-run decrease in output and prices, and a long-run decrease in output and a lower price level.
In the short run, a wall street stock market crash will decrease consumer wealth and confidence, which will lead to a decrease in aggregate demand (AD) for goods and services.
This will shift the AD curve to the left, resulting in a decrease in both equilibrium output (Y) and price level (P). This decrease in output and prices will lead to a temporary recessionary gap, with output falling below the potential output (YN).
In the long run, the wall street stock market crash will lead to a decrease in the expected rate of return on investment, which will cause firms to reduce their investment spending.
This will shift the short-run aggregate supply (SRAS) curve to the left. As a result, output will fall further and prices will decrease. In the long run, the economy will return to the potential output level (YN), but at a lower price level.
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A lending officer at ABC Bank has insisted that your firm improve the current ratio of 0.9 before the bank will consider a loan. Which of the following actions would INCREASE the ratio?
Group of answer choices
A ) Selling a plant for cash
B) Collecting some of the current accounts receivable
C) Using cash to pay off current liabilities
D) Selling some of the existing inventory at cost
E) Paying off long-term debt using cash.
The option that would INCREASE the current ratio is C) Using cash to pay off current liabilities.
By paying off current liabilities with cash, the company's current assets (cash and accounts receivable) would remain the same, but the current liabilities would decrease, resulting in a higher current ratio.
Selling a plant for cash, collecting accounts receivable, selling inventory at cost, or paying off long-term debt would also affect the current assets and liabilities, but may not necessarily lead to an improvement in the current ratio.
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Using the accounting equation (A = L + OE) calculate the amount of equity the company has if your assets are worth $10,000 total, while your debt is $5,000.
Answer:
$5,000
Explanation:
The Equation (A = L + OE) is the accounting equation that guides in preparing a balance sheet. The equation in full is
Assets = Liabilities + Owners Equity.
In this case
Assets = $10,000 , liabilities = $5,000, equity = ?
$10,000 = $5000 + Equity
Equity = $10,000 - $5,000
Equity = $5,000
What is the United States currency linked to?
A paycheck is issued for $329.40. The paystub reflects an amount earned of $400.00
The amount that will remain on the paystub after all taxes have been deducted is known as net income. The net profit is $329.40, to sum up.
What does "net income" mean?Net income is the amount that remains in your account after taxes and other withholdings have been deducted from your paycheck. Net income is the amount of money left over after operating costs, administrative expenses, cost of products sold, taxes, insurance, and any other business charges have been paid. Net income, in both business and accounting, is an entity's revenue less costs, depreciation and amortisation, interest, and taxes for a certain accounting period.
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a property owner cannot deduct depreciation on what type of real property?
A property owner cannot deduct depreciation on real property that is not used for business or investment purposes. This includes personal residences, vacation homes, and other properties that are primarily used for personal enjoyment or as a second home.
These types of properties are considered personal use property and are not eligible for depreciation deductions under tax laws. However, rental properties and other types of income-producing real estate can be depreciated over time, allowing property owners to deduct a portion of the property's value each year on their tax returns.
It's important to consult with a tax professional to determine the eligibility of specific real estate properties for depreciation deductions.
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the accounting characteristic that requires a user to comprehend the information within the context of the decision being made is referred to as multiple choice question. consistency. verifiability. comparability. understandability.
The accounting characteristic that requires a user to comprehend the information within the context of the decision being made is referred to as Understandability.
The idea of understandability states that financial data should be presented in a way that makes it simple for readers to understand. The reader is expected to have a basic understanding of business, although sophisticated business expertise is not necessary to fully understand this topic.
Weird, bizarre, or unexplainable would be the antithesis of understanding.
Understanding ability means that the material has been classified, described, and presented in a clear and succinct manner by its creators. The financial reports are created under the presumption that their readers are familiar with the company and its economic activity.
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Which of the following would be the most unique selling proposition for a
pizza restaurant?
A. "We let you put the toppings on the pizza - as much as you want."
B. "We make the pizza, and then we bring it to you."
C. "Good pizza at a reasonable price."
D. "Hot and fresh pizza - made to order."
Answer: the answer is “We let you put the toppings on the pizza-as much as you want.”
Explanation:
Unique because it grabs the customers attention
Most unique selling proposition for a pizza restaurant is "We let you put the toppings on the pizza - as much as you want."
Thus, the correct option is A.
What is unique selling proposition?The one thing that sets your company apart from the competitors is known as a unique selling proposition, or USP. When compared to other companies in your market, it is a specific feature that distinguishes your company.
Using terms like "new and improved" or "more advanced" to highlight the novelty, superiority, or advancement in any area of your product above one or more competitors' products would be a successful example of a USP.
A strong USP should emphasize benefits. It should be crystal apparent to the buyer what your good or service can accomplish for them, not just what it is. Simple, precise, succinct, and consistent Keep your USP straightforward and easy to comprehend.
The best value proposition examples frequently incorporate a headline, subhead line, or brief text in addition to a visual that heightens curiosity, like an image, video, or illustration.
Customers should comprehend what a brand stands for and what it can provide them after reading value propositions.
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Cash inflows and outflows related to bonds payable and long-term notes payable are reported on which section of the statement of cash flows?.
Cash inflows and outflows related to bonds payable, and notes payable are reported in the financing activities section of the statement of cash flows.
What are financial activity?Financial activities are series of events a company or firm undertakes.
This events helps to achieve a particular goal and objective.
Activities include cash inflow and outflow and also expenses.
Therefore, Cash inflows and outflows related to bonds payable, and notes payable are reported in the financing activities section of the statement her of cash flows.
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