Ralph owns a building that he is trying to lease. Ralph is a calendar-year, cash-method taxpayer and is trying to evaluate the tax consequences of three different lease arrangements. Under lease 1, the building rents for $680 per month, payable on the first of the next month, and the tenant must make a $680 security deposit that is refunded at the end of the lease. Under lease 2, the building rents for $7,480 per year, payable at the time the lease is signed, but no security deposit is required. Under lease 3, the building rents for $680 per month, payable at the beginning of each month, and the tenant must pay a security deposit of $1,360 that is to be applied toward the rent for the last two months of the lease. (Leave no answers blank. Enter zero if applicable.)
a. What amounts are included in Ralph’s gross income this year if a tenant signs lease 1 on December 1 and makes timely payments under that lease?
Amount included in Gross Income:
b. What amounts are included in Ralph’s gross income this year if the tenant signs lease 2 on December 31 and makes timely payments under that lease?
Amount included in Gross Income:
c. What amounts are included in Ralph’s gross income this year if the tenant signs lease 3 on November 30 and makes timely payments under that lease?

Answers

Answer 1

Answer:

A. Amount included in gross income $0

B. Amount included in gross income $7,480

C. $2,720

Explanation:

a The amount included in Gross income this year, assuming the tenant signs lease 1 on December 1

As Ralph is a calendar year, cash method taxpayer, he will only put the cash receipt of rent

Rent for the month will be payable on first on next month, therefore, rent for December he will receive in January and the calendar year will on ends on 31st December therefore, he will not put any amount

this year.

Security deposit is a liability, and will be returned at the end of the lease, therefore it is not a income.

Amount included in gross income $0

b. The amount that is put in gross income, assuming the tenant signs lease 2 on December 31 is $7480, he has to pay

the years rent in advance when he sign the lease

Amount included in gross income $7,480

c. The amount that is put in gross income, assuming the tenant signs lease 3 on November 30, will be the amount of

rental income of 2 months (November and December) that is paid in the starting of each month and security

deposit that is to be applied toward last two months of the lease.

Amount included in gross income

Rental income is calculated as $680 x 2 months

$1,360

Security deposit is calculated as Advance rent for last two months)

$1,360

Total $2,720


Related Questions

B2B marketing requires a special, unique set?​

Answers

Take a position: Business-to-business marketing requires a special, unique set of marketing concepts and principles. ... B2B company demands for sophisticated sales management and an educated, knowledgeable, trained staff whose words and actions can have strong influence in the B2B buyers.

how do i type i am serious

Answers

1

Place your fingers in the "home" position. That's the position in which your fingers will rest between keystrokes. No matter what part of the keyboard you're using, your fingers will always come back to rest in this position.[1]

Place your right index finger on the "J" key and let the other three fingers fall naturally onto the "K", "L" and ";" keys respectively. Place your left index finger on the "F" key and let the other three finger fall naturally onto the "D", "S", and "A" keys respectively. Both thumbs should rest on the space bar, but only the right thumb should key it.[2]

You should feel a raised bump on both the "F" and "J" keys. These will allow your fingers to find the home position without having to look at the keyboard.

2

Type each key from left to right. Type each letter covered by the fingers in the home position, going from left to right: a s d f j k l ;. You shouldn't have to move your fingers from their home positions. Just press the keys they are resting on.

3

Repeat, but this time capitalize. Repeat the step above, but this time in capital letters: A S D F J K L :. Use the shift key to capitalize rather than the caps lock. Push the shift key by moving only your nearest pinkie finger and pressing and holding it while pushing the desired letter with your other hand.

In other words, when the letter you would like capitalized is typed with your left hand, you press the right shift key with your right pinkie.

When the letter you would like capitalized is typed with your right hand, you press the left shift key with your left pinkie.

4

Become familiar with the rest of the alphabet. Learn where each letter is positioned on the keyboard, and use the nearest finger to contact each key. (The thumbs are never the nearest finger; they are used only on the space bar.)[3]

"q" "a" and "z" are typed with the left pinkie, and so are the tab, caps lock, and shift keys.

"w" "s" and "x" are typed with the left ring finger.

"e" "d" and "c" are typed with the left middle finger.

"r" "f" "v" "b" "g" and "t" are typed with the left index finger.

Your thumbs should never leave the space bar.

"u" "j" "n" "m" "h" and "y" are typed with your right index finger.

"i" "k" and the keys with "," and "<" are typed with the right middle finger.

"o" "l" and the keys with ">" and "." are typed with the right ring finger.

Your right pinkie finger is used for typing: "p", ";", ":", "'", """ (a quotation mark), "/", "?", "[", "{", "]", "}", "\", "|", and is used for pressing the shift, enter, and backspace keys.

5

Type your first sentence. Starting from the home position, type: "The quick brown fox jumps over the lazy dog". This sentence contains every letter in the alphabet, so it's a perfect sentence for practicing the correct finger positioning.

Type the sentence over and over, watching your fingers to make sure they go to the right keys and immediately return to home position.

Once you begin to feel comfortable with the way your fingers are moving, try to look at the screen while you type rather than looking at the keyboard. This is known as touch typing.

Imagine the products are in decline and recommend an extension strategy for each one. Make sure you explain your
A Galaxy chocolate bar
Candy Crush mobile app.
Evian water
Ferrari world.

Answers

All of these products should use a rebranding extension strategy.
Once a product reaches maturity and the market is saturated, it gradually starts to decline.

Because of this, one approach to lengthen the life of a product strategy is to always seek out ways to make it better, different, and even stand out from similar products that have already hit the market.

Rebranding, offering discounts, and looking for new markets are all examples of extension strategy methods. Rebranding is the process of giving an existing product a fresh look and feel in order to set it apart from the competition. For instance, a cosmetics company might provide additional brushes, blenders, or sponges.

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Economic impact of offshore banking in malaysia

Answers

Answer:

It helps them but not a major impact

Explanation:

Pls mark brainliest

is a place where two parties can gather to facilitate the exchange of products

Answers

A marketplace is a physical or virtual place where two parties can gather to facilitate the exchange of goods or services. It is a space where vendors or merchants come together to sell their wares, and consumers come to buy what they need. A marketplace can be found in many forms and has evolved over time to keep up with the changing nature of trade and commerce.

Traditional marketplaces are physical locations where people gather to sell goods. They have been around since ancient times and continue to exist in many parts of the world. These marketplaces are usually located in urban areas, and vendors set up their stalls or shops to sell their wares.

They may sell food, clothing, handmade crafts, or other products. People come to these marketplaces to buy what they need, socialize, and enjoy the atmosphere.Virtual marketplaces, on the other hand, are online platforms where people can buy and sell products.

These marketplaces are accessible from anywhere with an internet connection and have become increasingly popular in recent years. Popular examples of virtual marketplaces include Amazon, eBay, and Etsy.

These platforms allow vendors to reach a broader audience and sell their products worldwide.In conclusion, marketplaces are crucial for facilitating the exchange of goods and services. They have been around for centuries, and their evolution has resulted in various forms, including traditional and virtual marketplaces.

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please respond to the followin Read the speech "Are Women Persons?" in the text on page 347. Answer and discuss the 3 Study/Writing/Discussion Questions at the end of the speech (page 349).​

Answers

McClung's argument centers on the definition of the word "person" because at the time, the legal definition of a "person" in Canada only applied to men, which meant that women were not considered legal persons and therefore did not have the same rights and privileges as men.

What was the Author aim in Are Women Persons?

McClung's speech aims to challenge this discriminatory definition of "person" and advocate for women's full inclusion in society as equal human beings with equal rights. By arguing that women are indeed persons, McClung is advocating for their legal recognition as individuals with inherent dignity and worth, who are entitled to the same rights and freedoms as men.

Throughout her speech, McClung employs a variety of rhetorical techniques to make her case, including humor, irony, and logical argumentation. Ultimately, her argument centers on the idea that denying women personhood is not only unjust but also illogical and irrational, as it goes against the very principles of democracy and human rights.

Full question "Read the speech "Are Women Persons?" in the text on page 347.. Why does her argument center on the definition of the word "person"?"

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Leimersheim GmbH has adopted the following policies regarding merchandise purchases and inven-
tory. At the end of any month, the inventory should be €15,000 plus 90% of the cost of goods to be

sold during the following month. The cost of merchandise sold averages 60% of sales. Purchase terms
are generally net, 30 days. A given month’s purchases are paid as follows: 20% during that month and
80% during the following month.
Purchases in May had been €150,000 and the inventory on May 31 was higher than planned
at €230,000. The manager was upset because the inventory was too high. Sales are expected to be
June, €300,000; July, €290,000; August, €340,000; and September, €400,000.
1. Compute the amount by which the inventory on May 31 exceeded the company’s policies.
2. Prepare budget schedules for June, July, and August for purchases and for disbursements for
purchases.

Answers

1. The amount by which the inventory on May 31 exceeded the company’s policies is €53,000.

2. The preparation of the budget schedules for June, July, and August for purchases and for disbursements for purchases is as follows:

a) Purchases:

                                  May               June           July             August  

Cost of goods sold                       180,000      174,000     204,000

Ending Inventory €230,000         171,600      198,600      231,000

Goods available for sale              351,600     372,600     435,000

Beginning Inventory                   230,000       171,600      198,600

Purchases              €150,000      121,600      201,000     236,400

b) Disbursement for purchases:

                                  May           June           July             August  

20% during the month             24,320       40,200         47,280

80% following month             120,000       97,280       160,800

Total disbursements            €144,320   €137,480    €208,080

How is the difference between actual inventory and inventory per company policy determined?

Expected ending inventory = €15,000 plus 90% of the next month's cost of goods.

Cost of goods sold = 60% of sales

Purchase terms = net 30 days

Purchase payments:

20% during the month

80% following month

                                  May          June         July           August     September

Expected Sales                    €300,000  €290,000  €340,000  €400,000    

Cost of goods sold                  180,000      174,000    204,000     240,000

Purchases              €150,000

Ending Inventory €230,000

= €15,000 plus 90% of €180,000 = €177,000

Excess ending inventory for May = €53,000 ( €230,000 - €177,000)

Data and Calculations:Purchases:

                                  May          June         July           August     September

Expected Sales                    €300,000  €290,000  €340,000  €400,000    

Cost of goods sold                  180,000      174,000    204,000     240,000

Ending Inventory €230,000    171,600      198,600    231,000

Goods available for sale         351,600     372,600    435,000

Beginning Inventory               230,000       171,600    198,600    231,000

Purchases              €150,000  121,600      201,000   236,400

Disbursement for purchases:

20% during the month             24,320       40,200      47,280

80% following month             120,000       97,280    160,800

Total disbursements            €144,320   €137,480  €208,080

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Prompt: In an essay, you will choose an entrepreneur and argue whether the free enterprise system was necessary for that individual to make an impact on the business world.

PLEASE ANSWER ASAP. I am writing my essay about Rihanna. If anyone could help me, I would appreciate it. Due in 1 week.

Answers

A free enterprise system was necessary because it allows people to do what they do best while trading for the rest, of free enterprise, works. Competition is a driving force behind the free enterprise, resulting in increased efficiency and lower consumer prices.

What is the advantage of free enterprises?

The benefits of the US Free Enterprise System to producers and consumers include the freedom to own private property, producers producing at their own profit, consumers and producers having control over themselves, increased efficiency, and adequate use of available resources.

A free enterprise system allows individuals to make their own economic decisions without being constrained by the government. It enables consumer supply and demand to determine the success or failure of an economic venture.

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What are Convention hotels? Give an example

Answers

What are convention hotels?

Convention hotels host large meetings similar to conferences. Social conventions restrict what we can do; they dictate how we should behave. Conventionalism is the result of being conventional, something held up as a normative example; "the convention of not naming the main character"; "violence is the rule, not the exception".

Hotel conventions are large formal assemblies, "political conventions", and international agreements (diplomacy).

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what are some spending areas the might be prioritized by people , yet shouldnt be ?

Answers

Answer:Generosity first (even if it is time and support rather than money)

Mortgage/Rent (payment, insurance, utilities)

Groceries (not dining out)

Protective clothing.

Required prescriptions and medical procedures.

Utilities.

Emergency savings.

Explanation:

A student is graduating from college in six months but will need a loan in the amount of $2,560 for the last semester. The student receives an unsubsidized stafford loan with an interest rate of 6. 8%, compounded monthly. What is the balance of the unsubsidized loan at the time of graduation?.

Answers

The term ECONOMIC refers to, or is related to, the production, distribution, and consumption of goods and services.

What are the three kinds of production?

Basic production systems are classified into three types: batch systems, continuous systems, and project systems. General-purpose equipment and methods are used in the batch system to produce small quantities of output (goods or services) with specifications that vary greatly from batch to batch. The process of creating or manufacturing goods and products from raw materials or components is known as production. In other words, production takes inputs and transforms them into a consumable output - a good or product of value to an end-user or customer.

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What are the Highest paying jobs with and without a degree?

Answers

Answer:

Without a degree-

With a degree- Transportation

(ANSWER ASAP!! GIVING BRAINLIEST IF CORRECT :))

Julianna has been asked to write an offer letter to Noah Camp, a new employee. What is the appropriate salutation for her to use?

A: Happy Friday, Noah,

B: Business letters don't use salutations.

C: Hey, Noah,

D: Dear Mr. Camp,

Answers

Julianna has been asked to write an offer letter to Noah Camp, a new employee. What is the appropriate salutation for her to use?

Dear Mr.Camp

I HOPE IT HELPS YOU

PLEASE MARK ME THE BRAINLIEST

Which type of car insurance policy usually has the highest premium?

Which type of car insurance policy usually has the highest premium?

Answers

Comprehensive car insurance policy usually has the highest premium among all the other types of car insurance policies. Hence the correct answer is A.

Comprehensive car insurance is an optional coverage that provides protection against damage to your vehicle from various risks such as theft, vandalism, fire, and natural disasters. It also covers damages to your car from collisions with animals. Comprehensive car insurance provides broader coverage than liability insurance, including damage to both other people and property and your own car, making it more expensive.

Therefore, comprehensive car insurance policy usually has the highest premium among all the other types of car insurance policies. Hence the correct answer is A.

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A promissory note can best be described as __________., a. an interest-bearing IOU, b. a guarantee of a line of credit, c. a commitment to lend money to someone, d. a government-backed bond

Answers

A promissory note can best be described as: a. an interest-bearing IOU.

What is promissory note?

Promissory note can be defined as a written note that help to shows that a person who lend a money from another person  promise to payback. The note contains  a promise by the borrower to pay back the lender within a stipulated period of time.

A promissory note can tend to be described as IOU which full meaning is I OWE YOU which implies that a borrower is telling the lender that he/she owe the lender some certain amount of money which  the borrower will have to payback.

A promissory note also contains the terms and conditions of the agreement  and this terms and agreement includes the following :

The principal amountThe loan maturity dateThe interest  etc

Therefore we can conclude that the correct option is A.

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Question 1 of 5
What type of goal can help you be prepared for unexpected costs, such as
car repairs?
Long-term financial goal
An emergency fund
Retirement savings
Short-term financial goal
Subsi
Continue

Answers

A goal that can help you to be prepared when there are unexpected costs such as car repairs is An emergency fund.

How can you be prepared for unexpected costs?

In order to be prepared for unexpected costs, the best thing to do is to have an emergency fund where you are able to save for when you may have to spend money that you are not prepared for.

The emergency fund would be best placed into an account that can earn interest but at the same time can be eaisly accessible. This was you can earn more money while saving for emergencies, and also be able to use the money for those unexpected costs.

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assume that the real risk-free rate, r*, equals 2.5%, and it is expected to be constant over time. inflation is expected to be 4% in year 1, 5% in year 2, and 6% in year 3. assume that the maturity risk premium (mrp) = 0. The interest rate on Treasury securities that mature in four years is 8%. What is expected inflation in Year 4?

Answers

Interest rate on Treasury securities = 8% real risk-free rate = 3% Average Inflation rate.

The yield on U.S. Treasury securities, including Treasury bonds (T-bonds), relies upon three factors: the presumptive worth of the security, how much the security was bought for, and how lengthy until the security arrives at its development date.

Numerous outside factors impact Treasury prices and yields, including the money related strategy of the Federal Reserve and the apparent wellbeing of the economy.

T-bonds don't convey a loan cost as an endorsement of store (Cds) would. All things being equal, a set percent of the presumptive worth of the bond is paid out at occasional spans. This is known as the coupon rate.

For instance, a $10,000 T-security with a 5% coupon will pay out $500 yearly, paying little heed to what value the security is exchanging for on the lookout.

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10. You recently sold 200 shares of Apple stock to your brother. The transfer was made through a broker, and the trade occurred on the NYSE. This is an example of:

Answers

Answer:

A secondary market transaction

Explanation:

Secondary market transaction: In this transaction, the transaction which is already issued to the public are sold by another investors.

In this type market, the investors buy and sell securities which are theirs . It is what most people typically think of as the "stock market," though stocks are also sold on the primary market when they are first issued.

So in the question, the transfer was made through a broker which implies it deals in the secondary market.

Primary market transaction: In this transaction, the company directly sells the new stocks, bonds, etc to the public for the first time.

Future market transaction: This is the transaction which occurs in the near future to buy some specific quantities at the future price.

On April 1, 20-3, Kwik Kopy Printing purchased a copy machine for $50,000. The estimated life of the machine is five years, and it has an estimated salvage value of $5,000. The machine was used until July 1, 20-6.

Required:
1. Assume that Kwik Kopy uses straight-line depreciation and prepare the following entries:
a. Adjusting entries for depreciation on December 31 of 20-3 through 20-5.
b. Adjusting entry for depreciation on June 30, 20-6, just prior to trading in the asset.
c. On July 1, 20-6, the copy machine was traded in for a new copy machine. The market value of the new machine is $38,000. Kwik Kopy must trade in the old copy machine and pay $22,000 for the new machine.

2. Assume that Kwik Kopy uses sum-of-the-years'-digits depreciation and prepare the following entries:
a. Adjusting entries for depreciation on December 31, 20-3 through 20-5.
b. Adjusting entry for depreciation on June 30, 20-6, just prior to trading in the asset.
c. On July 1, 20-6, the copy machine was traded in for a new copy machine. The market value of the new machine is $38,000. Kwik Kopy must trade in the old copy machine and pay $22,000 for the new machine.

Answers

Answer:

1. Assume that Kwik Kopy uses straight-line depreciation and prepare the following entries:

a. Adjusting entries for depreciation on December 31 of 20-3 through 20-5.

b. Adjusting entry for depreciation on June 30, 20-6, just prior to trading in the asset.

c. On July 1, 20-6, the copy machine was traded in for a new copy machine. The market value of the new machine is $38,000. Kwik Kopy must trade in the old copy machine and pay $22,000 for the new machine.

2. Assume that Kwik Kopy uses sum-of-the-years'-digits depreciation and prepare the following entries:

a. Adjusting entries for depreciation on December 31, 20-3 through 20-5.

b. Adjusting entry for depreciation on June 30, 20-6, just prior to trading in the asset.

c. On July 1, 20-6, the copy machine was traded in for a new copy machine. The market value of the new machine is $38,000. Kwik Kopy must trade in the old copy machine and pay $22,000 for the new machine.

Explanation:

Cost 50000      

DEP 5 years    

Salvage Value 5000      

Purchase April 1 20-2      

Until July 1, 20-6      

Straigth Line Depreciation      

     

 Cost Salvage value Net value Depreciation Net book value

 50000 5000 45000  

Apri 1 2002  45000    

Dec 31 2002 9 months   45000 6750 38250

Dec 31 2003    38250 9000 29250

dec 31 2004    29250 9000 20250

Dec 31 2005    20250 9000 11250

Jun-30 2016    11250 4500 6750

--1a--      

Dr Depreciation expense____________$9000      

Cr  Acummulate Depreciation_______________$9000      

Anual depreciation 2003      

     

--2a--      

Dr Depreciation expense____________$9000      

Cr  Acummulate Depreciation_______________$9000      

Anual depreciation 2004      

     

--3a--      

Dr Depreciation expense____________$9000      

Cr  Acummulate Depreciation_______________$9000      

Anual depreciation 2005      

     

--1b--      

Dr Depreciation expense____________$4500      

Cr  Acummulate Depreciation_______________$4500      

Anual depreciation 2006      

     

---1c---      

Dr Accumulate depreciation_________$38250      

Cr Machinery____________________________$50000      

Dr Machinery_____________________$38000      

Cr Bank_________________________________$22000      

Cr Income in Asset sales_____________________$4250      

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

Answers

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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Assuming infinite replication and a cost of capital of 12 percent. determine the net present value of this project using the Equivalent Annual Annuity approach.
Year Cashflowin$
o (5000)
1 2000
2 1600
3 1400
4 1200
5 1000

Answers

Answer:

To calculate the net present value of this project using the Equivalent Annual Annuity approach, we first need to calculate the present value of each cash flow. We can use the following formula to calculate the present value of each cash flow:

PV = CF / (1 + r)^n

Where:

PV = Present Value

CF = Cash Flow

r = Discount Rate

n = Number of Years

Using a discount rate of 12%, we can calculate the present value of each cash flow as follows:

Year 0: PV = -5000 / (1 + 0.12)^0 = -5000

Year 1: PV = 2000 / (1 + 0.12)^1 = 1785.71

Year 2: PV = 1600 / (1 + 0.12)^2 = 1262.62

Year 3: PV = 1400 / (1 + 0.12)^3 = 1006.22

Year 4: PV = 1200 / (1 + 0.12)^4 = 831.99

Year 5: PV = 1000 / (1 + 0.12)^5 = 680.58

Next, we can calculate the net present value (NPV) of the project by summing up the present values of all cash flows:

NPV = -5000 + ∑PV

Where:

∑PV = Sum of Present Values

NPV = -5000 + (1785.71 + 1262.62 + 1006.22 + 831.99 + 680.58) = **$767.12**

Finally, we can use the Equivalent Annual Annuity approach to determine the constant annual cash flow generated by this project over its lifespan if it was an annuity . We can use the following formula to calculate the Equivalent Annual Annuity:

EAA = NPV / ((1 - (1 / (1 + r)^n)) / r)

Where:

EAA = Equivalent Annual Annuity

NPV = Net Present Value

r = Discount Rate

n = Number of Years

Using a discount rate of 12% and a project life of five years, we can calculate the Equivalent Annual Annuity as follows:

EAA = $767.12 / ((1 - (1 / (1 + 0.12)^5)) / 0.12) ≈ **$287.25**

Therefore, the net present value of this project using the Equivalent Annual Annuity approach is **$287.25** per year.

What are the three main factors that search engines look for when
delivering results on the search engine results page?
1.
2.
3.

Answers

Three main factors that search engine look for are Relevance, Distance, Prominence.

Relevance- The term refers to how well a website's information corresponds to a search query. Relevance criteria include visible text, images, and videos as well as content elements. Furthermore, meta elements such as title, meta description, and alt tags can be used to generate relevance.
Distance- Based on the user's browser information, distance determines how close the search user is to local businesses. The greater the distance between the search user and a local business, the more likely that business will appear in the local maps results.
Prominence- The location of a keyword on a page is said to influence search rankings. SEO experts recommend using the target keyword of a page early in order to benefit from a ranking signal known as keyword prominence.

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Use the​ price-demand equation p plus 0.005 x equals 46​, 0 less than or equals p less than or equals 46. Find the elasticity of demand when pequals​$22. If the ​$22 price is decreased by 12​%, what is the approximate percentage change in​ demand?

Answers

Answer:

a. -0.92

b. 11% increase in demanded

Explanation:

Given p + 0.005x = 46, 0 ≤ p ≤ 46

Rewriting the demand equation by solving for x as follow:

0.005x = 46 - p

x = (46 - p) / 0.005

x = (46 / 0.005) - (1/0.005)p

x = 9,200 - 200p .................................................................... (1)

Differentiating equation (1) with respect to p, we have:

dx/dp = -200

We can now answer the two questions as follows:

a. Find the elasticity of demand when pequals$22.

To calculate elasticity of demand, the formula for calculating the elasticity of demand is used as follows:

E = Elasticity of demand = (p / x) * (dx / dp) ................... (2)

Since p = $22, we find x in equation (1) by substituting for p as follows:

x = 9,200 - 200 (22) = 4,800

Note that dx/dp = -200

Substituting the values into equation (2), we have:

E = (22 / 4,800) * (-200) = -0.92

Note: Since the absolute value of E i.e. |-0.92| is less than one, the demand is inelastic.

If the ​$22 price is decreased by 12​%, what is the approximate percentage change in​ demand?

To do calculate this, we use the following formula for calculating the elasticity of demand:

E = % change in demand / % change in price ............. (3)

Since,

E = - 0.92

% change in price = -12%, or -0.12

Substituting the values into equation (3) and solve for % change in demand, we have:

-0.92 = % change in demand / -0.12

% change in demand = [-0.12] * [-0.92] = 0.11, or 11%

Therefore, the approximate percentage change in​ demand if the ​$22 price is decreased by 12​% is 11% increase in demand.

Wildhorse Company issued $1,830,000 of bonds on January 1, 2022.


Prepare the journal entry to record the issuance of the bonds if they are issued at (1) 100, (2) 97, and (3) 105.
(Credit account titles are automatically indented when amount is entered. Do not indent manually.)

Answers

Explanation:

Here are the journal entries to record the issuance of the bonds:

1. If the bonds are issued at 100:

Cash 1,830,000 Bonds Payable 1,830,000

2. If the bonds are issued at 97:

Cash 1,776,900 Discount on Bonds Payable 53,100 Bonds Payable 1,830,000

3. If the bonds are issued at 105:

Cash 1,921,500 Premium on Bonds Payable 91,500 Bonds Payable 1,830,000

These journal entries represent the accounting entries required to record the issuance of the bonds at different prices. The correct journal entry will depend on the price at which the bonds are issued.

Suppose you own a preferred stock that promises to pay an annual dividends of 8% of par value of

the stock received in semiannual basis. If par value is $50, how much the preferred stockholder will

receive?

Answers

Answer:

the preferred stockholder will receive $4 in dividends per semiannual period.

Explanation:

To calculate the amount that the preferred stockholder will receive, we need to consider the dividend rate and the par value of the stock.

Given that the preferred stock promises to pay an annual dividend of 8% of the par value on a semiannual basis, we can calculate the dividend amount per semiannual period.

Dividend per semiannual period = (Dividend rate * Par value) / 2

Dividend per semiannual period = (8% * $50) / 2

Dividend per semiannual period = (0.08 * $50) / 2

Dividend per semiannual period = $4

9-13. LinkedIn targets a specific demographic: working professionals. They tend to be older and better educated. Why might advertisers be more interested in this group over others?

Answers

Answer:

Explanation:

Theme 3: Education ... most engaged, and you can reach a professional ... people that are most relevant for your content goals and your business.

What is the function of the evaporator?

Answers

Answer:

The evaporation of water is a physical process by which water changes from a liquid state to a gaseous state or water vapor. This process takes place on the surface of the water from a certain temperature and until the space is saturated with steam.

What is the the impact of corruption on business cycle​

Answers

Answer:

Corruption diverts talent and resources, including human resources, towards “lucrative” rent-seeking activities, such as defence, rather than productive activities. business, ultimately raising production costs and reducing the profitability of investments. human capital.

1. Generally speaking, the lowest level in the WBS is referred to as: A. Level 3 B. Level 4 C. Level 5 D. The work package

Answers

Answer:

D)The work package

Explanation:

WBS(work breakdown structure) helps to bring down the project scope to deliverables, it can be applied to tasks, project as well as programs. It defines, and bring about organization of the work. WBS has different levels and each level is unique, with the highest level having "project ultimate goal" follow by another level of "project objectives" follows by another level of project outputs and activities. Generally speaking, the lowest level in the WBS is referred to as work package. work package are also known as "terminal element"of a WBS whereby the deliverables is been decomposed to different components.

Icarus Airlines is proposing to go public, and you have been given the task of estimating the value of its equity. Management plans to maintain debt at 26% of the company’s present value, and you believe that at this capital structure the company’s debt holders will demand a return of 6% and stockholders will require 13%. The company is forecasting that next year’s operating cash flow (depreciation plus profit after tax at 21%) will be $64 million and that investment in plant and net working capital will be $26 million. Thereafter, operating cash flows and investment expenditures are forecast to grow in perpetuity by 4% a year. a. What is the total value of Icarus? (Do not round intermediate calculations. Enter your answer in millions rounded to the nearest whole dollar amount.)

Answers

The total value is $554.7

The company's equity is $410.5

What is a Company's Equity?

Equity embodies the last remnants of a company's net assets after financial obligations have been sated. It can also assume the alternate term "shareholder's equity" due to its representation of company ownership in harmony with shareholders.

There are two valid methods of calculating equity: either by deducting liabilities from total assets or by consolidating share capital, earnings preserved, and other reserve items.

Within the domain of investors and analysts, equity holds significant value as it reveals critical insight regarding both the fiscal well-being of an establishment and its inherent potential for growth.


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Icarus Airlines is proposing to go public, and you have been given the task of estimating the value of
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