Consult a commercial tax service to identify potential legal authorities.
Consulting a commercial tax service to identify potential legal authorities is not one of the six steps in the tax research process. The tax research process typically involves the following steps:
1. Identify the tax issues, problems, or opportunities suggested by the facts and formulate specific research questions: This step involves identifying the key tax-related issues or problems based on the given facts and formulating specific research questions to address those issues.
2. Conduct preliminary research: This step involves conducting preliminary research to gather relevant information and background knowledge about the tax issues at hand.
3. Identify and locate primary authorities: In this step, the researcher identifies and locates primary authorities such as tax laws, regulations, court cases, and rulings that are relevant to the research questions.
4. Analyze relevant authority and answer the research questions: This step involves analyzing the identified authorities and using them to answer the research questions formulated in the earlier steps.
5. Document your research and communicate your conclusions: Once the analysis is complete, the researcher documents the research process, findings, and conclusions in a clear and organized manner. This step ensures that the research can be understood and replicated by others.
6. Evaluate and update the conclusions: After communicating the conclusions, it is essential to evaluate and review them periodically to ensure their accuracy and relevance in light of any new developments in tax laws or regulations.
Therefore, consulting a commercial tax service to identify potential legal authorities is not a standard step in the tax research process. However, it can be a valuable resource for researchers to access relevant legal authorities and gain insights into complex tax issues.
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y'all anyone have any name ideas for a brand for race cars
im kinda lost right now so any suggestions would be cool I could start from there and evolve
Answer:
turbo rush
Explanation:
The deadweight loss from a tax per unit of good will be smallest in a market with.
When demand is relatively inelastic, the deadweight loss of a tax is smaller than when demand is relatively elastic.
What is elastic?Elastic demand is demand in which the quantity demanded varies greatly with changes in price. Inelastic demand is demand for which the change in quantity demanded is small due to changes in price.Resilient commodities include luxury goods and certain foods and beverages, as price changes affect demand. Inelastic products may include items such as tobacco and prescription drugs. This is because demand often stays the same when prices change.Elasticity is an important economic indicator, especially for sellers of goods and services. Because we know how much a buyer will consume a product or service when the price changes. If the product is elastic, the quantity demanded will change as soon as the price changes.To learn more about elastic from the given link :
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What’s a situation in your family or school in which you think the needs of the many outweigh the needs of the few? Explain your Answer.
The duty to put the interests of the many ahead of the demands of the few, according to utilitarianism, applies even to those with whom one has personal relationships, such as friends and relatives.
Star Trek's heroes appear to agree, as they often prioritize personal loyalty over public responsibility. Bentham coined the expression "the greatest good for the greatest number." The concept was adopted by John Stuart Mill (1806 - 1873) and others, but Pinchot claims to have added "in the long run."
Foresters, as noted by Pinchot biographer Char Miller, are taught to think over vast time horizons. During the talks, it was suggested that Spock kiss Uhura instead (since Spock was part Vulcan).
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Instruction: Answer all questions. 1. Veritone is an artificial intelligence company which proposed the Veritone's aiWARE technology and solutions. The company's product and services are used by many industries in the areas of M, N and 0. Thirty percent are in areas M and N, while 40% are in 0. Only 20% of M areas are primary, whereas the percentages for N and 0 are 30% and 35%, respectively. Assume that one area has been selected randomly to use the product and services of that company. If the area selected is a secondary, present the probability that it has a N area. 2. Investing in the stock market can offer plenty of benefits and involve some risks. If an investor participates in the stock market, the probability that he or she loss on the investment is 0.13. If the investor does not invest in the stock market, the probability that he or she gain profit is 0.10. Assume that 3% of the investors being participated in the stock market and suppose that one investor is chosen at random and tested. Calculate the probability that a) this investor is investing in the stock market and gains profit b) this investor does not invest in the stock market and gains profit c) this investor gains profit d) this investor does invest in the stock market given that he or she gains profit
1. Let’s find out the probability of selecting a secondary area that belongs to the N area. We will use the Bayes’ theorem for this:P(N│secondary) = P(secondary│N) * P(N) / P(secondary)We are given that 30% of the areas are in N and 20% of M areas are primary.
This means 80% of M areas are secondary. Therefore, 70% of all areas are secondary. We also know that 30% of the products and services are used in N, 20% are used in primary M, and 35% are used in O. This means 15% of the products and services are used in secondary M areas. We can use this information to calculate the probability of selecting a secondary area:P(secondary) = 0.8 * 0.15 + 0.7 * 0.3 = 0.245Now we can use the information that 30% of the products and services are used in N areas and 30% of secondary M areas belong to N areas:P(N) = 0.3 * 0.15 / 0.245 = 0.1837So, the probability of selecting a secondary area that belongs to the N area is 0.1837.2. Let’s use the given information to fill in the following table: | Stock market | No stock market --------------------------- Lose | 0.13 | ?? Gain | ?? | 0.10We know that 3% of investors participate in the stock market. This means that the probability of selecting an investor who invests in the stock market is:P(stock market) = 0.03Similarly, the probability of selecting an investor who does not invest in the stock market is:P(no stock market) = 0.97Now we can fill in the table using the given probabilities:Lose | 0.13 | 0.97 - P(gain│no stock market) Gain | P(gain│stock market) | 0.10We can use the total probability rule to find the probability of gaining profit:P(gain) = P(stock market) * P(gain│stock market) + P(no stock market) * P(gain│no stock market)Let’s substitute the given values:P(gain) = 0.03 * P(gain│stock market) + 0.97 * (0.10)We can rearrange the equation to find P(gain│stock market):P(gain│stock market) = (P(gain) - 0.97 * 0.10) / 0.03Now we can substitute the value of P(gain) that we found earlier:P(gain│stock market) = (0.03 * P(gain│stock market) + 0.91) / 0.03We can simplify this equation to get:P(gain│stock market) = 0.97 + (P(gain│stock market) - 0.10) / 0.03Now we can solve for P(gain│stock market):0.03 * P(gain│stock market) - 0.03 * 0.10 = 0.97 - 0.10P(gain│stock market) = 0.957So, the probability that the selected investor invests in the stock market and gains profit is 0.957 * 0.03 = 0.0287.The probability that the selected investor does not invest in the stock market and gains profit is 0.10 * 0.97 = 0.097.The probability that the selected investor gains profit is the sum of these two probabilities:P(gain) = 0.0287 + 0.097 = 0.1257.We can use Bayes’ theorem to find the probability that the selected investor invests in the stock market given that he or she gains profit:P(stock market│gain) = P(gain│stock market) * P(stock market) / P(gain)We know that:P(gain│stock market) = 0.957P(stock market) = 0.03P(gain) = 0.1257We can use these values to calculate P(stock market│gain):P(stock market│gain) = 0.957 * 0.03 / 0.1257 = 0.2279.So, the probability that the selected investor invests in the stock market given that he or she gains profit is 0.2279.
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in soft product variety, the products differ substantially from each other true or false
in soft product variety, the products differ substantially from each other: False
In soft product variety, the products do not differ substantially from each other. Soft product variety refers to a situation where there are multiple versions or variations of a product, but these versions are similar or have minor differences. This could include different flavors of a soft drink, different colors of a clothing item, or different sizes of a smartphone. The products in soft product variety are generally considered to be within the same product category and share common features or attributes.
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the country of northland produced $1,000 billion of output in one year. the population of northland was 50 million, of whom 45 million were employed. what was average labor productivity in northland?
The average labor productivity in Northland was $22,222.22 per employed individual. This means that each employed person in Northland produced an average output of $22,222.22 in that year.
The average labor productivity in Northland can be calculated by dividing the total output by the number of employed individuals.
Therefore, the calculation would be:
Average labor productivity = Total output / Number of employed individuals
In this case, the total output of Northland is $1,000 billion and the number of employed individuals is 45 million. Thus, the calculation would be:
Average labor productivity = $1,000 billion / 45 million
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for managers who reason at stages 2 and 3, their personal rewards, recognition from others, or compliance with the company's rules become their main ethical compass. group startstrue or false
False . Managers who reason at stages 2 and 3 are more likely to take a utilitarian approach to their ethical decision-making and focus on the outcomes for the organization rather than their own personal rewards, recognition, or compliance with the company's rules.
At these stages, the manager is likely to weigh the costs and benefits to the organization and make a decision that maximizes the good for the organization. They are likely to consider the impact of their decision on stakeholders, and focus on producing a result that is fair and has the least negative impact on people, the environment, and other stakeholders.
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Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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Which of the following is not one of the risk categories
A:Practical
B:controllable
C:Pure
D:Speculative
Answer:
pretty sure controllable bc controllable isn't a risk. ( I've I had brainliest could u pls give me it ???)
A tariff differs from a quota in that a tariff is?
A tariff differs from a quota in that a tariff is a tax imposed on imports, whereas a quota is an absolute limit to the number of units of a good that can be imported.
What are Trade restrictions?Generally, a trade restriction meas the various barriers that make the flow of goods and services between countries immobile, but If the barriers come from government policies, we call it trade protection.
A trade restrictions affect the demand for and supply of goods and services on international markets but a trade protection prevents market forces from operating freely to determine the equilibrium quantity and price. In conclusion, a trade protection results in an inefficient allocation of resources on a global scale.
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On june 1, 2021, portugal inc. reported a cash balance of $12,000. during june, portugal made deposits of $5,000 and made disbursements totalling $14,000. what is the cash balance at the end of june? group of answer choices $3,000 debit balance $17,000 debit balance $3,000 credit balance $2,000 credit balance
Portugal inc. reported a cash balance of $12,000. during June, Portugal made deposits of $5,000 and made disbursements totaling $14,000. The cash balance at the end of June is a) $3,000 debit balance.
We have to calculate cash balance from the given expenses and incomes
Opening cash balance = $ 12,000
Deposits = $5,000
Disbursements = $14,000
Ending cash balance = opening cash balance + deposits - disbursements
= 12000 + 5000 - 14000
= 17000 - 14000
= $ 3,000
Ending cash balance is always debited so it will be $3,000 debit balance.
A cash balance is the amount of money that a business currently has on hand. This money is kept on hand to cover any unanticipated cash outflows. Businesses may find themselves unable to pay their bills if this safety net is not in place.
The cash balance is typically used to pay down debt or returned to investors in the form of a dividend. Businesses that have a significant difference in the timing and amount of cash inflows and outflows require a cash balance in particular.
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Correct question:
On June 1, 2021, Portugal inc. reported a cash balance of $12,000. during June, Portugal made deposits of $5,000 and made disbursements totaling $14,000. What is the cash balance at the end of june?
a) $3,000 debit balance
b) $17,000 debit balance
c) $3,000 credit balance
d) $2,000 credit balance
Brooklyn is paid biweekly. Her annual salary is $63,700. What is her biweekly gross pay?
Brooklyn's biweekly gross pay, given the amount that she is paid annually, is $ 2, 450
How to find the biweekly gross pay?A person's biweekly gross pay is the amount that they are paid every 2 weeks that is not adjusted for taxes and other deductions.
In a year, the number of two week periods are :
= Number of weeks / 2
= 52 / 2
= 26 biweekly periods
The biweekly salary of Brooklyn is therefore :
= Annual salary / number of biweekly periods
= 63, 700 / 26
= $ 2, 450
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Question 7
Revise this statement so that it gives your audience the same
message, but with positive emphasis:
You cannot enter the contest before midnight on July
8.
The statement after positive emphasis is stated as, "The starting date for entering the contest is July 8."
Even though breaking unpleasant news is sometimes required, studies show that individuals are more receptive to positive news than negative. To capitalize on this reality, authors should adopt an upbeat outlook and give messages and circumstances a positive spin, even when the news is negative.
Positive emphasis is the term used to describe this technique. Through the use of positive emphasis in your communication's language, format, images, and arrangement. Use the five methods below to emphasize something positive:
1. Steer clear of unpleasant and connotation-laden terms.
2. Pay attention to the audience's capabilities rather than their constraints.
3. Provide a justification for unfavorable information or connect it to an advantage for the audience.
4. If the negative is really of no consequence, leave it out.
5. Center and concisely communicate the unfavorable information.
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Question 2 (Mandatory) (0.5 points) Saved Which of the following is not part of a Project Management Plan? Question 2 options:
a Clear start and end times
b A salary scale for team member roles
c A work schedule
d A scope of work statement
The correct answer is b) A salary scale for team member roles.
A Project Management Plan typically includes the following components:
Project Scope: This defines the boundaries and deliverables of the project, outlining what will be included and excluded.
Project Objectives: These are the specific goals and outcomes that the project aims to achieve.
Project Schedule: This includes the timeline, milestones, and key activities of the project, providing a roadmap for project execution.
Work Breakdown Structure (WBS): This breaks down the project into smaller, manageable tasks, creating a hierarchical structure of work packages.
Resource Management: This involves identifying and allocating resources, such as personnel, equipment, and materials, required for project execution.
Risk Management: This includes identifying, assessing, and managing risks and uncertainties that may affect the project's success.
Quality Management: This outlines the quality standards and processes that will be followed to ensure the project's deliverables meet the required quality criteria.
Communication Plan: This defines the communication channels, stakeholders, and frequency of project communication to ensure effective information flow.
Change Management: This outlines the process for managing changes to project scope, schedule, and resources, ensuring that changes are properly evaluated and approved.
Cost Management: This includes estimating, budgeting, and controlling project costs, ensuring that the project is delivered within the allocated budget.
Project Governance: This defines the roles, responsibilities, and decision-making processes within the project, ensuring effective project governance.
From the given options, the component that is not typically part of a Project Management Plan is b) A salary scale for team member roles. While compensation and roles of team members are important considerations, they are generally addressed in a separate document or policy, such as a Human Resources or Team Management plan, rather than within the Project Management Plan itself.
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The side of an account that is increased is called the normal balance of the account True or false?.
It is true that the side of the account that is increased is called the normal balance of the account.
All sort of asset accounts have a normal balance at the debit side of the T account. And, it is associated with the left side of the equation i.e. liability and owner equity’. A normal balance refers to the debit or credit balance that’s basically expected from a certain account.
This concept of normal balance is actually used in the double-entry method of accounting. In a business asset account, for example, the normal balance would consist of debits . You can expect your asset account to have a debit normal balance. You can expect your credit account to have a credit normal balance.
The increasing side of the account is the normal balance. The normal balance for asset and expense accounts is the debit balance, while for income, equity, and liability accounts it is the credit balance.
An account's normal balance is on the side where increases go because the increases in any account are usually greater than the decreases.
Therefore the normal balance of an account is the side of the account that is positive or it is increasing.
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Dr. Drake is thinking about retirement and decides to sail around the world once he retires. He buys a sailboat for $125,000. He borrows the money at an apr of 7. 5% for five years. How much will his total interest be?.
The total interest on Dr. Drake's loan will be $46,875. Interest on a loan is the cost of borrowing money. It is typically expressed as a percentage of the loan amount and is charged by the lender over the term of the loan.
The interest rate is used to calculate the amount of interest that will be paid on the loan, and it can vary depending on factors such as the creditworthiness of the borrower and the length of the loan term. Interest is usually paid in addition to the principal amount borrowed, and it is usually paid periodically (such as monthly or annually) along with the repayment of the principal.
To calculate the total interest on a loan, you need to know the loan amount, the interest rate, and the loan term (in years). Using this information, you can use the following formula:
Interest = (Loan Amount x Interest Rate x Loan Term) / 100
In this case, the loan amount is $125,000, the interest rate is 7.5%, and the loan term is 5 years. Plugging these numbers into the formula, we get:
Interest = ($125,000 x 7.5 x 5) / 100
Interest = $46,875
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Does having social responsibility make you viewed more or less favorable by consumers?
Answer:
Depends on the person but probably not
Explanation:
FIRST ANSWER WILL BE NAMED BRAINLIEST
Which action would effectively and appropriately address a budget deficit?
A. reduce income
B. reduce expenses
C. apply for bankruptcy
D. apply for new credit
Answer:
It is letter B
Explanation:
Reducing expenses would effectively and appropriately address a budget deficit. Thus option B is correct.
What is the budget?A budget is a financial plan that projects future earnings and costs. A budget, put simply, forecasts future finances in addition to anticipated revenues and expenditures. Calculating the company's earnings and costs for a set period of time is the procedure for creating a budget.
Increasing tax rates while decreasing government expenditures are the two apparent ways to minimize a budget deficit. the reduction of government spending and/or the raising of taxes, which results in either a rise in the primary surplus or a decrease in the budget deficit. greater taxes and less funding by the government. If public spending is lower than tax receipts, a budget surplus results.
Therefore, option B is the correct option.
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Jamie is researching places to live after graduating college he asked you I keep coming across as phrase cost-of-living I’ve never heard of it before do you know what it means which of the following definitions would you choose to explain to Jamie about cost-of-living means
Answer:
The cost of living refers to the prices of goods and services needed to sustain an average level standard of living in an area
Explanation:
The cost of living refers to the cost of keeping up with a given standard of living. It is the amount Jamie would need to keep up with basic expenses such as food, housing, clothing and medical care. Cost of living compares the expense between living in two different areas. Jamie's cost of living is tied to his wages and it can be measured using what is called purchasing power parity.
please answer all of the following question
You need to form a portfolio using two risky assets Asset E(R) Sigma Asset A 12% 18% Asset B 17% 25% The correlation coefficient between Asset A and Asset B is 0.25
a) what is the weight of asset A in the minimum variance portfolio? (four decimals, no %)
b)Assume that risk-free rate is 5%, what is the weight of Asset A in the portfolio which has the highest Sharpe ratio? (four decimals, no %)
c)Use the same portfolio information as above. Assume that risk-free rate is 5% and your degree of risk-aversion is 6. Now in addition to investing these two risky assets, you can also invest in one risk-free asset. What is the weight of each asset (Asset A, Asset B, and the risk-free asset) in the optimal portfolio which gives you the highest utility?
Weight of Asset A =
Weight of Asset B =
Weight of the risk-free asset =
(four decimals, no %)
A) the weight of Asset A in the minimum variance portfolio is 0.5185 (or 51.85%).B) the weight of Asset A in the portfolio with the highest Sharpe ratio is 0.5385 (or 53.85%). C) the weight of Asset A in the optimal portfolio is 0.0078 (or 0.78%), the weight of Asset B is 0.0107 (or 1.07%), and the weight of the risk-free asset is 0.9815 (or 98.15%).
a) The weight of Asset A in the minimum variance portfolio can be calculated as follows:
W_A = (σ_B^2 - ρ_ABσ_Aσ_B)/(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)
Where W_A is the weight of Asset A, σ_A is the standard deviation of Asset A, σ_B is the standard deviation of Asset B, and ρ_AB is the correlation coefficient between Asset A and Asset B.
Plugging in the given values:
W_A = (25^2 - 0.25*18*25)/(18^2 + 25^2 - 2*0.25*18*25) = 0.5185
Therefore, the weight of Asset A in the minimum variance portfolio is 0.5185 (or 51.85%).
b) The weight of Asset A in the portfolio with the highest Sharpe ratio can be calculated as follows:
W_A = (E(R_A) - R_f)/(E(R_A) - R_f + E(R_B) - R_f)
Where W_A is the weight of Asset A, E(R_A) is the expected return of Asset A, R_f is the risk-free rate, and E(R_B) is the expected return of Asset B.
Plugging in the given values:
W_A = (0.12 - 0.05)/(0.12 - 0.05 + 0.17 - 0.05) = 0.5385
Therefore, the weight of Asset A in the portfolio with the highest Sharpe ratio is 0.5385 (or 53.85%).
c) The weights of Asset A, Asset B, and the risk-free asset in the optimal portfolio can be calculated as follows:
W_A = (E(R_A) - R_f)/[A(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)]
W_B = (E(R_B) - R_f)/[A(σ_A^2 + σ_B^2 - 2ρ_ABσ_Aσ_B)]
W_f = 1 - W_A - W_B
Where W_A is the weight of Asset A, W_B is the weight of Asset B, W_f is the weight of the risk-free asset, E(R_A) is the expected return of Asset A, R_f is the risk-free rate, E(R_B) is the expected return of Asset B, A is the degree of risk-aversion, σ_A is the standard deviation of Asset A, σ_B is the standard deviation of Asset B, and ρ_AB is the correlation coefficient between Asset A and Asset B.
Plugging in the given values:
W_A = (0.12 - 0.05)/[6(18^2 + 25^2 - 2*0.25*18*25)] = 0.0078
W_B = (0.17 - 0.05)/[6(18^2 + 25^2 - 2*0.25*18*25)] = 0.0107
W_f = 1 - 0.0078 - 0.0107 = 0.9815
Therefore, the weight of Asset A in the optimal portfolio is 0.0078 (or 0.78%), the weight of Asset B is 0.0107 (or 1.07%), and the weight of the risk-free asset is 0.9815 (or 98.15%).
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what best defines form
Answer:
the shape and structure of something as distinguished from its material the building's massive form.
A company reported that its bonds with a par value of $50000 and a carrying value of $66.500 are retired for $71,400 cash, resulting In a loss of $4,900. The amount to be reported under cash flows from financing activities is: a. $(71,400). b. $(16,500). c. $(66,500). d. $16,500. e. $(4,900).
The correct answer is (a) $(71,400).
When a company retires bonds, cash flows from financing activities will be affected. Bonds with a par value of $50,000 and a carrying value of $66,500 were retired for $71,400 cash, resulting in a loss of $4,900.
The company will report cash flows from financing activities of $(71,400). This is calculated by subtracting the carrying value of the bonds ($66,500) from the amount received for the retirement of the bonds ($71,400). The loss of $4,900 is not reported in the statement of cash flows.
The other answer choices are incorrect because:
- (b) $(16,500) is incorrect because it is the difference between the par value of the bonds ($50,000) and the cash received for the retirement of the bonds ($71,400).
- (c) $(66,500) is incorrect because this is the carrying value of the bonds, which was not reported in the statement of cash flows.
- (d) $16,500 is incorrect because it is the difference between the cash received for the retirement of the bonds ($71,400) and the par value of the bonds ($50,000).
- (e) $(4,900) is incorrect because this is the amount of the loss that was not reported in the statement of cash flows.
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How can you improve your credit score?
Answer:
Explanation:
According to Forbes, some ways to raise a credit score quickly include raising credit limits, keeping accounts open and paying bills on time
HAVE A GREAT DAY!
Tony, Juan, and Isabel live in a city where the combined state and local sales tax rate is 8%. They each purchased the same computer and paid $160 in sales tax. A 5-column table has 3 rows. The first column has entries Tony, Juan, Isabel. The second column is labeled Income with entries 10,000, 50,000, 75,000. The third column is labeled Cost of computer with entries 2,000, 2,000, 2,000. The fourth column is labeled Sales tax paid with entries 160, 160, 160. The fifth column is labeled tax rate with entries 1.6 percent, 0.32 percent, and 0.21 percent. This scenario describes a tax system. Isabel pays Tony and Juan on the computer. pays the highest tax rate on the computer. would be the most affected by an increase in the sales tax rate.
Answer:
Tony pays the highest tax rate on the computer, not based on the nominal sales tax rate, but on the percentage that the tax represents of his total income.
His income is $10,000, and he pays $160 in sales tax, for an effective rate of 1.6%.
The person who would be the most affected by an increase in the sales tax rate is again, Tony, simply because he has the lowest income. Juan and Isabel would also be affected by a sales tax increase, but on a much lower scale (because their incomes are also a lot larger).
a) The scenario described by the 5-column table with 3 rows showed that Tony paid the highest tax rate (effective) on the computer, based on his income level.
b) Tony would be the most affected by an increase in the sales tax rate because his effective tax rate would increase, causing him to suffer the most.
What is a sales tax?A sales tax is a proportional tax that charges the same percentage on the consumption of goods and services without considering a person's income level.
Data and Calculations:Tax Payer Income Cost of Computer Sales Tax Paid Tax Rate
Tony $10,000 $2,000 $160 1.6%
Juan 50,000 2,000 160 0.32%
Isabel 75,000 2,000 160 0.21% ($160/$75,000 x 100)
Thus, this scenario of a tax system illustrates that sales tax is not progressive, but it is proportional since it is based on consumption and not income level.
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profit represents Excess of revenue over expenses true or false
Answer:
true
Explanation:
it express that thing
mcdonald's is increasingly finding that its foreign franchisees are a source of valuable new ideas. which aspect of creating value is mcdonald's taking advantage of in this instance?
Based on the fact that McDonald's is increasingly finding that its foreign franchisees are a source of valuable new ideas, the aspect of creating value is McDonald's taking advantage of in this instance is Subsidiary skills
Who is a Subsidiary?This refers to the term that is used to describe the independent company that has over 50% of its shares owned by another company.
Hence, it can be seen that from the given scenario about McDonalds and their discovery on the valuable new ideas which their foreign franchisees bring, they are taking advantage of subsidiary skills to create value.
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Outline six uses of computer
.
I have given many options
"Profit plays an important role in the business." In the light of this statement,
Explain three reasons for the importance of profit in business.
Answer:
to secure financing from a bank
to attract investors to fund its operations
to grow the business itself
Explanation:
high rates of attrition are particularly problematic for:_______
High attrition rates are particularly problematic for longitudinal research
What is longitudinal research?A longitudinal study is an observational one, just like a cross-sectional one. So once more, researchers respect their subjects' privacy.
In contrast, researchers observe the same subjects repeatedly during the course of a longitudinal study, which can run for years at a time.
For longitudinal studies, high attrition rates are particularly problematic.
Cross-sectional or one-off studies are distinct from longitudinal studies.
Cross-sectional studies interview a new sample of individuals every time they are conducted, whereas longitudinal studies track the same sample of individuals over time.
In longitudinal cohort research, the individuals are tracked throughout time at regular intervals and are chosen as a cohort based on a condition or damage.
A cross-sectional study makes observations of a population as a whole or as a representative subset at a particular time.
Therefore, high attrition rates are particularly problematic for longitudinal research
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What is the principle that justifies a regressive tax?
a. ability-to-pay principle
b. benefits-received principle
c. principle of diminishing marginal returns
d. principle of taxation without representation
The principle that justifies a regressive tax is the benefits-received principle. The correct option is B
What is a regressive tax?A regressive tax is a tax system in which the burden falls more heavily on low-income earners than on high-income earners. This occurs because a regressive tax is levied at a flat rate, regardless of income level, and is therefore a greater burden for those with lower incomes.
What is the benefits-received principle?The benefits-received principle is a taxation principle that justifies a regressive tax. This principle asserts that individuals who receive more benefits from the government should pay more in taxes. Because a regressive tax system is designed to provide benefits to those who can afford to pay more, it is often used to fund social programs such as welfare and public education.
This principle was a major justification for the American Revolution, which was fought to end British taxation of the American colonies without colonial representation in Parliament.
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