Large retailers like Target play a significant role in providing all of the following EXCEPT customized service.
Why is it?
The correct answer to the given question is "b. customized service."Large retailers such as Target play a significant role in providing domestic employment and online shopping. They also have a significant impact on global employment as they often source products and materials from around the world.
However, providing customized service is not one of their primary functions. While they may offer some degree of personalization or assistance, their main focus is on offering a wide range of products at competitive prices to a broad customer base.
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If output is described by the production function Y = AK0.2L0.8, then the production function has:
Select one:
A. Constant returns to scale and the share of labor in GDP is 0.2.
B. increasing returns to scale and the share of labor in GDP is 0.2.
C. Decreasing returns to scale and the share of labor in GDP is 0.8.
D. constant returns to scale and the share of labor in GDP is 0.8.
The production function Y = \(AK^{(0.2)}\)\(L^{(0.8)}\) exhibits (D) constant returns to scale and has a labor share of 0.8 in GDP.
To determine the characteristics of the production function, we need to examine the exponents on capital (K) and labor (L). In the given production function Y = \(AK^{(0.2)}\)\(L^{(0.8)}\), we have an exponent of 0.2 on capital (K) and an exponent of 0.8 on labor (L).
To determine the returns to scale, we need to consider the sum of the exponents. In this case, 0.2 + 0.8 = 1. If the sum of the exponents is equal to 1, it indicates constant returns to scale. Therefore, the production function has constant returns to scale.
However, the share of labor in GDP is determined by the exponent on labor (L), which is 0.8. Thus, the share of labor in GDP is 0.8. Therefore, the correct answer is D. Constant returns to scale and the share of labor in GDP is 0.8.
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Which of the following decisions is most likely to create a temporary diseconomy of
scale? (Select the best answer.)
A)Buying supplies in bulk
B)Buying an expensive piece of machinery
C)Hiring employees who specialize
D)Using division of labor
Answer:
Buying an expensive piece of machinery
Explanation:
The nominal interest rate is 26%.The real rate is 8%.What is the inflation rate?
Multiple Choice
a. 36.08%.
b. 16.67%.
c. 34.00%.
d. 18.00%.
The inflation rate is 18%. (D)
Given that nominal interest rate is 26% and real rate is 8%. We need to find the inflation rate. Let's use the Fisher effect formula to find the inflation rate.Fisher Effect formula is: Nominal rate = Real rate + Inflation rate
We have nominal rate = 26% and real rate = 8%
Substitute the values in the above formula, we get26% = 8% + Inflation rate
Inflation rate = 26% - 8%
Inflation rate = 18% . (D)
The Fisher effect formula can be used to find out the nominal and real interest rate, given the inflation rate and one of the other rates (nominal or real). It states that the nominal interest rate equals the sum of the real interest rate and the expected inflation rate.
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what is an od intervention method where top management hear employees' new ideas without employees going through hierarchical levels of bureaucracy?
The OD intervention method where top management hear employees' new ideas without employees going through hierarchical levels of bureaucracy is workout.
Intervention method
In general terms, intervention method refers an organized effort by an addict's friends and loved ones to persuade them against their addictive behavior.
Given,
Here we need to find the OD intervention method where top management hear employees' new ideas without employees going through hierarchical levels of bureaucracy.
As per the definition of intervention method, the hierarchical levels of bureaucracy means that a succession of tiers from the most menial worker in the organization to the highest executive.
According to the employees point of view, workout is the best suitable method to helps to hire top level employees.
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TRUE / FALSE. supporters of affirmative action believe that it is the only realistic way to break the cycle that keeps women and minorities locked into low-paying, low-prestige jobs.
TRUE. Supporters of affirmative action believe that it is the only realistic way to break the cycle that keeps women and minorities locked into low-paying, low-prestige jobs.
This is because affirmative action policies are designed to provide equal opportunities to historically disadvantaged groups, such as women and minorities, in areas such as education, employment, and housing. By ensuring that these groups have equal access to opportunities that were previously denied to them due to discrimination and systemic bias, affirmative action can help to break the cycle of poverty and inequality.
Additionally, affirmative action can help to promote diversity and inclusivity in the workplace and in society as a whole, which can lead to greater innovation, creativity, and productivity. While affirmative action is not a perfect solution, it is seen by many as a necessary step towards achieving greater equality and justice for all.
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Max is using a search engine to do research on trends in his industry when he comes across a website that isn’t necessarily related to his research–but is interesting and engaging. Without realizing it, Max spends over an hour browsing through the webpage’s numerous articles and links. When his boss asks him if his research report will be ready by the end of the day, Max isn’t sure how to respond. He’s hardly done any work–but it’s not like he was purposely avoiding work. He was using the search engine for the purpose of research, after all. It’s not his fault that the search results weren’t very relevant. Max is considering asking his boss for an extension on his deadline so that he can spend more time researching. What do you think? What should Max do?
In this situation, Max has to first give his boss some advance notice that he wont be able to complete the report before deadline, explain himself briefly as to why that is, then ask for more time to be able to complete the task.
What is a deadline?A deadline indicates that a task or project is anticipated to be finished by that date and time. There is a clear expectation of what must be provided and by when thanks to deadlines. Employees are able to take charge of their work in this way and include deadlines into their time management techniques.
It's critical to schedule deadlines in advance because your work may be delayed. Recognize that some resources might be delayed and that some people might not be available. You may prevent the disaster of missing a deadline by making plans in advance.
Deadlines are crucial in business for a variety of reasons. They establish standards and encourage productive behavior in the workplace.
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When banks have less money in required reserves they lend more money out to people and business. So Lower reserves usually help do what to the economy?
Answer:
Lower reserves increase the money supply in the economy.
Banks can either keep deposits in reserves or give them out as loans.
the lower the reserve ratio, the higher the money multiplier and the higher the money supply.
Lowering the reserves can be a form of expansionary monetary policy
Explanation:
Fractional banking is a banking system where a portion of customer's deposits is kept as reserves while remaining portion is lent out. The amount kept as reserves is determined by the required reserve ratio set by the Central bank.
If the required reserve ratio is 10% and $100 is deposited, reserves would be $10 and $90 would be lent out
Increase in the total value of checkable deposit is determined by the money multiplier
Money multiplier = 1 / reserve requirement
Increase in value of total deposit = amount deposited / reserve requirement
Assume 100 is deposited in a bank and the reserve requirement is 10%
Increase in value of total deposit = 100 / 0.1 = 1000
Imagine that the reserve is reduced to 5%
Increase in value of total deposit = 100 / 0.05 = 2000
reducing the reserve requirement increased the value of total deposit and thus the money supply in the economy
northern company has bonds with an amortized cost of $600,000 and a fair value of $675,000. northern properly classifies these bonds as available for sale (afs) securities. at the end of the reporting period, the journal entry includes (select all that apply.)
Northern company will apply a $75,000 fair value adjustment. Northern company's net income will include an unrealized holding gain.
Governments and businesses both issue bonds as a means of raising capital. By purchasing a bond, you are effectively lending the issuer money. In exchange, they pledge to repay you the face amount of the loan on a particular date and to pay you interest on the bond at regular intervals, typically twice a year.
Unrealized holding gains and losses occur from holding bonds during times when the fair value of the bonds varies. When the current value of a security is more than the initial value the investor paid for the asset, including any purchase-related expenses, this is known as an unrealized gain.
The journal entry of the bond is shown below:
Amortized Cash $600,000
Fair value $675,000
Fair value adjustment will be $75,000
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inside of the Sun's orbit? Give your answer in scientific notation and in units of solar masses.
The Sun's orbit is about 25,000 light-years from the center of the Milky Way galaxy.
Therefore, anything located inside the Sun's orbit would be closer to the center of the galaxy than the Sun is.
In scientific notation and in units of solar masses, the mass of objects within the Sun's orbit would be less than 1 solar mass (1.0 x 10^0 M☉).
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command-and-control regulation may be better than a corrective tax if
Command-and-control regulation may be better than a corrective tax if C. The negative externality is so large that the optimal quantity is zero.
It should be noted that a corrective tax is important as it helps to achieve a socially optimal quantity. It is a market-based policy that is used by the government in order to address negative externalities.
In a situation where the corrective tax is zero, it won't be socially optimal. This is because the marginal social benefit will be more than the marginal private benefit. Therefore, for such a large negative externality, then a command and control regulation will be better.
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What are three factors that affect price equilibrium and how does each factor affect it?
why is comparative value lead and value based organization?
Answer:
The organizations with a common set of values that are practiced, in our experience, corporately develop a culture of accountability. The commitment to a value system serves to strengthen the firm’s culture, increases role clarity, retention, and productivity, and serves as a long-term benefit.
While it is important for a leader to understand the values expressed by all members of the team, there are times when an employee’s values are not in alignment with the organization’s. When an individual is new to the practice, it sometimes becomes clear when they aren’t in alignment with the firm’s values. In these cases, the individual has the choice to adapt or transition to another organization to which they more closely align. Neither the individual or the organization is served when values are not in alignment.
Explanation:
Another values-based leader I worked for inspired trust at all levels in the organization and he always did the right thing. He kept us aligned to our vision with the foundation being the firm’s core values. As a result, the work environment was filled with trust, clear communication and the drive to a common purpose. He motivated us to think beyond ourselves which fostered an environment of individual and corporate success.
Today’s successful organizations have a strong and well-defined culture.
the graph of the relationship between yield to maturity and time to maturity for newly issued bonds selling at par is referred to as the
The relationship between yield to maturity and time to maturity for newly issued bonds selling at par is referred to as the: on-the-run Yield Curve.
The yield curve is an important tool for financial professionals, as it can indicate a number of economic trends.
The yield curve graph typically shows how the yields of bonds change depending on their maturity. It usually has the yield on the vertical axis and the time to maturity on the horizontal axis. Generally, the graph is an upward sloping curve, as the longer the maturity period, the higher the yield to maturity. This makes sense since investors expect to be rewarded with higher yields if they are investing in longer-term bonds.
The yield curve is also used to indicate market expectations. For instance, a steep upward sloping yield curve can indicate that the market expects economic growth and higher inflation rates in the future. A flattening or downward sloping yield curve can indicate that the market expects low economic growth and low inflation.
Overall, the yield curve is an important tool for financial professionals as it can provide insight into a number of economic trends. It is used to assess the current state of the economy and make predictions about future economic performance.
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when the market does not lead to an optimal allocation of resources, there must be
A. Too much regulation.
B. A market failure.
C. Proper antitrust laws in place.
D. A competitive market structure
The correct option is B. When the market does not lead to an optimal allocation of resources, it is often due to a market failure. A market failure occurs when the market fails to allocate resources efficiently, leading to an outcome that is not optimal for society as a whole. This can happen for a variety of reasons, such as externalities, public goods, and market power. In these cases, it may be necessary for government intervention to correct the market failure and ensure that resources are allocated optimally.
When the market does not lead to an optimal allocation of resources, it is often due to a market failure. A market failure occurs when the market fails to allocate resources efficiently, leading to an outcome that is not optimal for society as a whole. This can happen for a variety of reasons, such as externalities, public goods, and market power. In these cases, it may be necessary for government intervention to correct the market failure and ensure that resources are allocated optimally. This could take the form of regulations, antitrust laws, or other measures designed to promote competition and ensure that markets function properly. Ultimately, the goal is to create a competitive market structure that leads to the efficient allocation of resources and benefits society as a whole.
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What are the 3 ways to calculate GDP?
GDP can be calculated using the expenditure approach, the production approach, and the income approach.
Gross Domestic Product (GDP) is the value of all goods and services produced within a country in a given time period. There are three main methods for calculating GDP: the expenditure approach, the production approach, and the income approach.
The expenditure approach adds up total spending on consumption, investment, government purchases, and net exports. The production approach adds up the value of all output in the economy, including goods and services.
The income approach adds up the total income earned by households, firms, and the government. All three approaches should theoretically give the same result, and economists often use a combination of all three methods to get a comprehensive understanding of an economy's size and performance.
The method used to calculate GDP can also affect the interpretation of economic trends and policies, so it is important to understand the strengths and limitations of each approach.
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You are a salesperson in a vitamin store. What steps can you take to move up the company?
Answer:
these are some six steps to move up the company ☝
hope it helps
HURRYY !! Which career pathway has the highest degree of self-employment?
A. Law Enforcement Services
B. Corrections Services
C. Legal Services
D. Security and Protective Services
Answer:
either B or C but I am going with C
Explanation:
I mean, Legal services, you are a lawyer or equal to that job.
Answer:
The answer is D
Explanation:
the two christian religion that specifically forbids the use of alcohol and tobacco are:
There are two Christian denominations that specifically forbid the use of alcohol and tobacco: the Seventh-day Adventist Church and the Church of Jesus Christ of Latter-day Saints (Mormon Church).
Seventh-day Adventists believe in holistic health and view alcohol and tobacco as harmful to the body and mind. They also believe that the body is a temple of the Holy Spirit and should be treated with respect. Therefore, they promote a healthy lifestyle that includes a vegetarian diet, regular exercise, and avoidance of alcohol and tobacco.
Similarly, the Church of Jesus Christ of Latter-day Saints teaches that the body is a gift from God and should be treated with respect. They believe that the use of alcohol and tobacco is harmful to both the physical and spiritual health of an individual. They also believe in the Word of Wisdom, a set of guidelines that prohibits the use of alcohol, tobacco, and other harmful substances.
Both of these Christian denominations encourage their members to live a healthy lifestyle and avoid substances that can harm their body and mind.
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Money, banking, and the financial system
During periods of instability, how might a bank’s balance sheet change? In particular, discuss how assets, liabilities, and bank capital may change during periods of rising unemployment rates. How might a bank safe guard itself to protect against insolvency? How would this affect the money multiplier?
Rising unemployment rates impact a bank's balance sheet. Banks safeguard against insolvency by managing risks, maintaining capital, and ensuring liquidity for financial stability.
During periods of instability, such as rising unemployment rates, a bank's balance sheet may undergo significant changes. Let's examine how assets, liabilities, and bank capital may be affected, and how a bank can safeguard itself against insolvency.
1. Changes in assets:
Loans: A bank's loan portfolio may face increased credit risk due to rising unemployment. Borrowers may struggle to repay their loans, leading to a higher rate of defaults and non-performing loans. This can result in a decrease in the value of assets on the balance sheet.2. Changes in liabilities:
Deposits: During times of economic instability, depositors may become concerned about the safety of their funds and withdraw their money from the bank. This can lead to a decrease in deposits, reducing the bank's liabilities.3. Changes in bank capital:
Capital erosion: If a bank experiences significant losses due to loan defaults, its capital can be eroded. As a result, the bank's capital-to-assets ratio decreases, making it less resilient to absorb further losses. This can jeopardize the bank's solvency.To safeguard against insolvency, banks can undertake several measures:
Risk management: Banks need to have robust risk management practices in place to identify, measure, and mitigate risks associated with loan portfolios and investments. This includes conducting thorough credit assessments, stress testing, and diversifying their loan portfolios to reduce concentration risk.Adequate capitalization: Banks should maintain sufficient capital levels to absorb unexpected losses and remain solvent. Regulatory capital requirements, such as those set by central banks or regulatory authorities, provide a framework for banks to maintain an appropriate capital buffer.Liquidity management: Banks need to ensure they have adequate liquidity to meet depositor withdrawals and other funding requirements. This involves maintaining liquid assets and establishing contingency funding plans.Regarding the money multiplier, it is likely to be affected during periods of rising unemployment and bank insolvency concerns. As banks face higher default rates and reduced lending activity, they may become more cautious in extending credit. This cautiousness can lead to a contraction in the money supply and a decrease in the money multiplier. When banks reduce lending, the creation of new loans and deposits slows down, resulting in a lower expansion of the money supply through the fractional reserve banking system.
Overall, periods of instability, such as rising unemployment rates, can significantly impact a bank's balance sheet. By managing risks, maintaining adequate capitalization, and ensuring sufficient liquidity, banks can safeguard themselves against insolvency and contribute to maintaining stability in the financial system.
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Imagine you are a health care professional presenting an argument about the effort to strike a balance between cost-effectiveness as it relates to treatment and quality of care. Make an effective argument for one side or the other, using examples from scholarly sources
Answer:
Throughout the clarification section below the overview according to the situation given is summarized.
Explanation:
Those who understand the argument that it would be very crucial for healthcare institutions to find an appropriate equilibrium regarding cost savings in terms of treatment versus the outcome of education, although medical professionals could only be able to continue giving help regarding health so many of the community fairly if they can accomplish the goal of economic feasibility alone.Cost productivity, as well as the level of the product, have such a negative correlation with something which means that the expenditure would naturally decrease with either the improvement in the standard of treatment, consequently allowing the industry premium and yet at the same moment successful in performance.However, in the forthcoming development, insurance reveals greater interest about what kinds of expenditures or improvements are somewhat more successful in improving and encouraging the level of efficiency of healthcare organizations or what kinds of interventions as well as expenditures resulting throughout the bottom of the distribution or diversion.
I’m not sure what the answer is.
Answer:
I think revenue
Explanation:
the Answer is B I'm for sure
Carpenter Company buys supplies on account. This transaction will immediately affect the
Carpenter Company buys supplies on account. This transaction will immediately affect the: income statement only.
An income statement is a financial statement that shows us the company’s income and expenditures. It also shows whether a company is making profit or loss for a given period. The income statement, along with the balance sheet and cash flow statement, helps you understand the financial health of your business. The income statement is also known as a profit and loss statement, statement of operation, statement of financial result or income, or earnings statement.
An income statement helps business owners decide whether they can generate profit by increasing revenues, by decreasing costs, or both.
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Need help?????!!!!!!
How is simple different from compound interest?
A. Compound interest is not paid on the principal, or initial deposit.
B. Simple interest is paid on the original deposit plus any interest.
C. Compound interest is only paid on the principal, or initial deposit.
D. Simple interest is only paid on the principal, or initial deposit.
Simple interest differs from compound interest primarily in that it is calculated using the principal sum. The principle amount and interest that has accrued over time are used to calculate compound interest, on the other hand.
What distinguishes simple interest from compound interest simple?The basis for simple interest is the principal amount of a loan or deposit. On the other hand, compound interest is calculated using both the starting principal and the interest that would be added to it each period.
What aspects of simple versus compound interest are the same?Basically, simple interest is the cost of a loan or investment. It is determined using the principal sum. The interest that is calculated on interest is known as compound interest. It is determined by the principal amount as well as the previous period's interest.
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The correct option is D, Simple interest is only paid on the principal, or initial deposit.
Simple interest is typically a predetermined percentage of the outstanding amount that is funded, lent, or distributed over a predetermined time frame.
Borrowers are required to pay duty on principal in addition to principal when present value accumulates and is then added to the accrued interest from prior periods.
What distinguishes compound interest from simple interest?Simple interest is computed on the principal, or original loan amount, of a loan. Compound interest is frequently referred to as "credit on interest" since it is calculated using both the original interest and the interest paid from previous periods.
Compound interest takes into consideration both the outstanding balance and any earlier interest that has been charged, whereas simple interest just considers the principal for calculating interest charges.
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Isaiah has the opportunity to participate in a work-study program at college. If he participates, how might this benefit him?
He can earn college credit for each hour that he works.
He will get the chance to meet with experts who work in his chosen career field.
He will have the ability to study while at his job on campus.
He will work a part-time job on campus to help pay for his tuition.
Answer :He can earn college credit for each hour that he works.
Explanation:
It would help him because he wouldn't have to pay for the credits
What are the similarities and differences between the way that professor porter discusses profits in business and the way that profits are discussed in the unit?
Porter asserts that a firm's investment value in terms of long-term return on investment depends on how potential sector entrants, customers, replacement goods, suppliers, and rival businesses interact.
More about Porter:
Twenty books and numerous essays by Michael Porter, including Competitive Strategy, Competitive Advantage, Competitive Advantage of Nations, and On Competition, have been published. Among the most important management and competitiveness theorists in the world, Michael Porter founded the modern strategy area.
Professor Porter is the most referenced author in business and economics and a six-time recipient of the McKinsey Award for the best article published in the Harvard Business Review during the year.
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Hadley Corporation issued 200,000 shares of $5 par value common stock for $25 per share. During that year, the corporation sustained a net loss of $40,000. The year-end balance sheet would show A : total paid-in capital of $4,600,000. B : total paid-in capital of $5,400,000. C : common stock of $5,000,000. D : common stock of $1,000,000.
Answer:
D : common stock of $1,000,000
Explanation:
Hadley Corporation
Issued shares × par value common stock
Issued shares 200,000
Par value common stock $5
Hence:
200,000 x $5
= $1,000,000
Therefore the year-end balance sheet would show a common stock.of $1,000,000
(Compound annuity) What is the accumulated sum of each of the following streams of payments?
$500 a year for 10 years compounded annually at 5 percent
$100 a year for 5 years compounded annually at 10 percent
$35 a year for 7 years compounded annually at 7 percent
$25 a year for 3 years compounded annually at 2 percent
The accumulated sum of each of the following streams of payments is 1. $6,386.16. 2. $671.00. 3. $310.57. 4. $77.53.
To find the accumulated sum of each of the following streams of payments, we'll use the formula for the future value of an ordinary annuity:
FV = P * [(1 + r)^t - 1] / r
Where:
FV = Future Value
P = Annual payment
r = Interest rate per period
t = Number of periods
1) $500 a year for 10 years compounded annually at 5 percent
FV = 500 * [(1 + 0.05)^10 - 1] / 0.05
FV ≈ $6,386.16
2) $100 a year for 5 years compounded annually at 10 percent
FV = 100 * [(1 + 0.10)^5 - 1] / 0.10
FV ≈ $671.00
3) $35 a year for 7 years compounded annually at 7 percent
FV = 35 * [(1 + 0.07)^7 - 1] / 0.07
FV ≈ $310.57
4) $25 a year for 3 years compounded annually at 2 percent
FV = 25 * [(1 + 0.02)^3 - 1] / 0.02
FV ≈ $77.53
To summarize:
1. $500 a year for 10 years compounded annually at 5 percent accumulates to $6,386.16.
2. $100 a year for 5 years compounded annually at 10 percent accumulates to $671.00.
3. $35 a year for 7 years compounded annually at 7 percent accumulates to $310.57.
4. $25 a year for 3 years compounded annually at 2 percent accumulates to $77.53.
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Using the tax software, complete the tax return, including Form 1040 and all appropriate forms, schedules, and worksheets. Answer the questions following the scenario. When entering Social Security numbers (SSNs) or Employer Identification Numbers (EINs), replace the X s as directed, or with any four digits of your choice. view Notes - Kendall and Siena are married and file a joint return. - Siena is a full-time science teacher at a local public middle school. She spent $600 of her own money to purchase supplies for labs she conducted with her students. She did not receive any reimbursement for these expenses. - Kendall is a self-employed driver for Delicious Deliveries. Kendall provided a statement from the food delivery service that indicated the number of miles driven and fees paid for the year. These fees are considered ordinary and necessary for the food delivery business: - 4,786 miles driven while delivering food from 1/1/2022−6/30/2022 - 4,880 miles drived while delivering food from 7/1/2022−12/31/2022 - Insulated box rental: $300 - Vehicle safety inspection (required by Delicious Deliveries): $50 - GPS device fee: $120 - Kendall's record keeping application shows he also drove 4,833 miles between deliveries (2,393 miles from 1/1/2022-6/30/2022 and 2,440 miles from 7/1/2022-12/31/2022) and 4,062 miles (2,051 miles from 1/1/2022-6/30/2022 and 2,011 miles from 7/1/2022−12/31/2022 ) driven between his home and his first and last delivery point of the day. Kendall has a separate car for personal use. He bought and started using his second car for business on September 1, 2020. - Kendall also kept receipts for the following out-of-pocket expenses: - $100 on tolls - \$120 for car washes - $48 for parking tickets - $75 for Personal Protective Equipment (PPE) used during deliveries - \$150 for snacks and lunches Kendall consumed while working - Kendall provided the Form 1099-NEC and Form 1099-K that he received from Delicious Deliveries. - Kendall also received $500 in cash tips that were not reported elsewhere. - Kendall was sick with Covid-19 and was unable to work for 14 days in May 2022. - Kendall purchased virtual currency through an electronic transfer of cash from his checking account. He had no other virtual currency transactions. - The U.S. federal student loan that Siena owed for postsecondary educational expenses was forgiven in 2022. The amount of student loan canceled was $15,000. Siena cid not receive any tax form reporting this amount. - Kendall and Siena are U.S. citizens, have valid Social Security numbers, and Itvad ln se. Sinited States all year. They have not taken distributions from any retirement plans.
The amount of Kendall's Schedule C gross income is $17,345. The correct answer is option (D).
The Schedule C form is utilized for reporting self-employment income. It is used to calculate profits or losses from a company in which you have a financial interest. The Schedule C form is where self-employed individuals record all business income and expenses.
Schedule C gross income refers to the total amount of money a company made from its services and goods before taking deductions and taxes into account. The Schedule C form, which is part of the 1040 tax form, is used to report income and expenses for a business owner or sole proprietorship. The net profit or loss is calculated by subtracting expenses from gross receipts. The amount of Kendall's Schedule C gross income is $17,345 because this is the total amount he earned from his self-employment with Delicious Deliveries. Hence, the right answer is option (D).
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If you have a crash and someone is injured you should?
Answer: Give the person your insurance information (or vice versa)
Explanation: