With the real tax base of 100,000,000, Tax Rate is 5%.
To calculate the tax rate needed to cover the revenue requirement of $5,000,000 with a real tax base of $100,000,000, we can use the formula:
Tax Rate = Revenue Requirement / Real Tax Base
Given the following information:
Revenue Requirement: $5,000,000
Real Tax Base: $100,000,000
Plugging in the values into the formula:
Tax Rate = $5,000,000 / $100,000,000
Tax Rate = 0.05 or 5%
Therefore, the tax rate required to cover the revenue requirement of $5,000,000 with a real tax base of $100,000,000 is 5%. This means that for every dollar of the real tax base, 5 cents must be collected as property tax to meet the revenue requirement.
To learn more about tax base here:
https://brainly.com/question/30265672
#SPJ4
A joint stock company is an artificial person, created by law having a separate legal existence with a perpetual succession and a common seal. justify?
Answer: See explanation
Explanation:
joint-stock company is a business that is being owned by its investors, such that the share owned is based on the stock that been bought.
In a joint stock company, it should be noted that the members are liable for the debts of the company only based on the extent of the amount that they've contributed.
At least one shareholder owns the joint stock company and it's managed by at least one director. In the case of death or disability, the life of the company won't be affected which indicates the perpetual succession.
In
, people invest money in a company in exchange for the company’s
.
Answer:
In equity crowdfunding, people invest money in a company in exchange for the company’s shares
Explanation:
Equity crowdfunding is the process in which people invest in start up companies and early stage companies that have not been listed on a stock market in exchange for shares in that company. As a result of the investment, the person becomes a shareholder and makes profit when the company do well but if the company fails, shareholders make losses.
Startups and early-stage companies use this method to raise capital.
Inseparability in services refers to the fact that.
Inseparability refers to : The consumer cannot distinguish between the service provider from the service itself.
What Is Service Inseparability?Service inseparability means that the production and consumption of a service can't be separated from the provider of that service. It also requires that a customer is physically participating in the consumption of the service.
The above means every part of the experience is tied together. A customer can't separate the consumption of the service they've purchased from the provider.
Hence, Inseparability means consumer cannot distinguish between the service provider from the service itself.
Learn more about inseparability here : https://brainly.com/question/1286522
The buyer of an industrial complex wants the broker to place the earnest money in an interest bearing account. The broker does this, clearly identifying all parties who are to receive the interest and the date the earned interest is to be disbursed. With only the verbal consent of the buyer, he places the money in an insured account in a depository in Florida. When the time comes to disburse the account, the broker will write a check to the buyer for the interest as the buyer agreed. Which statement describing this situation applies?
Answer:
Explanation:
In this situation, the statement that would best apply would be that the broker does not have the right to ever use an interest-bearing account under Florida Real Estate laws. Since Florida Real Estate laws specifically prohibit a broker from placing a clients money in an interest account then the broker in this scenario is breaking the law and can have his real estate license taken away as well as being fined.
If this price is increased by %, what is the approximate percentage change in demand?
Price elasticity is a measure of how responsive the quantity demanded or supplied of a good is to a change in its price. It is computed by dividing the percentage change in quantity demanded (or supplied) by the percentage change in price.
Elasticity can be categorized into five broad groups: perfectly elastic, elastic, perfectly inelastic, inelastic, and unitary. A demand or supply is considered elastic if the elasticity is greater than one, which means that there is a high responsiveness to changes in price.
Unitary elasticity is when the percentage change in quantity demanded (or supplied) is equal to the percentage change in price.
Understanding price elasticity is crucial in economics as it helps determine the behavior of consumers and producers in response to changes in price.
To know more about Elasticity:
https://brainly.com/question/28790459
#SPJ4
What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.
Answer:
A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOUMarigold Corp., a manufacturer of household paints, is preparing annual financial statements at December 31, 2020. Because of a recently proven health hazard in one of its paints, the government has clearly indicated its intention of having Marigold recall all cans of this paint sold in the last six months. The management of Marigold estimates that this recall would cost $806000. What accounting recognition, if any, should be accorded this situation
Based on U.S. GAAP principles, the accounting recognition to be recorded in a journal would be:
Date Account title Debit Credit
December 31 Loss from estimated contingency $806,000
Estimated liability from contingency $806,000
Requirements for recording a loss from ContingencyLoss must be probable.Loss amount can be reasonably estimated.The loss is probable as the government has indicated its wishes clearly. The loss amount is also reasonably estimated to be $806,000. This can therefore be recorded as the above.
Find out more on contingency losses at https://brainly.com/question/25166312.
The data for 2012 to 2021 for Company X revenues is below.
Analyze using two approaches:
a) Compute and graph the 3 year moving average and b) Use the quadratic regression technique to determine a formula for sales next year. For full credit, show the formula, the sales estimate, and your assessment of the accuracy of the formula.
YEAR SALES
2012 45 499 000
2013 46 780 000
2014 47 462 000
2015 48 145 000
2016 50 576 000
2017 53 299 000
2018 56 846 000
2019 61 466 000
2020 58 323 000
2021 62 801 000
The analysis of Company X revenues from 2012 to 2021 reveals interesting trends and insights. By computing the 3-year moving average and utilizing quadratic regression, we can gain valuable information about the sales pattern and estimate future sales.
To compute the 3-year moving average, we take the average of sales for every three consecutive years. This allows us to smooth out any short-term fluctuations and identify the underlying trend. Using the given data, we can calculate the moving averages and graph them to visualize the sales pattern over time.
On the other hand, quadratic regression involves fitting a quadratic equation to the data points, providing a mathematical formula to estimate future sales. By applying regression analysis to the given data, we can determine the quadratic equation that best fits the sales trend. This equation will allow us to predict the sales for the next year.
Using the quadratic regression technique on the provided data, we can obtain a formula for sales next year. After calculating the coefficients of the quadratic equation, we can substitute the relevant values to find the estimated sales. However, it is important to note that the accuracy of the formula depends on the assumption that the sales pattern will continue to follow a quadratic trend. Any significant changes in the market or other factors could affect the accuracy of the prediction.
Learn more about quadratic regression here
brainly.com/question/30855156
#SPJ11
which of these arrangements of duties could most likely lead to an embezzlement or theft?
a. The inventory warehouse manager has responsibility for making the physical inventory
observation and reconciling discrepancies to the perpetual inventory records.
b. The cashier prepared the bank deposit, endorsed the checks with a company stamp, and
delivered the cash and checks to the bank for deposit (no other bookkeeping duties).
c. The accounts receivable clerk received a list of payments received by the cashier so he
could make entries in the customers' accounts receivable subsidiary accounts.
d. The financial vice president received checks made out to suppliers and the supporting
invoices, signed the checks, and mailed the checks.
The arrangement of duties that could most likely lead to an embezzlement or theft is option (d) where the financial vice president received checks made out to suppliers, signed the checks, and mailed the checks.
This is because the financial vice president has access to both the checks and supporting invoices, giving them the ability to potentially alter the information and divert the funds for personal gain. It is important to have a system of checks and balances in place to prevent such fraudulent activity.
learn more about embezzlement
https://brainly.com/question/10116585
#SPJ11
What feature is used to delete a conditional formatting rule?
a. Rules Reminder
b. Conditional Formatting Rules Manager
c. Condition Manager
d. Format Manager
The feature used to delete a conditional formatting rule is: b. Conditional Formatting Rules Manager.
The Conditional Formatting Rules Manager allows you to view and manage all the applied conditional formatting rules in a worksheet. It provides a comprehensive list of all the rules currently in effect, including their order of precedence. From the Rules Manager, you can select and delete specific rules, modify their settings, or reorder them as needed.
To access the Conditional Formatting Rules Manager in most spreadsheet applications like Microsoft Excel, you can usually find it under the "Home" or "Format" tab, within the "Conditional Formatting" section. By opening the Rules Manager, you can easily delete any unwanted or obsolete conditional formatting rules from your worksheet.
To know more about Conditional Formatting Rules Manager., click here:
https://brainly.com/question/16014701
#SPJ11
A mutual fund manager expects his portfolio to earn a rate of return of 11% this year. The beta of his portfolio is 0.6. The risk-free rate is 4%, and the market risk premium is 10%. Should you invest in this mutual fund? Select one: a. Don't invest; return is low relative to the risk. b. Invest; expected return is less than required return given its risk. c. Don't invest; return is high relative to the risk. d. Invest; expected return is greater than required return given its risk.
The expected return of the portfolio is 11%, which is greater than the required return of 10%. Therefore, you should invest in this mutual fund. So the correct answer is option d. Invest; expected return is greater than required return given its risk.
To determine whether you should invest in the mutual fund, we need to compare the expected return of the portfolio with the required return given its risk.
The required return can be calculated using the Capital Asset Pricing Model (CAPM):
Required return = Risk-free rate + Beta * Market risk premium
Risk-free rate = 4%
Beta of the portfolio = 0.6
Market risk premium = 10%
Required return = 4% + 0.6 * 10%
Required return = 4% + 6%
Required return = 10%
The expected return of the portfolio is 11%, which is greater than the required return of 10%. Therefore, you should invest in this mutual fund.
Therefore the correct answer is option d. Invest; expected return is greater than required return given its risk.
To learn more about mutual fund: https://brainly.com/question/4521829
#SPJ11
What is the importance of an economic model?
Economic models are important because they provide a simplified representation of complex economic systems and help economists and policymakers to understand and analyze economic phenomena.
Economic models allow economists to make predictions about the future behavior of the economy under different scenarios or assumptions. This can be useful for policymakers who need to anticipate the effects of policy changes or external shocks.
Economic models can be used to test and refine economic theories. By comparing model predictions to real-world observations, economists can evaluate the validity of their theories and make adjustments as needed.
Economic models can be used to evaluate the potential impact of different policy options. Policymakers can use economic models to estimate the costs and benefits of different policy choices and to determine which policies are most likely to achieve their goal.
Economic models can help to improve our understanding of how the economy works by identifying key variables and relationships between them. This can lead to new insights and help economists to develop more accurate and nuanced theories.
To learn more about Economic models :
https://brainly.com/question/15080156
#SPJ4
Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
Read more on immigration here: brainly.com/question/9809956
#SPJ1
Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
l
l
∨
Explanation:
Here's the picture and I hope this helped!
Have a nice day!
give three uses of personal budget
Answer:
1) To insure income is sufficient to pay debts
2) To insure the ability to save
3) To be prepared for emergencies
Explanation:
the last recession in the united states began in december of 2007. T/F
True. The last recession in the United States did begin in December of 2007. It lasted until June of 2009 and was marked by a significant decline in economic activity, including rising unemployment rates, declining gross domestic product (GDP), and a decrease in consumer spending.
The recession was caused by a variety of factors, including the bursting of the housing bubble, a decrease in consumer confidence, and financial instability in the banking sector. The recession of 2007-2009 was one of the most severe economic downturns in the history of the United States. It was officially declared by the National Bureau of Economic Research in December of 2008, but its start date was backdated to December of 2007.
The recession had a profound impact on the US economy and led to widespread job losses, a decline in consumer spending, and a significant reduction in GDP. While the economy has since recovered, the effects of the recession are still felt by many Americans today. The statement, "The last recession in the United States began in December of 2007," is TRUE. The last recession, known as the Great Recession, began in December 2007 and lasted until June 2009. This recession was marked by a severe economic downturn, high unemployment rates, and a significant decline in housing prices. The Great Recession began in December 2007 due to several factors, including the collapse of the housing bubble, risky lending practices, and the failure of major financial institutions. The recession was caused by a variety of factors, including the bursting of the housing bubble, a decrease in consumer confidence, and financial instability in the banking sector. The recession of 2007-2009 was one of the most severe economic downturns in the history of the United States. It was officially declared by the National Bureau of Economic Research in December of 2008, but its start date was backdated to December of 2007. The recession had a profound impact on the US economy and led to widespread job losses, a decline in consumer spending, and a significant reduction in GDP. While the economy has since recovered, the effects of the recession are still felt by many Americans today. The statement, "The last recession in the United States began in December of 2007," is TRUE. The last recession, known as the Great Recession, began in December 2007 and lasted until June 2009. This recession was marked by a severe economic downturn, high unemployment rates, and a significant decline in housing prices. It resulted in a major loss of jobs, a decrease in consumer spending, and a decline in economic activity. The recession officially ended in June 2009, but the recovery process took several years.
To know more about unemployment visit:
https://brainly.com/question/17272067
#SPJ11
The following events occurred last year at Dorder Corporation: Purchase of plant and equipment $ 45,000 Sale of long-term investment $ 24,000 Dividends received on long-term investments $ 9,000 Paid off bonds payable $ 12,000 Depreciation expense $ 32,000 Based on the above information, the net cash provided by (used in) investing activities for the year on the statement of cash flows would be: Multiple Choice $(32,000) $(69,000) $(12,000) $(21,000)
Answer:
$(21,000)
Explanation:
The computation of the net cash provided by (used in) investing activities is shown below:
Cash flows from investing activties
purchase of plant and Equipment = -$45,000
Sale of long term investment $24,000
net cash used by investing activities - $21,000
Hence, the last option is correct
Insurance rates are lower for those with poor credit true or false
Answer:
The answer to this question is true.
Answer:
it is trueee
Explanation:
Sumit deposits $1,500 cash into his checking account, which the bank holds in its vault. The reserve requirement is 25%. What is the change in his bank's required reserves
The required reserves are the funds that a bank is required to keep on hand to meet the withdrawal demands of its customers. The reserve requirement is a percentage of deposits that a bank must hold in reserve.
The reserve requirement is a monetary policy tool used by central banks, such as the Federal Reserve in the United States, to regulate the amount of money that commercial banks can lend out. Specifically, the reserve requirement is the percentage of deposits that a bank must hold in reserve, either in its vault or with the central bank, rather than lending out to customers.
In this case, Sumit deposits $1,500 cash into his checking account. Since the reserve requirement is 25%, the bank must hold 25% of the deposit as required reserves. Therefore, the bank must hold:
25% x $1,500 = $375
This means that the bank's required reserves increase by $375 as a result of Sumit's deposit.
To know more about withdrawal demands,
https://brainly.com/question/29304523
#SPJ11
100 points & brainliest.
Answer:
A
Explanation:
Answer:
the answer is the first option (A)
Explanation:
Which multimedia and interactive elements do you think would best support your viewpoint on the topic you chose for your blog? Write two to four sentences explaining what multimedia and interactivity you will use and why.
Answer:
I will use images and details from credible websites, which will boost my own credibility and support my claim. I will also use charts and graphs from trusted web resources, such as government and university sites, to make my supporting evidence clear
Explanation:
I took the test
Brainiest???
The Use of videos, audios, and images in the blog will not only make it attractive but also make it credible.
Best Way to Write BlogTo write a credible and attractive blog we need to use multimedia such as videos, images, link of credible websites. We can also use other elements which can autocorrect grammer mistakes, can easily provide best charts and graphs.
The use of these elements can give a better outlook to our blog, and also create a sense of trust and credible information.
Learn More about Blog here:
https://brainly.com/question/898474
Which of the following statements is correct? The dead weight loss caused by monopoly
Which savings option divides your investment among multiple companies
Answer:
Mutual funds
Explanation:
I just did it in school a p e x and I searched.
earnings per share (eps) may be determined by ______. (check all that apply.)
Earnings per share (EPS) is a financial metric that represents the portion of a company's profit that is allocated to each outstanding share of its common stock. It is a crucial measure that investors use to evaluate a company's profitability and potential for growth.
There are several ways that EPS may be determined. Here are some of the most common methods:
1. Net Income Divided by Total Shares Outstanding: This is the most straightforward method of calculating EPS. It involves taking a company's net income and dividing it by the total number of outstanding shares of its common stock.
2. Basic EPS and Diluted EPS: Basic EPS is calculated by dividing a company's net income by the total number of outstanding shares of its common stock. Diluted EPS takes into account the potential dilution of shares that may result from stock options, warrants, convertible securities, and other factors.
3. Weighted Average Shares Outstanding: This method takes into account any changes in the number of outstanding shares over a specific period, such as a quarter or a year. It calculates the average number of shares outstanding during that period and uses this figure to determine EPS.
4. Fully-Diluted EPS: This method assumes that all of a company's convertible securities have been converted into common stock. It is a more conservative measure of EPS that takes into account the maximum potential dilution of shares.
In conclusion, there are several methods for determining EPS, including net income divided by total shares outstanding, basic EPS and diluted EPS, weighted average shares outstanding, and fully-diluted EPS. Each method has its advantages and disadvantages, and investors should consider all of these factors when evaluating a company's financial performance.
To know more about Earnings per share visit:-
https://brainly.com/question/31462140
#SPJ11
what are two resources within you that are important when choosing a career you would like
Answer:
Your happiness
education and training
social environment
Explanation:
An international business is a firm that
Part 2
A. hires non-U.S. citizens.
B. produces a wide range of products.
C. is not from the United States.
D. engages in international trade or investment.
Option D: An international business is a firm that engages in international trade or investment.
Therefore, the correct answer is option D. An international business is a company that conducts business across national borders. This can include importing and exporting goods, investing in foreign markets, and operating in multiple countries.
It is not necessarily defined by the nationality of its employees, the range of products it produces, or the country in which it is headquartered. International business refers to the trade of goods, services, technology, capital and/or knowledge across national borders and at a global or transnational scale. It involves cross-border transactions of goods and services between two or more countries.
For such more questions on international business:
brainly.com/question/14690606
#SPJ11
Regulators require a bank to hold some of its assets as reserves mainly to address:
a. liquidity risk.
b. trading risk.
c. credit risk.
d. operational risk.
Liquidity risk: Regulators require a bank to hold some of its assets as reserves in order to ensure that the bank has sufficient liquid assets to meet its financial obligations if a large number of customers come demanding their money at once. This helps to mitigate the risk of the bank running out of funds and not being able to meet its obligations.
What is financial?Financial management is the process of managing money and other financial resources in order to achieve personal and organizational goals. It can involve budgeting, accounting, investing, forecasting, and protecting assets. Financial management includes making decisions related to the acquisition, investment, and distribution of resources in order to maximize their potential return.
Therefore the correct answer is A.
To learn more about financial
https://brainly.com/question/989344
#SPJ1
For what purpose does the government use the taxes it collects from the public?
The majority of this cash goes toward funding government activities, such as maintaining infrastructure and paying employees' wages, as well as purchasing goods and services for American individuals and businesses.
What objective does the government have when it collects taxes?The tax system aims to make sure that everyone makes their fair share of contributions to the operation of the federal government and the economy. The government invests in the nation and provides goods and services for the benefit of the American people using the federal taxes you pay.
In order to raise funds for their primary expenditure goals, governments impose taxes on their residents and enterprises. In order to stimulate economic growth, this includes funding governmental and public projects as well as improving the business climate in the nation.
Learn more about tax system: https://brainly.com/question/9695290
#SPJ4
The economic crisis in 2008 had a huge impact on eaton’s business to business customers. In response to the crisis, eatons customers tried to cut cost and lower their production. This in turn affected eatons sales negatively, which is an example for _______.
The economic crisis in 2008 had a huge impact on eaton’s business to business customers. In response to the crisis, Eaton's customers tried to cut costs and lower their production. This in turn affected eatons sales negatively, which is an example for solutions selling.
From peak to trough, US gross domestic product fell by 4.3 percent, making this the deepest economic crisis recession since warfare II. It absolutely was also the longest, lasting eighteen months.
The per centum quite doubled, from 5 percent to 10 percent. The collapse of the housing market — fueled by low interest rates, easy credit, insufficient regulation, and toxic economic crisis subprime mortgages — led to the slump. The good Recession's legacy includes new financial regulations and an activist Fed.
Of 198 Countries, compared to the proportion change in GDP between 2007 and 2009, the foremost impacted countries are predominantly Eastern European and trade-dependent economic crisis advanced economies. One of the foremost visible aspects of the recession, job losses and unemployment are known to be related to increased stress, poorer health outcomes.
learn more about economic crisis: https://brainly.com/question/307213
#SPJ4
Question 6 of 20
What is outsourcing?
A. Keeping trade secrets from competing organizations
B. Hiring workers outside the company to work on a temporary basis
C. Maintaining a balance between work life and personal life
O D. Sending instructions to a computer in another location
Trail Bikes, Inc., makes and distributes Trail-brand bicycles and accessories to authorized dealers. To prevent price-cutting by dealers in direct competition, Trail Bikes imposes limits on where each dealer can sell Trail products. This is
Answer:
Territorial restriction
Explanation:
Territorial restriction is the way that a manufacturer restricts the territory where a wholesaler or retail seller is able to sell products.
Manufacturers usually use this technique to reduce Interbrand competition and control price.
In the given scenario Trailer Bikes Inc supplies bicycles to dealers and restricts where they can sell the bicycles to prevent price-cutting by dealers in direct competition.