The income tax consequences to Cat Stevens as a result of the stock redemption are that he will have to pay taxes on the $30,000,000 capital gain, which will be treated as a dividend due to the company's sufficient earnings and profits.
Cougar Company is owned equally by Cat Stevens and is a partnership. Cat and the partnership each own 3,000 shares. The company will redeem 1,500 of Cat's shares for $25,000 per share, and Cat's tax basis in each share is $5,000. Assuming the company has earnings and profits of $10 million, what are the income tax consequences to Cat?
To calculate the income tax consequences, we need to follow these steps:
1. Determine the total redemption amount: 1,500 shares x $25,000 per share = $37,500,000.
2. Calculate the total tax basis for the redeemed shares: 1,500 shares x $5,000 per share = $7,500,000.
3. Calculate the capital gain: Total redemption amount - Total tax basis = $37,500,000 - $7,500,000 = $30,000,000.
Since the company has sufficient earnings and profits ($10 million), the entire capital gain of $30,000,000 will be treated as a dividend. This means that Cat will need to pay taxes on the $30,000,000 dividend received from the stock redemption.
In conclusion, the income tax consequences to Cat Stevens as a result of the stock redemption are that he will have to pay taxes on the $30,000,000 capital gain, which will be treated as a dividend due to the company's sufficient earnings and profits.
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Commercial hotels are usually in downtown or _____________ districts.
Answer:
buisness
Explanation:
Management, can anyone help me?
I think it is C I looked up some stuff and they all add up to C
Some businesses avoid risks by doing which of the following
Only doing business online
Purchasing multiple insurance policies
Keeping records of all transactions and customers
Considering market research
Answer:
Considering market research
Explanation:
To a business, risk is the possibility of incurring substantial financial losses. A business is established to make profits. However, if things don't go as forecast, the possibility of making losses is high. Risk is the chance that the outcome of an investment is not as profitable as
expected.
Identifying, evaluating, and controlling threats to a company's capital and profits is how businesses manage risk. By conducting market research, a company gathers sufficient information to assist in the process of managing risk.
broadband, inc. has estimated preliminary cash flows for a project and found that the npv for those cash flows is $1,000,000. the company now plans to perform a scenario analysis on the cash flow and npv estimates. it will use an npv of $ as the base case. multiple choice question.
The company now plans to perform a scenario analysis on the cash flow and NPV estimates. It will use an NPV of $1,000,000 as the base case.
What is preliminary cash?A company's preliminary cash is an estimate of the cash flows it anticipates from a specific project. These projections are created before the project starts and are predicated on predictions of the project's projected future earnings and costs. The project's potential profitability is assessed using preliminary cash flows, which are also used to calculate the project's net present value (NPV). Because they enable businesses to make well-informed choices about whether to invest in a specific project, preliminary cash flows are crucial. They give businesses the ability to weigh the project's potential risks and benefits and decide whether the anticipated cash flows will be enough to recover the initial investment and turn a profit over time.
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Which of the following are automatically withheld from paychecks?
(T/F) All processes and functional areas participate in the reengineering efforts of a firm.
True. All processes and functional areas participate in the reengineering efforts of a firm.
Reengineering is a process of improving an existing organization by radically redesigning its core processes, practices, and structures. It involves rethinking and redesigning processes to leverage new technology and improve performance. All functional areas within the firm, such as finance, human resources, marketing, and production, must take part in the reengineering process to ensure that the goals of the process are achieved. This includes analyzing the existing processes and practices, identifying and implementing new technology, and measuring and evaluating the success of the reengineering process.
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Suppose that Florida Bank has recently granted a loan of $2 million to Oyster Farms at LIBOR plus 0. 5 percent for six months. In return for granting Oyster Farms an interest-rate cap of 6. 5 percent on its loan, this bank has received from this customer a floor rate on the loan of 5 percent. Suppose that, as the loan is about to start, LIBOR declines to 4. 25 percent and remains there for the duration of the loan. How much (in dollars) will Oyster Farms have to pay in total interest on this six-month loan with floor and without floor?How much in interest rebates will Oyster Farms have to pay due to the fall in LIBOR?
Oyster Farms will have to pay a total interest of $95,000 on the six-month loan without the floor rate, and $100,000 with the floor rate. They will receive an interest rebate of $5,000 due to the fall in LIBOR.
Without the floor rate, Oyster Farms would have to pay interest at a rate of LIBOR plus 0.5 percent, which equals
4.25% + 0.5% = 4.75%.
With a loan amount of $2 million, the total interest payment without the floor rate would be
$2,000,000 * 4.75% = $95,000.
With the floor rate of 5 percent, Oyster Farms would have to pay interest at a rate of 5 percent, regardless of the decline in LIBOR to 4.25 percent. Again, with a loan amount of $2 million, the total interest payment with the floor rate would be
$2,000,000 * 5% = $100,000.
Since LIBOR declined, Oyster Farms will receive an interest rebate due to the fall in LIBOR. The difference between the interest payment without the floor and the interest payment with the floor is
$100,000 - $95,000 = $5,000.
Therefore, Oyster Farms will receive an interest rebate of $5,000.
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How does American style differ from Japanese style? Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. Japanese style is identified as casual, athletic, and clean-cut while American style is noted for having complicated cutting and structure.
Answer:
American style is identified as casual, and ethic and clean cut while japanese style is considered poorly and has been noted for having complicated cutting and structure
Explantion:
got it right on Edge 2022
In an advertisement, a statement by a user about the benefits he or she received is called a _____.
A.testimonial
B.storyboard
C.unique selling proposition
D.visual element
Answer:
A. Testimonial
Explanation:
A testimonial typically refers to the the experience a person has with the product or service. It usually contains positives, but also can have negatives as well.
~
Answer:
Testimonial
Explanation:
By the time you turn 60, a large percentage of your net worth will likely consist of?.
Most business messages today aim for a _______ tonea. casualb. conversationalc. abstractd. formale. laid-back
Most business messages today aim for a conversational tone.
In the past, business communication was often formal and rigid. However, in today's fast-paced business environment, communication needs to be efficient, concise, and engaging. As a result, many businesses aim for a conversational tone in their communication, whether it's in emails, memos, or other forms of written communication. A conversational tone is friendly and approachable, and it can help to build trust and rapport with the recipient of the message. However, it's important to strike a balance between being conversational and being professional, and to ensure that the message is still clear and concise.
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Set up an amortization schedule for a $25000 loan to be repaid in equal installment at the end of each 3 years. The interest rate is 10% compounded annually. What percentage of the payment represents interest and what percentage represents principal for each three years?
Answer:
we must first determine the annual payment:
annual payment = present value / annuity factor
present value = $25,000
PV annuity factor, 10%, 3 periods = 2.4869
annual payment = $25,000 / 2.48685 = $10,052.87
year payment interest paid principal paid ending balance
1 $10,052.87 $2,500 $7,552.87 $17,447.13
2 $10,052.87 $1,744.71 $8,308.16 $9,138.97
3 $10,052.87 $913.90 $9,138.97 $0
in percentages:
year payment interest paid principal paid
1 100% 25% 75%
2 100% 17.36% 82.64%
3 100% 9.09% 90.91%
Evaluate the benefits and limitations of the change to the operations process being planned by the managing director.
Answer:
'Change in Operations process, by Managing Director' - Benefits & Risks
Explanation:
'Change in Operations process, by Managing Director' - Benefits
Operations' modernisation, brings new opportunities Operations' critical appraisal & improvisation New operations create Initiative for new innovative ideas'Change in Operations process, by Managing Director' - Limitations
Motivating, training employees for new changed operations might be a challengeEmployees might resist the changes New operations might have other feasibility risk factors.6. Firm’s Costs 2Consider the following cost information for a pizzeria:
Quantity
Total Cost
Variable Cost
(Dozens of pizzas)
(Dollars)
(Dollars)
0 280 0
1 320 40
2 350 70
3 380 100
4 420 140
5 470 190
6 530 250
The pizzeria's fixed cost is.
Complete the third column of the following table by calculating the marginal cost per dozen pizzas using the information on total cost. Then complete the final column by calculating the marginal cost per dozen pizzas using the information on variable cost.
Quantity
Total Cost
Marginal Cost
Variable Cost
Marginal Cost
(Dozens of pizzas)
(Dollars)
Using Total Cost
(Dollars)
Using Variable Cost
(Dollars)
(Dollars)
0 280 0 1 320 40
2 350 70
3 380 100
4 420 140
5 470 190
6 530 250
True or False: It doesn't matter whether you compute marginal cost using total cost or variable cost.
True
False
a decrease in the price of a complement.
An increase in the price of a complement would decrease the demand for the main product, while a decrease in the price of a complement would increase the demand for the main product.
Complementary goods are products that are used together, such as hot dogs and buns, or printers and ink cartridges. If the price of buns, for example, increases, consumers may be less likely to purchase hot dogs, resulting in a decrease in demand for hot dogs.
On the other hand, if the price of buns decreases, consumers may be more likely to purchase hot dogs, resulting in an increase in demand for hot dogs.
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if the planned sales for the month are $70,000, the merchandise budget calls for a planned stock-to-sales ratio of 2.3, and the financial leverage is 1.1, then the planned bom inventory should be:
If the planned sales for the month are $70,000, the merchandise budget calls for a planned stock-to-sales ratio of 2.3, and the financial leverage is 1.1, then the planned bomb inventory should be $161,000.
Finance is the take look at and the subject of money, forex, and capital property. It's far related to, but now not synonymous with economics, the examination of manufacturing, distribution, and intake of cash, assets, goods, and services (the field of monetary economics bridges the 2).
Finance activities take region in economic structures at diverse scopes, for this reason, the field may be roughly divided into the private, company, and public finance. In an economic system, assets are offered, bought, or traded as economic gadgets, which include currencies, loans, bonds, shares, stocks, options, futures, and many others. Property can also be banked, invested, and insured to maximize price and minimize loss. In exercise, dangers are always found in any financial motion and entities.
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To understand how democracy developed in ancient Greece, you must examine the polis, which was the Greek word for a
The Greeks shared a language and culture, but each polis had a different government. In 509 BCE, Athens created a new set of rules that gave power to the people. The Greeks called this government a
Members of the Council of 500 were chosen
Answer:
To understand how democracy developed in ancient Greece, you must examine the polis, which was the Greek word for a city-state. The Greeks shared a language and culture, but each polis had a different government. In 509 BCE, Athens created a new set of rules that gave power to the people. The Greeks called this government democracy. Members of the Council of 500 were chosen randomly.
Answer:
city-state ,democracy ,randomly
Explanation:
just took the test on edge
In advertising regulation, the corrective measures of cease-and-desist orders, corrective ads, and fines are intended to keep advertising honest, keep competition fair, and to protect the public.
A cease-and-desist order is an order issued by a regulatory body, such as the Federal Trade Commission (FTC) or the Advertising Standards Authority (ASA), to stop a company from engaging in an illegal or deceptive practice.
What is Commission?Commission is a fee paid to a person or business in exchange for providing a service or executing a transaction. It is typically a percentage of the total sale or transaction amount, and is most commonly paid by the seller. Commission can be earned in a variety of industries, including sales, insurance, real estate, banking, and marketing. Most commonly, commission is earned when a salesperson successfully sells a product or service to a customer. Commission can also be paid for services such as recruiting, consulting, or finding a customer for a business.
This type of action is usually taken when a company has been found to have used false or misleading advertising. Corrective ads are ads that are placed to correct a false or misleading statement that was previously made by a company in an advertisement. Fines are penalties that are imposed by a regulatory body on a company for engaging in illegal or deceptive practices.
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While preparing a bank reconciliation, a bank service charge was discovered. This adjustment would be recorded with a?
While preparing a bank reconciliation, a bank service charge was discovered. This adjustment would be recorded with a Credit to cash, debit to bank fees expense.
Bank Reconciliation is an important manner in accounting wherein agencies healthy their bank statements with the transactions which can be recorded in their preferred ledger. making ready a financial institution reconciliation statement facilitates businesses to put off viable errors in transactions or bookkeeping.
There are 5 principal kinds of bank reconciliation: financial institution reconciliation, consumer reconciliation, dealer reconciliation, inter-company reconciliation, and business-unique reconciliation.
In bookkeeping, a financial institution reconciliation is a procedure by using which the financial institution account balance in an entity’s books of account is reconciled to the balance said by using the monetary organization inside the maximum latest bank declaration. Any distinction between the 2 figures needs to be examined and, if appropriate, rectified.
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A country club is conducting focus groups with its members to develop ideas about how to improve its pool, golf facilities, and services. The club isa. collecting primary data.
b. descriptive research.
c. statistical inference.
d. internal secondary data.
The correct answer is option A. collecting primary data. A country club is conducting focus groups with its members to develop ideas about how to improve its pool, golf facilities, and services, It is collection primary data therefore option a. is correct.
What does data mean with an example?Facts, statistics, or information that is stored in or utilised by a computer are all considered to be data. The data used in a study article is an illustration. Email is an excellent example of data.
What are the different forms of data?Both qualitative and quantitative data can be categorized. Qualitative data illustrates certain traits or qualities. They also represent descriptions that we could notice but cannot be computed or calculated.
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Ou are a chief economic advisor for the federal government. You are asked economic policy recommendation to improve economic outcomes. Here is some information of the current economy; Last year This year Real GDP growth 1. 3% 2. 7% Inflation 1% 1. 8% Unemployment 8% 10% Government debt (or national debt) has accumulated due to several years of tax cuts and spending increase. Lastly, there has been trade deficit for over five years. Explain your policy recommendations based on macroeconomic theory
As a chief economic advisor for the federal taxation and GDP government, there are several economic policy recommendations that can be put in place to improve economic outcomes. Based on macroeconomic theory.
The Federal government's fiscal policy can be used to influence economic outcomes. The government can adopt expansionary fiscal policy by increasing government spending and lowering taxes. This approach can help to stimulate aggregate demand, which leads to an increase in economic activity and GDP growth. Monetary Policy the Federal Reserve's monetary policy can be used to influence the economy as well.
The central bank can implement expansionary monetary policy by lowering interest rates, which can increase borrowing and spending. This will also lead to an increase in aggregate demand and economic activity.3. Reducing Trade DeficitThe government can work towards reducing the trade deficit by adopting policies that encourage exports and discourage imports. This can be done by reducing tariffs on exports and increasing tariffs on imports.
Debt ManagementTo address the issue of accumulated debt, the government can adopt policies that promote fiscal responsibility and debt management. This can be done by reducing government spending and increasing taxes to reduce the deficit.In conclusion, implementing the above policy recommendations can help to improve economic outcomes. However, it is essential to assess the effectiveness of these policies regularly and adjust them accordingly to meet the economic objectives of the federal government.
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why are adjustments needed at the end of an accounting period?
At the end of an accounting period, adjustments are entered to improve the accuracy of your income and expenses in your financial statements. These adjustments are typically made on an accrual basis, but this is not always the case. This could take place at the end of the month or the year.
A journal entry is typically used to make adjustments to entries. Journal entries may be unfamiliar to you if you use small-business accounting software like QuickBooks, Xero, or FreshBooks. This is due to the fact that the majority of accounting software posts journal entries based on the entered transactions for you. In order for your books to be accurate, double-entry accounting requires that each transaction in your bookkeeping has a debit and a credit that must be balanced. This is handled by your accounting software automatically. For instance, when you enter a check into your accounting software, you most likely fill out a check-like form on your computer screen. Your software, on the other hand, debits the expense account (or category) you use on the check and credits your checking account in the background. You or your bookkeeper will enter income and expenses as they are recognized by your business in order to maintain accurate financial records. This can be done using either an accrual or cash basis. However, despite your meticulous bookkeeping, you or your accountant will occasionally need to adjust entries. Simply put, an adjusting entry is a change made to your books to better match your income and expenses in your financial statements. At the conclusion of the accounting period, adjusting entries are made. This could take place at the end of the month or the year. While your bookkeeper may make adjustments on a monthly basis, your accountant will most likely provide you with annual adjusting entries to complete.
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Suppose you are told that there has been a downward movement along the fixed short-run Phillips curve. Which of the following must have happened?
Select one:
a. The AD curve has shifted to the left.
b. The SRAS curve has shifted to the left.
c. The AD curve has shifted to the right.
d. The SRAS curve has shifted to the right.
The downward movement along the fixed short-run Phillips curve suggests a decrease in the level of inflation with no change in the unemployment rate.
This can occur when the aggregate supply (AS) decreases, leading to a leftward shift in the short-run aggregate supply (SRAS) curve. When the SRAS curve shifts to the left, it indicates that the costs of production have increased, resulting in a higher price level and a lower level of output. This decrease in aggregate supply leads to a lower rate of inflation as firms are facing higher costs and are less willing to produce output at previous price levels. The other options can be ruled out as follows: a. If the AD curve shifts to the left, it would result in a decrease in both output and the price level, leading to deflation and a higher unemployment rate. c. If the AD curve shifts to the right, it would lead to higher output and an increase in the price level, resulting in higher inflation and a lower unemployment rate. d. If the SRAS curve shifts to the right, it would indicate a decrease in the costs of production, leading to a lower price level and a higher level of output.
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Define variables and write systems of equations for the situation. solve using substitution. suppose you are thinking about buying one of two cars. car a will cost $17,655. you can expect to pay an average of $1230 per year for fuel, maintenance and repairs. car b will cost about $15,900. fuel maintenance and repairs for it will average about $1425 per year. after how many years are the total costs for the cars the same? a. 5 years c. 9 years b. 7 years d. 11 years
The cost of the cars overall remains constant after 9 years.
In mathematics, expression is the combination of numerical variables and mathematical operations denoted by the addition, subtraction, multiplication, and division signs.
In the question, we've provided the:-
The cost of Car A is $17,655. Fuel, upkeep, and repairs should cost you on average $1230 annually.
The cost for Car B is roughly $15,900. Its annual average for fuel maintenance and repairs is $1425.
To determine how long the total cost of the autos will remain the same.
For the overall cost of the two autos, we can form the following two equations:
A = 17655 + 1230y,
B = 15900 + 1425y
We wish to know when the cost will become the same for both the cars.
A = B
= 15900 + 1425y = 17655 + 1230y
Now subtract 15900 from both sides,
= 1425y = 1230y + 1755
Now subtract 1230y from both sides,
= 195y = 1755
Now divide both sides by 195
y = 9 years
As a result, the total cost of the cars is unchanged after 9 years.
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Answer:
c. 9years
Explanation:
ted catering received $1,220 cash in advance from a customer for catering services to be provided in three months. determine the general journal entry that ted catering will make to record the cash receipt.
Ted Catering will make the following general journal entry to record the cash receipt: Debit Cash $1,220 and Credit Unearned Revenue $1,220.
This entry is made because Ted Catering has received cash in advance from a customer for catering services that will be provided in three months.
By debiting Cash, we increase the cash account, reflecting the receipt of cash. By crediting Unearned Revenue, we increase the liability account, as the company has an obligation to provide the services in the future.
This entry follows the accounting principle of revenue recognition, where revenue is recognized when the services are provided.
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which of the following is true of cartels?multiple choicetheir formation tends to lower market price.they reduce uncertainty and maximize profits for firms.they increase competition in the market.they usually last a long period of time.
Cartel tends to they reduce uncertainty and maximize profits for firms
Hence, Option C is correct.
What do you mean by Cartel ?
A cartel is a group of participants who come together with each other and form a group. They do so in order to improve their profits and dominate the market. The most famous and well known Cartel is OPEC. They introduce rules that changes competition in their favor through prices modification , production levels and marketing techniques.
There are various kinds of Cartels like
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complete the template below to help you plan out your letter
my product it’s a custom can of Pringle’s and I made the flavor of Pringle’s popcorn
I. Paragraph one- Introduction
1. (introduce yourself and explain your experience related to the product) _____________________________________________________________________
2. (explain why you are writing) _____________________________________________________________________
3. (briefly describe your food product and name for your food) _____________________________________________________________________
II. Paragraph two- Describe your Food Product
1. ( describe the flavors, ingredients, texture) _____________________________________________________________________
2. (what does your food look like) _____________________________________________________________________
3. (how is your food unique – what makes it different than other products out there) _____________________________________________________________________
III. Paragraph three- Describe the Packaging
1. (describe the colors in your packaging )____________________________________________________________
2. (describe any images, art, or photos on the package) _____________________________________________________________________
3. (describe the size and materials used in the package) ______________________________________________
IV. Paragraph four- Convince The Company
1. (describe the target population who will buy the food (ex. Moms, diabetics, vegetarians, teens) _____________________________________________________________________
2. (why should they make and market your food?)________________________________________
_______________________
3. (how much will you sell your food for? Sold individually or in larger quantities?) _____________________________________________________________________
V. Paragraph five- Conclusion
1. (Tell what you want the company to do) ______________________________________________
_____________________________________________________________________
2. (Restate what makes your food delicious) ____________________________________________
_______________________
3. (Restate what makes your food unique) ______________________________________________
_______________________
Answer:
Paragraph 1-
Introducing myself-
1.)
Hey, my name is... and I absoultey *love* Pringles, my favorite flavor is...because...(explain here<why you love that flavor and what you like most about it)...*add things about you and pringles to make the paragraph complete*
2.)
I have made such an outstanding flavor of Pringles, it is made of the most loved food by every human on Earth, POPCORN!
I can assure you that you will want to try my product by the time my presentation has come to an end, and boy-oh-boy do I want to as well!
3.)
Pringles are amazing. Though how would you love Popcorn Pringles? Huh, you do? Yup, I bet your pupils dilated and I got your taste buds alert!
4.)
What does my product contain? It consists of the delicious flavor of popcorn and (include your ingredients and texture of food)
5.)
What do my simple yet intricate Pringles look like? They look like *add your answer,
Any questions that have to do with describing your product would be up to you since I don't have the slightest idea of what it looks like...**
Convincing the Company-
You are looking at consumers from various categories starting from Children ranging to Elders. Vegetarians to Carnivores. I guarantee this will also include popcorn dislikers.
Why should they make the market?
Simply because they are tasty and different...all you see now is Pizza flavored Pizza, BBQ flavored brisket, Soy sauce flavored noodles. My product will be an attraction to all stores! Popcorn flavored Pringles, I mean are you kidding me, its genius, and anyone who thinks otherwise is someone who has not tried them.
How much will I sell it for?
*add your answer* Why? The reasons being, I want my product to be available to everyone.
What I want the company to do is...add your answer
The simple thought of a taste of a popcorn flavored on a Pringle makes me want to jump on a pogo stick and complete a world record!!!
The uniqueness is simple noone has made Popcorn flavored pringles and.. *add another statement on why your product is unique*
I DID MOST OF THE QUESTIONS FOR YOUR SLIDES, I HOPE THIS HELPED YOU AND MADE YOUR ASSIGNMENT EASIER FOR YOU :)
I KNOW HOW IT FEELS TO HAVE A PROJECT DUE AND POSTING IT AND FOR NONE TO HELP YOU OUT, THATS WHY I ANSWERED, THIS IS MY TROLL ACCOUNT BUT THANK ME ON MY OTHER ACCOUNT SamHdzBxby.
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The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter
The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as
$4.3055
This is further explained below.
What is the APR interest rate?Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.
The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.
Interest rate APR = 12%
Average balance = ((200*5)+(350*15)+(150*10))/30
Average balance = $258.33
Average balance*APR/12
Finance charge =\(\frac{258.33*20 \%}{12 }\)
Finance charge = $4.3055
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which factors help explain why the austin metro area has a higher average income than other major metro areas in texas?
The factor that helps explain why the Austin Metro Area has a higher average income than other major metro areas in Texas are many big firms located in the area.
This is because the Austin Metro Area comprises many big firms that cut across all industry sectors. This area is known to have the largest employers within the City of Austin.
Aside from the government as the major employer in the area, some other top firms in these areas include Advanced Micro Devices, Apple, Inc., Austin Independent School District, IBM, Ascension Seton Healthcare Network, St. David's HealthCare Partnership, Samsung Austin Semiconductor, the University of Texas at Austin, etc.
Hence, in this case, it is concluded that the Austin Metro Area has a higher average income than other major Metro Areas in Texas because it is home to many top industries.
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drop the name of a person you want a follow back from on Instagram .
drop names and keep it going of the person of your choice and you get a follow back at the strike of midnight .
Answer:
addison rae lol because i need a bad bleep hahaha
Explanation:
Answer:
cardi b because I want to know how to get the Wap lol
Prepare the correcting entry.
The purchase of 1200 of office equipment with a three year useful life was debited to office supplies