strategic behavior occurs when: a. there is only one firm in the market. b. the firms have no command over the prices of the good they produce. c. the firms can take any decision irrespective of what their rival does. d. what is best for a firm depends on what his rival does. e. there are a large number of firms selling identical products.

Answers

Answer 1

The correct answer is option (d): strategic behavior occurs when what is best for a firm depends on what its rival does.

Strategic behavior refers to the actions taken by firms in response to the anticipated actions or behavior of their competitors. It involves making decisions and formulating strategies based on the expected reactions of competitors in order to gain a competitive advantage.

In strategic behavior, firms consider the actions and choices of their rivals as they determine their own course of action, recognizing that their success is influenced by the decisions of their competitors. So, The correct answer is (d).

To know more about strategic behavior:

https://brainly.com/question/30450075

#SPJ4


Related Questions

Why can communicating with someone with a different background than yours present challenges?

Answers

Well maybe because of your different culture. Different cultures have different customs and religious and cultural beliefs. Sometimes it can be hard to communicate with someone that doesn’t share similarities or likes with you. So yea. Hope this helps!

Will give brainliest to anyone who can explain how to solve this

Will give brainliest to anyone who can explain how to solve this

Answers

Find the amount of markup by subtracting the store cost from sale price:

25-5 = 20

Divide markup amount by cost:

20/5 = 4

Multiply by 100 to get percentage

4 x 100 = 400 %

The answer is B. 400%

Answer:

Explanation:

After-Before/Before = 25-5=20 / 5=4 = 400%B

if your a real larry fan you can finsh this song

This aint no race but i still take first.....
finsh it

Answers

Answer:ooh idk

Explanation:

Answer:

first place.. take yo man just to shove it in yo face..

lolz i haven't listened to that in a while

Explanation:

ttttpppwwkkk

What is the name of the law, administered by the governor through the Office of Consumer Affairs, that is designed to protect the public by focusing on deceptive advertising

Answers

The Georgia fair business practices act

what combination of puts and calls can simulate a long stock investment

Answers

To simulate a long stock investment using options, an investor can use a combination of long call options and short put options. This strategy is known as a synthetic long stock.

The synthetic long stock is created by buying an at-the-money call option while simultaneously selling an at-the-money put option. Both options should have the same expiration date.The long call option gives the investor the right to buy the underlying stock at the strike price, while the short put option obligates the investor to buy the stock at the same strike price. By selling the put option, the investor receives a premium, which reduces the overall cost of the trade. If the stock price rises, the long call option will become profitable, and the short put option will expire worthless. If the stock price falls, the long call option will expire worthless, but the investor will be obligated to buy the stock at the strike price, which is covered by the premium received from selling the put option.Overall, this strategy allows investors to gain exposure to the stock market while limiting their downside risk.

Learn more about stock here

https://brainly.com/question/26128641

#SPJ11

HELP
Tonya is a warehouse manager for a large online store. Which of the following is NOT a task she would do as part of her job? Question 9 options: Keep safety policies updated so that warehouse workers are safe Film commercials to advertise store sales Audit and report warehouse inventory

Answers

Answer:

film commercials shes in the warehouse not the front of the company

Explanation:

which of the following deals with employee's health care? a. cobra b. osha c. flsa d. erisa

Answers

The option that deals with employee's healthcare is **a. COBRA**.

COBRA stands for the Consolidated Omnibus Budget Reconciliation Act. It is a federal law in the United States that provides certain employees and their dependents the right to continue their group health insurance coverage for a limited period after leaving their job. COBRA ensures that employees have access to healthcare coverage, even if they are no longer employed or experience a qualifying event such as termination, reduction in hours, or divorce.

OSHA (Occupational Safety and Health Administration) focuses on workplace safety and health regulations.

FLSA (Fair Labor Standards Act) addresses minimum wage, overtime pay, and child labor standards.

ERISA (Employee Retirement Income Security Act) primarily governs employee benefit plans such as pensions and retirement savings

Learn more about OSHA (Occupational Safety and Health Administration) here:

https://brainly.in/question/40593587
#SPJ11

Suppose the Fed announces that it is raising its target interest rate by 50 basis points, or 0.5 percentage point. To do this, the Fed will use open-market operations todecrease thesupply of money by selling bonds to the public.

Answers

To increase the interest rate the Fed engages in a selling bonds to the public and there by decreases the money supply, as the money supply decreases the interest rate will rise.

To increase the target interest rates the Fed use open market operations, the open market operation is the process of buying and selling of government-owned securities by the central bank. When they purchase the securities the fed is putting more money into the economy and if they sell the security they are actually squeezing the money supply

The decrease in the money supply is shown by the leftward shift of the money supply curve. Since the interest rate is the cost of borrowing, the rise in interest rate would decrease investment spending which inturn decreases the aggregate demand. The aggregate demand will decrease and the AD curve would shift to the left.

To learn more about the open market

https://brainly.com/question/28290429

#SPJ4

Suppose the Fed announces that it is raising its target interest rate by 50 basis points, or 0.5 percentage

Create scatterplots using the data in the spreadsheet linked above and display the equation for the regression line. What is the equation for the regression line that predicts home equity using credit score as the explanatory variable? Ý Ex: 1.234 x + (Ex: 1.234 What is the interpretation of the slope? Pick What is the interpretation of the intercept? Pick

Answers

I'm sorry, but as a text-based AI, I cannot directly access or interact with external files or spreadsheets.

Therefore, I am unable to create scatterplots using specific data from a spreadsheet.

However, I can still provide you with an explanation of how to create scatterplots and determine the regression line equation using the data you have. If you could provide the data points for credit score and home equity, I can guide you through the process step by step.

In general, to create a scatterplot and determine the regression line equation, you can follow these steps:

1. Organize your data: Make sure you have a set of paired data points consisting of credit scores and corresponding home equity values.

2. Plot the data: Create a scatterplot by representing each data point as a dot on a graph. Place the credit scores on the x-axis and the home equity values on the y-axis.

3. Determine the line of best fit: Visually inspect the scatterplot and try to identify the general trend of the data points. If there appears to be a linear relationship, you can draw a line that best fits the data.

4. Calculate the regression line: Use statistical methods like linear regression to determine the equation for the line of best fit. This equation will describe the relationship between credit scores (explanatory variable) and home equity (response variable).

The regression line equation will have the form: y = mx + b, where y represents the predicted home equity, x represents the credit score, m represents the slope of the line, and b represents the y-intercept.

To interpret the slope and intercept:

- Slope (m): The slope represents the rate of change in the home equity for every unit increase in the credit score. For example, if the slope is 1.234, it means that for every one-unit increase in the credit score, the home equity is expected to increase by 1.234 units (in the same unit as home equity).

- Intercept (b): The intercept represents the value of the home equity when the credit score is zero. However, it's important to note that the interpretation of the intercept depends on the context and the range of credit scores in your data.

If you provide me with the specific data points, I can help you calculate the regression line equation and provide a more accurate interpretation of the slope and intercept.

Learn more about calculated  here:

https://brainly.com/question/27846658

#SPJ11

A company's marketing strategy entails three sequential steps: market segmentation, ________ and _____. The final step involves various differentiations of firm’s marketing offer.
target marketing; market positioning
implementation; control
price; promotion
product; place

Answers

A company's marketing strategy entails three sequential steps: market segmentation, targeting, and positioning.

What is the purpose?

The final step involves various differentiations of firm's marketing offer, which includes product and place. In the product differentiation, the company creates a unique and distinctive product that sets it apart from competitors.

In the place differentiation, the company chooses the best distribution channels and location to make the product easily accessible to the target market.

By effectively executing these steps, a company can create a successful marketing strategy that meets the needs and wants of its target market and achieves its business goals.

To know more on marketing visit:

https://brainly.com/question/13414268

#SPJ11

Embedded systems will enhance the economical quality of the
product. provide an example to support this statement.

Answers

Embedded systems play a crucial role in enhancing the economical quality of products by improving efficiency, reducing costs, and adding value to various industries.

One prominent example of this is the implementation of embedded systems in smart home devices. These systems enable homeowners to control and automate various functions within their homes, such as lighting, temperature, security systems, and appliances, resulting in significant energy savings and reduced utility bills.

Smart thermostats, for instance, utilize embedded systems to learn the users' preferences and adjust the temperature accordingly, optimizing energy consumption. By efficiently managing heating and cooling, these devices can help reduce energy waste and lower utility expenses. Additionally, embedded systems in smart appliances, such as refrigerators and washing machines, can monitor usage patterns and optimize operations to minimize power consumption. This integration of embedded systems not only provides convenience and comfort to users but also translates into long-term cost savings, making the products more economically attractive.

In summary, the integration of embedded systems in products, like smart home devices, enhances the economical quality by delivering energy-efficient solutions. By leveraging embedded technology, these products optimize resource consumption, resulting in reduced utility bills and long-term cost savings for consumers. This demonstrates how embedded systems contribute to the overall economic value of a product, making it an essential factor in today's technologically advanced markets.

Learn more about thermostats here:

brainly.com/question/32266604

#SPJ11

What is a source of equity financing?


A. securing short-term loans from a family member

B. receiving trade credit from suppliers

C. selling personal assets to raise funds

D. securing government loans

E. borrowing money from friends

Answers

The answer is B because I done my research online and I did my calculations and according to my calculations that’s the andwer

Look for any recent (within last one year) union related new in
Canada. Read the article to analyze and discuss the impact of union
demands/issues on management practices of the concerned
employer.

Answers

One recent union-related news in Canada is the strike by workers at Vale's Sudbury operations, which began on June 1, 2021.

The United Steelworkers Local 6500 union members were demanding better wages, benefits, and improved job security. The strike lasted for over five months and ended on November 1, 2021, after the union and the company reached a tentative agreement.

The strike had a significant impact on Vale's operations, as production at the Sudbury mines was halted, affecting global nickel supply. The union's demands and issues highlighted the need for fair compensation, job security, and improved working conditions for workers in the mining industry.

The strike also highlighted the power of unions in influencing management practices and the impact of their demands on company operations.

For more questions like Union click the link below:

https://brainly.com/question/7868395

#SPJ11

Inkamva Lethu was established to offer counseling service for drug addicts and raise substance abuse awareness at no cost, identify form of ownership for this statement

Answers

Answer: Nonprofit Corporation

Explanation:

A Nonprofit corporation is one where the organization works to promote the good of the public in general either through charity, education, science, health and the like. These organizations provide their services at no cost and therefore rely on donations from benefactors to keep them going.

Inkamva Lethu is a Nonprofit corporation as it works for the public good by counseling drug addicts and raising awareness of substance abuse. They do this at no cost as well so they are a nonprofit corporation.

Total cost of owning or using a product are the elements except one of the following. cost of failure Image Installation Transportation

Answers

The element that is not included in the total cost of owning or using a product is transportation.

The other elements that contribute to the total cost are the cost of failure, image, and installation.

The total cost of owning or using a product includes several elements, except for one of the following:

1. Cost of failure: This refers to the expenses associated with product failures, such as repairs, replacements, or warranty claims.

2. Image: This refers to the perception and reputation of the product or brand, which can impact consumer preferences and purchasing decisions.

3. Installation: This includes the costs involved in setting up or installing the product, such as labor, equipment, or professional services.

4. Transportation: This refers to the costs associated with transporting the product from the manufacturer to the consumer, which may include shipping, logistics, or freight charges.

The element that is not included in the total cost of owning or using a product is:

- Transportation

To learn more about consumer, visit:

https://brainly.com/question/15307787

#SPJ11

Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.

Answers

Answer:

Expansionary monetary policies

Explanation:

A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.

In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.

A Bank with the following capital levels: common equity of 47,000, Tier 1 of 38,000, Tier 2 of 17,000. If total assets are 850,000 and risk adjusted assets are 650,000, the capital classification of the bank is

Answers

The capital classification of the bank would be "Adequately Capitalized" as its Tier 1 capital ratio.

To determine the capital classification of the bank, we need to compare its capital levels to the risk-adjusted assets. The capital classification is typically based on regulatory requirements and ratios set by the relevant financial authorities.

One common capital adequacy ratio used for classification is the Tier 1 capital ratio.

The Tier 1 capital ratio is calculated by dividing Tier 1 capital (including common equity) by risk-adjusted assets. Let's calculate the Tier 1 capital ratio:

Tier 1 capital ratio = (Tier 1 capital / Risk-adjusted assets) * 100

In this case:

Tier 1 capital = 38,000

Risk-adjusted assets = 650,000

Tier 1 capital ratio = (38,000 / 650,000) * 100

= 5.846%

Now, let's determine the capital classification based on the Tier 1 capital ratio:

Well-Capitalized: Tier 1 capital ratio ≥ 6%

Since the calculated Tier 1 capital ratio is 5.846%, it does not meet the well-capitalized threshold.

Adequately Capitalized: Tier 1 capital ratio ≥ 4%

The calculated Tier 1 capital ratio is above the adequately capitalized threshold, which is 4%.

Undercapitalized: Tier 1 capital ratio < 4%

Since the calculated Tier 1 capital ratio is above 4%, the bank is not classified as undercapitalized.

Therefore, based on the given information, the capital classification of the bank would be "Adequately Capitalized" as its Tier 1 capital ratio exceeds the minimum regulatory requirement of 4%.

To learn more about capital, refer below:

https://brainly.com/question/32408251

#SPJ11

You will have $ in 20 years if you set aside $2,000 at 8%. (Use the future value tables from Chapter 5.)

Answers

In 20 years you'll have $5,220.

2,000×0.08=160

2,000+(160×20)= 5,220.

The total interest will be $3200 (160X20) at an interest rate of 8%. You'll have $5,220 after 20 years.

What is the interest rate?

The amount of interest due each period expressed as a percentage of the amount lent, saved, or borrowed is known as an interest rate (called the principal sum). The total interest on a loaned or borrowed sum is determined by the principal amount, the interest rate, the frequency of compounding, and the period of time the loan, deposit, or borrowing took place.

The rate calculated over a year is the annual interest rate. However, they are typically annualized. Various interest rates are applicable over shorter time frames, such as a day or a month.

A key tool of monetary policy, interest rate goals are taken into consideration when addressing issues like investment, inflation, and unemployment. When a nation wants to boost consumption and investment in the economy, its central bank typically lowers interest rates.

Learn more about the interest rate, from:

brainly.com/question/14556630

#SPJ5

is it better for ute company to take a take credit or a deduction on the $100k foreign taxes paid?

Answers

The decision should be based on a company’s individual needs and goals.

When it comes to international business, there is often a lot of money at stake when it comes to taxes. Companies have to decide whether they should take a credit or a deduction on the foreign taxes they have paid. This decision can significantly impact a company’s financial health, so it is important to understand the difference between the two and which is better for the company.

A tax credit is a dollar-for-dollar reduction in taxes owed. This means that a company can reduce the amount of taxes that it owes by the amount of the credit. For example, if a company has paid $100,000 in foreign taxes, it can take credit for this amount and reduce its taxes owed by $100,000.

On the other hand, a tax deduction is a reduction in taxable income. This means that a company can reduce its taxable income by the amount of the deduction. For example, if a company has paid $100,000 in foreign taxes, it can take a deduction for this amount and reduce its taxable income by $100,000.

Ultimately, the decision should be based on a company’s individual needs and goals. It is important to consult with a qualified tax professional to ensure that the best decision is being made for the company.

Learn more about tax credits and tax deductions:

brainly.com/question/17395659

#SPJ4

What are the eight differences between personal selling (direct contact) and non-personal selling (indirect contact, such as Internet sales)?

Answers

Answer:

internet banking facility

Which of the following is an output device? DVD-ROM Touchpad Hard drive Printer

Answers

The printer should be considered an output device.

The following information should be considered for an output device:

The output device is the device that transforms the information into a human-readable form. The example of the output devices includes monitor, printer, plotters, speakers, etc.

Therefore we can conclude that the printer should be considered an output device.

Learn more about the printer here: brainly.com/question/4455685

Derek will deposit $1,570. 00 per year for 21. 00 years into an account that earns 9. 00%, The first deposit is made next year. How much will be in the account 36. 00 years from today?

Derek will deposit $1,202. 00 per year for 22. 00 years into an account that earns 13. 00%, The first deposit is made next year. He has $11,573. 00 in his account today. How much will be in the account 50. 00 years from today?

Answers

Scenario 1: the account will have approximately $331,135.57 in it 36 years from today. Scenario 2: the account will have approximately $3,872,299.41 in it 50 years from today.

How to determine how much deposit $1,570. 00 per year for 21. 00 years into an account that earns 9. 00%

To calculate the future value of the account in both scenarios, we can use the formula for compound interest:

Future Value = Present Value * (1 + Interest Rate)^Number of Periods

Let's calculate the future value in each case:

Scenario 1:

Derek will deposit $1,570.00 per year for 21.00 years into an account that earns 9.00%. The first deposit is made next year. We need to calculate the future value after 36.00 years.

Given:

Annual deposit = $1,570.00

Interest rate = 9.00%

Number of years = 36.00

Number of deposits = 21.00

First, let's calculate the total amount of deposits made over the 36-year period:

Total deposits = Annual deposit * Number of deposits = $1,570.00 * 21.00 = $32,970.00

Next, let's calculate the future value of the account using the compound interest formula:

Future Value = Total deposits * (1 + Interest rate)^Number of years = $32,970.00 * (1 + 0.09)^36 ≈ $331,135.57

Therefore, the account will have approximately $331,135.57 in it 36 years from today.

Scenario 2:

Derek will deposit $1,202.00 per year for 22.00 years into an account that earns 13.00%. The first deposit is made next year. He currently has $11,573.00 in his account. We need to calculate the future value after 50.00 years.

Given:

Annual deposit = $1,202.00

Interest rate = 13.00%

Number of years = 50.00

Current account balance = $11,573.00

First, let's calculate the total amount of deposits made over the 50-year period:

Total deposits = Annual deposit * Number of deposits = $1,202.00 * 22.00 = $26,444.00

Next, let's calculate the future value of the account using the compound interest formula:

Future Value = Current account balance + Total deposits * (1 + Interest rate)^Number of years = $11,573.00 + $26,444.00 * (1 + 0.13)^50 ≈ $3,872,299.41

Therefore, the account will have approximately $3,872,299.41 in it 50 years from today.

Learn more about Present Value at https://brainly.com/question/20813161

#SPJ1

A performance evaluation system can create a conflict of interest between what is best for a manager and best for the organization and its owners, which is called

Answers

A performance evaluation system can create a conflict of interest between what is best for a manager and best for the organization and its owners, which is called an agency problem.

An agency problem arises when there is a conflict of interest between the goals and objectives of the principal (the organization and its owners) and the agent (the manager). The principal wants the agent to act in their best interest, but the agent may have their own personal interests and may not always act in the best interest of the principal. This can lead to a conflict of interest and can have a negative impact on the performance of the organization. To minimize the potential for an agency problem, it is important to have clear and effective communication, alignment of incentives, and proper oversight and accountability.

Learn more about agency problem at: https://brainly.com/question/8797247

#SPJ11

The cost of equity using the discounted cash flow (or dividend growth) approach: whak is Johtson's eost of MRernat thepity? 15.5506 11.525s 12.10% 14.404 Eatimating growth rates In general, ehere are three avalable methods fo generate riach an estimate: - Carry forward a historical realized gnowth rate, and apple it ta the duture. Suppoce 3 oh 20n is currenty entrisuting 45 te of es eam Je form of cash didensc. If kat a so hataricaly generated an ave wge returd dan equity (rcey of 12\%. Jonnsor's estimated growth rate a The cost of raising capital through retained carnings is the cost of rasing cagital threugh issung fotw commant stowik. The cast of equity using the CAPM approach capital asset pricing medel (CAPM) appeodch, DHanico's cost of equty is The cost of equity using the bond yleld plus risk premitam approach The Lincoln Company is clasely heid and, therefore, cannot generate reliabie inputs wrh which to ese the Cash meihod for esti-sting a companp' cost of internal equity. Lintoln's bonds yield 10.28%, and the frm's analysts estimate that the finw's fak premium on its stock aver ths bend a 3.554k. Based on the band-yield-plus-risk-premium approsch, Lincoin's cost of internal eoulty int 15.21× 13.83% 17.2946 16.60% My Home 4. The cost of retained earnings capital asset oricing model (CAPM) approach, D'Amico's cost of equity is −10.42848= The cast of equity using the CAPM approach College Success Tips Career Success Tips

Answers

The cost of equity for Johtson using the discounted cash flow (DCF) approach is 12.10%.

The cost of equity is the return that an investor expects to receive for investing in a company's stock. The DCF approach is one of the methods used to estimate the cost of equity. In this approach, the cost of equity is calculated by discounting the expected future cash flows from the company to their present value and dividing it by the current market price of the stock.

However, the information provided in the question seems to be incomplete and confusing, making it difficult to determine the exact calculation steps or the reliability of the given figures. It mentions different growth rates, historical returns, and other variables without clear context or consistency.

To accurately calculate the cost of equity using the DCF approach, one would need reliable and consistent data on the company's expected future cash flows, growth rates, and risk factors. Without more information, it is not possible to provide a precise calculation or interpretation of the cost of equity for Johtson.

Learn more about cost of equity

brainly.com/question/23968382

#SPJ11

Because he mistakenly believes that older workers are not as motivated to work hard as younger workers, a factory foreman is especially vigilant for signs of laziness among his senior employees. His supervision strategy of seeking out evidence to support his belief that older workers are lazy best illustrates

Answers

The factory foreman's strategy for seeking out evidence to support his belief that older workers are lazy best illustrates confirmation bias.

What is confirmation bias?

Confirmation bias is a type of emotional bias where a person seeks out only information that confirms to previously held beliefs. The factory foreman is only seeking for evidence that the older workers are lazy. Thus, he is displaying confirmation bias.

Confirmation bias can be resolved by actively seeking information that does not go in line with previously held beliefs.

To learn more about emotional bias, please check: https://brainly.com/question/13984244

course hero consider the following limit-order book for a share of stock. the last trade in the stock occurred at a price of $50.

Answers

The last trade in the stock occurred at a price of $50.

This information indicates that the most recent transaction involving the share of stock took place at a price of $50. The price at which the stock was last traded provides a reference point for assessing the current market conditions and evaluating subsequent trading activities.

A limit-order book is a record of buy and sell orders for a stock, showing the prices at which traders are willing to buy or sell shares. In this case, the last trade in the stock occurred at a price of $50. The limit-order book would display the current bids (prices buyers are willing to pay) and asks (prices sellers are asking) for the stock.

It helps investors and traders understand the supply and demand dynamics in the market for that particular stock. By analyzing the limit-order book, traders can make informed decisions about when to buy or sell shares based on the available orders and market conditions.

learn more about "stock ":- https://brainly.com/question/26128641

#SPJ11

Mr. Tuck and Ms. Under organized a new business as an LLC in which they own equal interests. The new business generated a $6,000 operating loss for the year. Required: a. If Mr. Tuck's marginal tax rate before consideration of the LLC loss is 35 percent, compute his tax savings from the first-year LLC loss. Assume the basis, excess business loss limitations, and other loss limitations do not apply. Tax savings Grant and Marvin organized a new business as a corporation in which they own equal interests. The new business generated a $65,000 operating loss for the year. Required: a. Assume the corporation expects to generate $500,000 of income next year and has a 21 percent tax rate. Calculate the net present value of the future tax savings associated with the current year operating loss, using a 4 percent discount rate. (Do not round intermediate computations. Round your final answer to the nearest whole dollar amount. ) NPV of future tax savings b. Now assume that the corporation makes an election under Subchapter S to be treated as a passthrough entity. If Grant's marginal tax rate is 35 percent and Marvin's marginal tax rate is 37 percent, calculate the tax savings associated with the current year operating loss. Assume the basis and excess business loss limitations do not apply. Current year tax savings

Answers

a. Therefore, Mr. Tuck's tax savings from the first-year LLC business loss are $2,100.

b. Therefore, the net present value of the future tax savings associated with the current year operating loss is $13,173.

c. Therefore, the tax savings associated with the current year operating loss are $46,800.

a. Mr. Tuck's tax savings from the first-year LLC loss can be calculated as follows:

Tax savings = Operating loss x Marginal tax rate

Tax savings = $6,000 x 35% = $2,100

b. To calculate the net present value of the future tax savings associated with the current year operating loss, we need to first calculate the future tax savings. The corporation can use the operating loss to offset future taxable income, reducing its tax liability. The future tax savings can be calculated as follows:

Future tax savings = Operating loss x Future tax rate

Future tax savings = $65,000 x 21% = $13,650

Next, we need to calculate the present value of these future tax savings using a 4% discount rate. We can use the present value formula to calculate this:

PV = FV \(/ (1 + r)n\)

Where PV is the present value, FV is the future value, r is the discount rate, and n is the number of periods.

In this case, n is 1 (since the future tax savings will be received next year), and r is 4%. Therefore, we can calculate the present value as follows:

PV = \($13,650 / (1 + 0.04)^1\)

PV = $13,173.08

c. If the corporation makes an election under Subchapter S to be treated as a passthrough entity, the operating loss will flow through to the shareholders and can be used to offset their taxable income. The tax savings associated with the current year operating loss can be calculated as follows:

Tax savings = Operating loss x Marginal tax rate

Tax savings = $65,000 x 35% (for Grant) + $65,000 x 37% (for Marvin)

Tax savings = $22,750 + $24,050

Tax savings = $46,800

Learn more about business Visit: brainly.com/question/26106218

#SPJ4

Match the following

Match the following

Answers

Answer:

2,3,1,5,4,6

Explanation:

numbers go in box

2,3,1,5,4,6 I believe

Sarah transferred $450.00 from her savings account to her checking account. She'll use the check register to record her transaction. What will be her new balance? An account statement has a balance of 250 dollars and 5 cents.

Answers

Answer:

700.05

Explanation:

Right answer on edge, you're welcome :))

Her account will now have a balance of $700.05.

What is financial transaction?

An agreement or communication between a buyer and a seller to trade products, services, or assets in exchange for money is a financial transaction. Any transaction involves a shift in the financial situation of two or more entities, whether they be people or businesses. Every financial transaction involves at least one financial asset, most frequently money or another pricey thing like gold or silver.

Financial transactions come in a wide variety of forms. The most frequent kind, purchases, take place when a consumer is sold a thing, service, or other commodity in exchange for money. The majority of purchases are made with cash, which can be physical money, debit cards, or checks. The second primary method of payment is credit, which allows for instant access to money in exchange for future payback.

Learn more about financial transaction, from:

brainly.com/question/29482749

#SPJ5

Hertz leases cars to its customers while E*Trade makes stock transaction for its customers. These businesses are _____ organizations. a. utility b. service c. manufacturing d. capacity

Answers

Answer:

B. Service

Explanation:

A service organization can be defined as an assembly of people who are saddled with the responsibility of providing customer-oriented services rather than just making profit.

In this scenario, Hertz leases cars to its customers while E*Trade makes stock transaction for its customers. These businesses are service organizations.

Basically, the aims and objectives of a service organization is simply to effectively and efficiently meet the needs or requirements of its customers. Thus, in order to successfully achieve this goal, this type of business will always put the need of its customers first before any other thing.

Other Questions
the national vaccine advisory committee 2013 standards for adult immunization practice and the 2016 international pharmaceutical federation global report identify pharmacists as: Convert 3.6 g/cm to lb/in. 4x+3(2x-1)-4xPls help ben accelerates a 100kg barbell at 1m/s2, sean accelerates a 90kg barbell at 2m/s2, which athlete produced more force? The molar heats of fusion and vaporization for water are 6. 02 kJ/mol and 40. 6 kJ/mol, respectively, and the specific heat capacity of liquid water is 4. 18 J/g C. What quantity of heat energy is required to melt 34. 3 g of ice at 0 C? Heat = kJ What quantity of heat is required to vaporize 43. 3 g of liquid water at 100. C? Heat = kJ What quantity of heat is required to warm 55. 1 g of liquid water from 0 C to 100. C? Heat = kJ The values of p from {1, 2, 3, 4, 5, 6, 7, 8, 9} that make 4p p < 13 true are:The values of p from the set that make 4p p > 13 true are: The two coordinates below will take you to two different kinds ofdeserts. What are the names of these deserts, what types are theyand how do they differ? Briefly explain why these regions arearid. What is the probability that the mean overall physical activity level of the sample is between 300 and 310 cpm? P(300310) nothing Jasmine is conducting an experiment in which she manipulates the amount of food she gives her siamese fighting fish. She ensures that the size of the fish tank is identical for each fish, and that fish are assigned into groups randomly. What aspect of this experiment cannot be determined from this description?. a nurse is preparing to test the function of cranial nerve xi. which action does the nurse take to test this nerve? Which of the following is not a part of the communication model Group of answer choices Sender All answers are correct Channel Message While your answering dis question.... pls tell me why u r so good at math.... And don't just say because I am. Brainiest to the top answer The text is an excerpt from President Harry Truman's "Truman Doctrine" address before a joint session of Congress in 1947.It is necessary only to glance at a map to realize that the survival and integrity of the Greek nation are of grave importance in a much wider situation. If Greece should fall under the control of an armed minority, the effect upon its neighbor, Turkey, would be immediate and serious. Confusion and disorder might well spread throughout the entire Middle East. Moreover, the disappearance of Greece as an independent state would have a profound effect upon those countries in Europe whose peoples are struggling against great difficulties to maintain their freedoms and their independence while they repair the damages of war.How does this passage from the Truman Doctrine speech illustrate the Domino Theory? A student wants to know if the effect of gravity is the same on all objects. She follows these steps: Drop a 5-gram ball, a 10-gram ball, and a 12-gram ball from a height of 10 meters. Record how long it takes for each object to hit the ground.?Which step should be next? (1 point)Drop the balls from a different height.Choose new balls.Measure the mass of the balls again.Perform a second trial. HELP HELP HELPJust 5 quick algebra 1 questions for 100 points! Create an enterprise where you use and show the differentelements of operation management, where you put on practice thoseelements. Use your creativity. rear adm. kathleen m. creighton will be assigned as director, information warfare integration, n2/n6f, office of the chief of naval operations, washington, d.c. creighton is serving as navy cyber security division director, office of the chief of naval operations, washington, d.c. What is meant by 'militant medievalism' and how is Norse cultureused to gender beer as masculine? 17. What is the 123rd term of this arithmeticsequence?-6.-1.4,9,14,...F. 604G. 609H. 616J. 621 What is required for a planet or moon to have planet-wide convection cycles?