Roberta's maximum percentage of taxable social security benefits when her modified adjusted gross income (magi) is $30,426 is 10%.
What is social security?An independent department of the U.S. federal government called the Social Security Administration (SSA) is in charge of managing Social Security, a social insurance program that provides retirement, disability, and survivor benefits.
Most workers must pay Social Security taxes on their income in order to be eligible for most of these benefits; the claimant's benefits are determined by the wage earner's contributions. Otherwise, benefits like Supplemental Security Income (SSI) are distributed in accordance with need.
The Social Security Act of 1935 created the Social Security Administration, which is outlined in 42 U.S.C. 901 of the United States Code (49 Stat. 635). The "Social Security Board" was established in 1935, and in 1946 it adopted its current name. Kilolo Kijakazi serves as its acting leader at the moment.
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prater incorporated enters into an exchange in which it gives up its warehouse on 10 acres of land and receives a tract of land. a summary of the exchange is as follows: transferred fmv original basis accumulated depreciation warehouse $ 300,000 $ 225,000 $ 45,000 land 50,000 50,000 mortgage on warehouse 30,000 cash 20,000 20,000 assets received fmv land $ 340,000 what are prater's realized and recognized gain on the exchange and its basis in the assets it received in the exchange?
Prater's realized and recognized gain on the exchange is $20,000 and its basis in the assets received in the exchange is $340,000.. This is calculated by subtracting the FMV of the assets transferred ($380,000) from the FMV of the assets received ($340,000). Prater's recognized gain is also $20,000.
This is because the FMV of the assets received ($340,000) is greater than the original basis of the assets transferred ($225,000). Prater's basis in the assets it received in the exchange is $340,000 (the FMV of the assets received). This is calculated by adding the cash ($20,000) to the FMV of the land received ($320,000).
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on july 1, atlantic cruise lines issues a $200,000, eight-month, 6% note. interest is payable at maturity. what is the amount of interest expense that the company would record in a year-end adjusting entry on december 31?
Maturity date = July 1 + 8 months = March 1
Total interest incured on maturity = 200,000(0.0625) 8/12 = $8,333.33
Number of months as at December 31 = 6 months
Therefore, the amount of interest expense that the company would record in a year-end adjustment on december 31 is given by:
Interest expense = 8,333.33/8 * 6= $ 6,250.
What is Interest expense?An interest expense is the cost incurred by an entity for borrowed funds. Interest expense is a non-operating expense shown on the income statement. It represents interest payable on any borrowings—bonds, loans, convertible debt or lines of credit. It is essentially calculated as the interest rate times the outstanding principal amount of the debt. Interest expense on the income statement represents interest accrued during the period covered by the financial statements, and not the amount of interest paid over that period. While interest expense is tax-deductible for companies, in an individual's case, it depends on their jurisdiction and also on the loan's purpose.For most people, mortgage interest is the single-biggest category of interest expense over their lifetimes as interest can total tens of thousands of dollars over the life of a mortgage as illustrated by online calculators.To learn more about mortgage refer to:
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a fisherman on the island of fiji manages to feed his family and provide the basic necessities for them. by selling fish in the local market, he also is able to earn cash that allows him to buy modern cooking implements and utensils for his wife. this fisherman can be said to have achieved:
A fisherman on the island of Fiji manages to feed his circle of relatives and offers simple requirements for them. via selling fish inside the nearby marketplace, he also is capable of earning cash that allows him to buy modern-day cooking implements and utensils for his spouse. This fisherman can be stated to have completed: subsistence affluence.
Profits are the income generated through an enterprise. they're derived by means of subtracting the price of goods offered, working expenses, and taxes from revenue. The generation of earnings is a key riding force in the back of the formation and subsequent operation of a business. income can then be used to pay dividends to shareholders.
Profits and income are regularly used interchangeably, however, they may be exceptional. standard, those terms are usually differentiated by means of the adjectives that precede them. for instance, internet income, or gross earnings. The time period profits is the maximum normally used while discussing the bottom line of a corporation's earnings declaration. income is the amount of money you make from doing a task. you may be plenty extra enthusiastic about babysitting whilst you study your income could be extra than beneficiant.
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Fill in the missing values in the following table, selecting the answers closest to the values you calculate.
Year
Quantity of Money
Velocity of Money
Price Level
Quantity of Output
Nominal GDP
(Dollars)
(Dollars)
(Cell phones)
(Dollars)
2017 200 ??
5.00 400 ?
2018 202 10 ?? 400 ??
The money supply grew at a rate of (.5%, 1%, 1.25%, 101%) from 2017 to 2018. Since cell phone output did not change from 2017 to 2018 and the velocity of money (increased, decreased, remained the same), the change in the money supply was reflected (partially, entirely) in changes in the price level. The inflation rate from 2017 to 2018 was (.5%,1%,1.25%,101%).
The velocity of money in 2017 is 10.
The nominal GDP in 2017 is $2000.
The price level in 2018 is $5.05.
The nominal GDP is $2020.
The money supply grew at a rate of 1% from 2017 to 2018. Since cell phone output did not change from 2017 to 2018 and the velocity of money remained the same, the change in the money supply was reflected entirely in changes in the price level. The inflation rate from 2017 to 2018 was 1%.
What is the nominal GDP and the velocity of money?Nominal GDP is the total value of goods and services produced by a country using current year prices. Nominal GDP is the product of the price level and the quantity of output.
Nominal GDP = price x quantity of output
Nominal GDP in 2017 = $5 x 400 = $2000
Velocity measures how fast money changes hands in the economy. According to the quantity theory of money, the product of velocity and the quantity of money is equal to nominal GDP.
Velocity x quantity of money = price level x quantity of output
Velocity x quantity of money = nominal GDP
Velocity = nominal GDP / quantity of money
Velocity in 2017 = $2000 / $200 = 10
Changes in price levels is used to measure the rate of inflation in the economy.
Price level = (Velocity x quantity of money) / quantity of output
Price level in 2018 = (202 x 10) / 400 = 5.05
Nominal GDP in 2018 = 5.05 x 400 = 2020
Inflation rate increase from 2017 to 2018 = (price level in 2018 / price level in 2017) - 1
Inflation rate increase from 2017 to 2018 = (5.05 / 5) - 1 = 0.01 = 1%
Increase in money supply from 2017 to 2018 = (quantity of money in 2018 / quantity of money in 2017) - 1
Increase in money supply from 2017 to 2018 = (202 / 200) - 1 = 0.01 = 1%
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modern technology has made it possible for individuals who work in traditionally urban jobs, such as stockbrokers, to live in rural areas. what concept is this an example of?
This illustration demonstrates the idea of counterurbanization, which is the movement of people form urban to rural areas.
Which four migration types are there?Moving within just a state, nation, or continent is referred to as internal migration. migrating to a new state, nation, or continent is known as external migration. Influx of refugees is the acts of relocating to another country. Immigrating to another country.
Which migration examples come to mind?For instance, salmon are produced in rivers and migrate to the sea to reproduce and develop.They return to the rivers where they were born to spawn after spending five to 10 years in the ocean. Gecarcoidea natalis red crabs from Christmas Island migrate for comparable reasons.
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what is the quantity exchanged when the price floor is $0.75 in the market for public transportation?
In the trade for public transportation, once the price floor is $0.75, there is no quantity exchanged.
What does the word "market" signify in economics?A market is any framework that enables sellers and purchasers to trade any kind of commodities, services, or information, according to mainstream economic theory. A transaction is any exchange of goods, whether it involves payment or not.
Briefing:The requisite price is the floor price.
In the above table Equilibrium price is $1.25where quantity demanded = quantity supplied = 86,000.
Price floor =$0.75 , where quantity demanded = 100,000
Quantity supplied=65,000.
At the ceiling price($0.75) , which is below equilibrium price, quantity demanded > quantity supplied.
Surplus arises when quantity supplied > quantity demanded.
So at price floor of $ 0.75 there will be no surplus. Rather there will be shortage.
Thus, this limit price will continue to be useless.
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How many francs is the tariff (“protecting duty”) that is added to a product that ends with a product that is priced 40 francs in paris?
Answer:
25
Explanation:
An upward shift in the consumption function, other things being equal, could be caused by households:
a. becoming optimistic about the state of the economy.
b. becoming pessimistic about the state of the economy.
c. expecting future income and wealth to decline.
d. None of the above are correct.
Answer: a. becoming optimistic about the state of economy
Explanation: In the example given, being upbeat about the state of the economy suggests that it is growing while other factors remain constant. In this scenario, the GDP will increase along with the income, salaries, employment, and investment growth, which will also cause the consumption function to shift upward.
in year 0, longworth partnership purchased a machine for $40,000 to use in its business. in year 3, longworth sold the machine for $35,000. between the date of the purchase and the date of the sale, longworth depreciated the machine by $22,000. note: loss amounts should be indicated by a minus sign. leave no answer blank. enter zero if applicable. a. what are the amount and character of the gain or loss longworth will recognize on the sale?
Adjusted basis=Purchase price−Accumulated depreciation=$40000-$22000=$18000.
What is purchase price?Assume, for example, an investor buys 100 shares of Ford common stock on three different dates over a five-year period, including 100 shares purchased at a market price of $40, $60 and $80 per share. To determine the cost basis of the purchases, the investor needs to calculate the weighted average cost, which is the total dollar amount of the purchases divided by the number of shares purchased.At 100 shares each, the dollar amounts of Ford stock purchases are $4,000, $6,000, and $8,000, or a total of $18,000, and the purchase total is divided by 300 shares to equal $60 per share. If the investor adds to the stock position, they can calculate a new weighted average price by adding the dollar amount of the new purchases and the additional shares to the calculation.To learn more about shares refer to:
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you open a new window and pull that up. you put $2,000 into an account with apr of 4%. which compound interval will yield the most money?
The math for compound interest is simple: Principal x interest = new balance. Which is $4,871.
What is compound interval?Any interval longer than an octave is referred to as a compound interval. Nineteenth, tenth, eleventh, twelfth, and so on are the names of compound intervals. They can be compared to simple intervals, which are their counterparts an octave below. Interest is added to your account more frequently than once a year in the real world. For instance, a checking account with 5% yearly interest may generate interest daily. As a result, interest is deposited into your account at a rate of 1/365 of 5% per day. A compound interval is any interval that is greater than an octave (8va); simple intervals are intervals that are less than an octave. Any compound interval, which most often occurs in musical situations, can be converted into a simple interval.
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in the exploration stage of a sales relationship, while responding to a complaint, after the customer tells his or her story and the facts are determined, what would be the next step for the salesperson?
In the exploration stage of a sales relationship, while responding to a complaint, after the customer tells his or her story and the facts are determined, the next step for the salesperson is to offer a solution
What is a salesperson?Generally, During the exploration stage, you will be gathering information on the capabilities, interests, and requirements of families and parents living in your neighborhood.
Your program may do an analysis of the many available curriculums. During this phase of the process, your program will also assemble the team that will be responsible for directing and carrying out the implementation.
It is the job of the salesman to welcome clients, assist them in locating things they are looking for inside the shop, and ring up their purchases. To be effective as a salesman you must have strong communication abilities. A successful salesman may achieve their sales goals while maintaining a positive attitude and being helpful to consumers.
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Economists involved in discussions of healthcare, climate change, immigration and other topics have no consensus in how to address them because
a. they revolve around discussions of equality versus environment.
b. there are too many correct outcomes and economists are not good at making decisions.
c.policies to address these issues involve trade offs for society and influence the efficiency of markets.
d.economists have been studying these issues for many years.
Economists involved in discussions about healthcare, climate change, immigration, and other issues address them because policies to address these issues involve trade-offs for society and affect market efficiency. Hence option C is correct .
What is Market ?In economics, a market is defined as a collection of systems, institutions, processes, social relationships, or infrastructures that allow parties to exchange goods and services.
Even though parties can exchange goods and services for cash, the vast majority of markets rely on vendors offering their goods or services—including labor—to customers in exchange for money. In this sense, a market is the system that determines the prices of goods and services. Markets facilitate trade by distributing and allocating resources within a community.
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upward communication gives employees a chance to air grievances, report progress and provide feedback on management initiatives. a. true b. false
In upward communication employees can communicate directly with upper management to provide feedback, complaints, or suggestions about the company's day-to-day operations, so the given statement is true.
What is upward communication?Meetings at work are an example of upward communication because they allow upper management and lower-level employees to interact in person.Upward communication is the process by which employees communicate directly with upper management in order to provide feedback, share ideas, and raise concerns about their day-to-day work. Historically, downward communication was regarded as the most important type of workplace communication.Upward communication keeps managers informed about how their employees feel about their jobs, policies and procedures, and the company in general. It includes methods such as employee feedback, which aids in the development of mutual trust and assists the organization in determining, implementing, or deciding on new policies.The communication methods available to lower-level employees can impede upward communication.To learn more about upward communication refer to :
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in december 1994, a man in ohio decided to deposit all of the 8 million pennies he had been saving for nearly 65 years. (his deposit weighed over 48,000 pounds!) with a reserve requirement of 13 percent, how did his deposit change the lending capacity of
His bank's loan capacity changed by $76,000, and the entire banking system's lending capacity changed by $1,600,000.
How does a lender assess your ability?
Capacity. Lenders need to know if you can afford your payments comfortably. Your ability to repay outstanding debt is likely to be best predicted by your income and employment history. Considerations may include income type, level, and stability.
What are the different kinds of lending?
Personal (or "consumer") lending and commercial lending are the two main categories into which lending can be generally divided. Although they are handled differently, several loan kinds are accessible for both personal and commercial financing.
Briefing:
His bank's adjusted lending capability is calculated as follows: (1 - reserve requirement) times the amount deposited in dollars
(1 - 0.05) x (8 million pence x 0.01)
0.95 x 80,000 = $76,000
Supply and aggregate in dollars / bank reserves equals a change with in financial system in order to lend money.
80,000 / 0.05 = $1,600,000
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The hands-off view of the classical school rests on which of the following two simple propositions about markets? a. Demand creates its own supply and markets are basically competitive. b. Industrial policy is inevitable and all prices are flexible. c. Market failure occurs and prices are rigid. d. Wages are sticky downward and market failure is inevitable. e. Markets are basically competitive and prices are flexible.
The hands-off view of the classical school rests on Markets are basically competitive and prices are flexible.
Hence, option E is correct.
How does this occur?
A lClassical economic theory was created not long after western capitalism first emerged. It alludes to the predominant school of economic theory in the eighteenth and nineteenth century. Classical economic theory aided nations in their transition from monarchical to self-regulatory capitalistic democracies.
All marketing efforts that are conducted the conventional method, away from the internet, are referred to as traditional marketing (or classical marketing). It makes use of conventional media, particularly broadcasting, including television, radio, print newspapers and magazines, telephony, and billboards for outdoor advertising.
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a country has domestic investment of $200 billion. its citizens purchase $600 of foreign assets and foreign citizens purchase $300 of its assets. what is national saving?
a country has domestic investment of $200 billion. $500 billion is national saving.
What is domestic investment?Gross private domestic investment is the measure of physical investment used in computing GDP in the measurement of nations' economic activity. This is an important component of GDP because it provides an indicator of the future productive capacity of the economy. It includes replacement purchases plus net additions to capital assets plus investments in inventories. From 2002 to 2011 it amounted to 14.9% of GDP, and from 1945 to 2011 was 15.7% of GDP (BEA, USDC, 2013). Net investment is gross investment minus depreciation. Of the four categories of GDP (investment, consumption, net exports, and government spending on goods and services) it is by far the least stable.
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paradox theory states the key paradox in management is that there is no final optimal status for an organization. true false
True, paradox theory states the key paradox in management is that there is no final optimal status for an organization.
What is organizational behavior?
Organizational behavior is an area of study that looks at how individuals, groups and structures interact within an organization. It examines topics such as employee motivation, leadership, communication, decision-making, job satisfaction and job design. It also looks at how organisations can use these factors to improve performance, increase job satisfaction and create a positive working environment. OB seeks to understand and predict how individuals, teams, and organizations will behave in different situations. It also looks at how organizations can be managed to foster better performance and productivity.
The paradox theory of management states that organizations cannot achieve a final optimal status, as there is always a need to continually adapt to changes in the environment. The theory suggests that organizations are in a constant state of change, with each change leading to a new set of challenges and opportunities. Organizations must be able to recognize and respond to these changes in order to remain competitive and successful.
Therefore, true is the correct answer.
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true or false: cobra protects employees and their family members with preexisting medical conditions from health coverage discrimination.
cobra protects employees and their family members with pre-existing medical conditions from health coverage discrimination- false.
what are pre-existing medical conditions?a medical condition you had before the start date of the new health insurance, such as diabetes, cancer, or asthma. Insurance providers cannot charge you more or refuse to pay for treatment for a pre-existing ailment.
A pre-existing condition is a disease or injury that existed before enrolling in a health insurance plan. Pre-existing conditions can range from pregnancy to conditions like cancer, diabetes, lupus, depression, acne, and just about any other illness you can think of.
Prior to 2014, medical underwriting was utilized by individual market health insurers (i.e., insurance that consumers purchase on their own rather than through an employer). That implied that if an applicant had a pre-existing ailment, they may reject the application outright, impose higher charges, or impose a waiting time.
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alexander's athletic apparel has 1,100 shares of 5%, $100 par value preferred stock the company issued at the beginning of 2023. all remaining shares are common stock. the company was not able to pay dividends in 2023, but plans to pay dividends of $13,000 in 2024. required: 1. & 2. how much of the $13,000 dividend will be paid to preferred stockholders and how much will be paid to common stockholders in 2024, assuming the preferred stock is cumulative? what if the preferred stock were noncumulative?
a) If the preferred stock is cumulative, the dividends for 2024 paid to preferred and common stockholders are:
Preferred - $11,000Common - $2,000.b) If the preferred stock is noncumulative, the dividends for 2024 paid to preferred and common stockholders are:
Preferred - $5,500Common - $7,500.What are cumulative and noncumulative preferred dividends?Cumulative preferred stock attracts cumulative dividends. Any year when dividends are not declared, the dividends payable account records a liability that must be paid in any year when sufficient dividends are declared.
For noncumulative preferred stock, dividends are not accumulated or paid to preferred stockholders when dividends are not declared.
1,100 shares of 5% Preferred stock at $100 par value = $110,000 (1,100 x $100)
Dividends declared in 2024 = $13,000
Annual Preferred stock dividends = $5,500 ($110,000 x 5%)
Dividends for preferred stockholders in 2024 if preferred stock is cumulative = $11,000 ($5,500 x 2)
Common stock dividends = $2,000 ($13,000 - $11,000)
Dividends for preferred stockholders in 2024 if preferred stock is noncumulative = $5,500
Common stock dividends = $7,500 ($13,000 - $5,500)
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u.s. corporation wright air conditions borrows funds to build a factory in the u.s. and a factory in mexico. borrowing for factories in which location(s) is included in the u.s. demand for loanable funds?
Location(s) is included in the U.S. demand for loanable funds.
What is fund?Funds are pools of capital that are managed by financial professionals in order to achieve investment goals. Funds can be invested in different asset classes such as stocks, bonds, commodities and money market instruments. Funds are typically used by investors to diversify their portfolio, reduce their risk and increase their potential return on investment. Funds typically have a minimum investment amount and may charge fees for administration and/or management. Funds may also be tax-advantaged, providing investors with tax benefits for investing in them. Funds are a popular investment choice for many investors, as they provide professional management and diversification with a relatively low cost and low minimum investment amount.
The U.S. demand for loanable funds includes borrowing for factories in both the U.S. and Mexico. When a U.S. corporation borrows funds to build a factory in both countries, the U.S. demand for loanable funds increases as more money is borrowed. As the corporation borrows funds in both countries, the U.S. demand for loanable funds increases due to the need for additional funds to build the factories in both countries. As the U.S. demand for loanable funds increases, loanable funds become more expensive as lenders increase the interest rates to cover the increased demand for funds.
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Which of the following is a voluntary lien?
A. Mortgage lien
B. Estate tax lien
C. Real estate tax lien
D. Judgment lien
A is the best choice because the mortgage lien is a voluntary lien. The primary lien on the majority of properties, your mortgage, is actually extremely advantageous.
What exactly is a mortgage lien on real estate?A lien is a legal right that grants an individual or organization a claim to a collateral asset until the debt is paid in full. If the obligation is not paid in full, the lien holder has the right to take the borrower's property. Even though this essay is mostly about houses, you might also have liens on your car or other things that you pay off over time.
In general, it is bad to have a lien on your house or other property. However, liens are present on the homes of a lot of people.
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if government purchases were to decrease by $300 billion or if taxes were increased by $300 billion, the equilibrium level of real gdp would decrease by
Answer: more than $300 billion.
Explanation:
Therefore, as per the multiplier effect, if the government's purchasing worth $ 300 billion were decreased, or taxes were increased by $300 billion, it will directly impact the equilibrium level of real GDP and would decrease by more than $300 billion.
given the following financials and a 365-day year, what is the cash-to-cash cycle? sales: $50,002 cost of goods sold: $42,068 beginning inventory: $1,051 ending inventory: $1,301 receivables: $6,493 payables: $11,293
Required 1 Required 2 Use the information above to compute the number of days in the cash conversion cycle for each year.
Cash: What Is It?Currency or coins are considered legal tender and can be used to pay for goods, settle debts, or exchange services. In some cases, the value of assets that can be quickly converted into cash is also included, as provided by a corporation.
Why does cash matter in accounting?Cash accounting is used by companies that only record transactions once money has actually changed hands. Until payment is received or paid, these companies won't report income or expenses. It doesn't matter if the goods and services have been delivered or if the invoice has been sent.
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harry is thinking about meeting connie. he writes a text message to connie, inviting her for a drink at the local bar. this is an example of
The procedure that Harry followed to meet connie is an example of - Encoding.
What is encoding?Encoding is the process of converting ideas into language. The message is transmitted by the encoder using a "medium" such a phone call, email, text message, in-person meeting, or other communication method.
In various domains, encoding might have different implications-
Encoding is the procedure used in computer technology to apply a certain code, such as letters, symbols, and numbers, to data in order to transform it into a comparable cipher.
Encoding in electronics is the conversion of analog signals into digital ones.
Example of encoding-
A youngster can encode a sound, for instance, if they hear the sound /t/ and then write the letter 't'.
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bsg - how can companies avoid significant exchange rate cost adjustments of shipping to latin america?
By transporting all of the product from a North American factory to Latin America, businesses can avoid large exchange rate cost changes for shipping there.
What are exchange rates?Simply put, the rate at which one currency can be exchanged for another is known as the exchange rate between two currencies. For instance, if the exchange rate between the U.S. dollar and the Japanese yen is 80, then 1 U.S. dollar will get you 80 Japanese yen, and it is obvious that it will cost 80 Japanese yen to buy 1 U.S. dollar.The rate of economic activity, the level of market interest rates, the gross domestic product, and the unemployment rate in each of the countries involved all have a role in determining the level of the exchange rate between any two currencies. In the global financial market, where banks and other financial institutions trade currencies round-the-clock based on their opinions on the aforementioned elements as well as their own financing requirements and investment objectives, exchange rates are set.Exchange rates are continually changing from day to day, and often even from minute to minute, due to the 24-hour nature of the world's currency exchanges. Changes can be subtle or rather spectacular.Changes in exchange rates have an impact on businesses in two ways: first, by altering the price of goods imported from other nations and, second, by altering how desirable their products are to customers abroad.Hence, By transporting all of the product from a North American factory to Latin America, businesses can avoid large exchange rate cost changes for shipping there.
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in solving a problem, a manager group of answer choices changes the situation in which the problem occurs. settles for less than ideal. selects the optimal response. eliminates the problem situation. chooses a satisfactory solution.
in solving a problem, a manager group of answer choices changes the situation in which the problem occurs- selects the optimal response.
what is optimal response?The reaction rate that optimises the reinforcement rate is what we refer to as the ideal response rate. R is the reinforcing rate. p(r; t, )t-1 = R(t, ). Numerous well-known learning theories have been developed as a result of the examination of reaction rates' significant influence on psychology. However, there is growing interest in interpreting response rates as a choice about how to space replies through time rather than as a general response to relationships or worth. Recent studies have demonstrated that both people and mice are capable of timing a single action to maximise reward. Here, we demonstrate how humans and rats approach the optimal reinforcement rate yet consistently react more quickly than they should. This is done using the well-known DRL timed challenge.
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cody organized, owns, and operates cypress tours in the simplest form of business organization. this is
Cody organized, owns, and operates cypress tours in the simplest form of business organization. this is a sole proprietorship
Who is a sole proprietor?A sole proprietor is a person who operates an unincorporated business by themselves. However, if a domestic limited liability company (LLC) is treated as a corporation and you are its only member, you are not regarded as the firm's sole owner.
A sole proprietorship, sometimes referred to as a sole trader or a proprietorship, is an unincorporated business with just one owner who is accountable for paying personal income tax on the organization's profits. Many single proprietors conduct their business using their own names because it is not mandatory to register a unique business or trade name.
A sole proprietorship is the most simple sort of business to start or end because there is no government regulation. Sole owners, consultants, and other independent contractors typically run these kinds of businesses. Most small businesses start out as sole proprietorships, expand, and eventually change to a corporation or limited liability entity.
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the recording, in the same accounting period, of the revenue from business activities and the expenses associated with earning that revenue is the accounting concept called:
Accrual accounting follows the matching principal, which states that revenues and expenses should be recorded in the same period. Accrual accounting is encouraged by International Financial Reporting Standards(IFRS) and Generally Accepted Accounting Principles (GAAP).
An price is an object requiring an outflow of cash, or any form of fortune in standard, to any other individual or group as fee for an item, carrier, or different category of prices. For a tenant, hire is an expense. for students or parents, tuition is an cost. buying food, apparel, fixtures, or an vehicle is often called an rate. An fee is a fee this is "paid" or "remitted", usually in exchange for some thing of value. something that seems to price a fantastic deal is "luxurious". some thing that appears to cost little is "less expensive". "costs of the desk" are charges for eating, refreshments, a banquet, and many others. In accounting, cost is any unique outflow of cash or other treasured property from a person or agency to every other person or organisation.
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a guaranteed residual multiple choice question. increases the present value of lease payments. can increase or decrease the present value of lease payments depending on the lease term. decreases the present value of lease payments. does not affect the present value of lease payments.
A guaranteed residual increases the present value of lease payments.
The guaranteed residual value is a commitment made by the lessee that the lessor will be able to sell the leased asset for a specific price at the conclusion of the lease. The present value of the future lease payments due by the lessee must take into account this commitment since it might result in a payment in the future.
The lessee has the option to guarantee or not guarantee the residual value. At times, the lessor and the lessee will agree to pay any shortfall in residual value that the lessor realizes at the conclusion of the lease period below a certain sum. That specified sum in this situation serves as the assured residual value.
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if the nominal interest rate is 10% and the inflation rate is expected to be about 4%, what is the approximate real interest rate?
If the real interest rate is yearly, then 10% and the anticipated rate of inflation is 4%,The nominal interest rate would be about.14% (10% + 4% = 14%).
What do you mean by interest?Your interests are indeed the things that you like to do and the things that you prefer to learn about. of curiosity. When something is interesting, it keeps your interest and piques your curiosity: There was not much of interest discussed.
What is an example of simple interest?Simple Interest (Innovative capabilities) is a way for figuring out how much interest will accrue on a specific principal sum of money at a certain rate of interest. For instance, if someone borrows Rs. 5000 at the a rate of Ten p.a. for 2 years, they will pay S.I. on the money borrowed for those two years.
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