macroeconomic policies that focus on credit and interest rates or controlling the money supply are called

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Answer 1

Monetary policy is the macroeconomic policy that focus on credit and interest rates or controlling the money supply

What is Monetary policy ?In order to ensure price stability and public confidence in the value and stability of the country's currency, the monetary authority of a country adopts a policy known as monetary policy. This policy aims to control either the interest rate payable for very short-term borrowing or the money supply.By altering interest rates or eliminating surplus reserves, monetary policy can increase the amount of money in circulation or decrease it. Fiscal policy, in contrast, focuses on taxation, government spending, and borrowing as tools for a government to control economic cycle phenomena like recessions.The best monetary policy may be created with the help of monetary economics. Monetary policy and fiscal policy are typically developed independently in modern nations.It is said that monetary policy is either expansionary or contractionary.

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the management of hamano corporation would like for you to analyze their repair costs, which are listed below: machine-hours repair costs april 2,140 $ 33,094 may 2,169 $ 33,112 june 2,126 $ 33,089 july 2,198 $ 33,112 august 2,111 $ 33,022 september 2,214 $ 33,176 october 2,137 $ 33,063 november 2,209 $ 33,149 management believes that repair cost is a mixed cost that depends on the number of machine-hours. using the least-squares regression method, the estimates of the variable and fixed components of repair cost would be closest to:

Answers

The corrective option is C = $1 per machine hour plus $30927 per month.

What is an example of variable cost?

Costs that change with the volume are called variable costs. Raw materials, piece-rate labor, production supplies, commissions, delivery costs, packaging supplies, and credit card fees are all examples of variable costs. The variable costs of production are referred to as the "Cost of Goods Sold" in some accounting statements.

Machine Hours Repair Cost April 2,146.0 33100 May 2,175.0 33118 Jun 2,132.0 33095 Jul 2,210.0 33118 Aug 2,117.0 33028 Sep 2,226.0 33182 Oct 2,143.0 33069 Nov 2,221.0 33155 Slope 1.0

What are fixed and variable costs?

In accounting, expenses that are constant over time regardless of the level of outputs are referred to as fixed costs. Expenses that respond directly and proportionally to shifts in the volume or level of business activity are referred to as variable costs.

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schmidt company borrows $10,000 from its bank and signs a 6-month note. interest, which is due quarterly, is specified in the note as 6%. the 6% interest rate is a(n)

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Schmidt company borrows $10,000 from its bank and signs a 6-month note. interest, which is due quarterly, is specified in the note as 6%. the 6% interest rate is a(n) annual, 12 month rate.

What will happen to the current if an accounts payable balance is paid off?

Liabilities overall On its balance statement, a business lists accounts payable as a current liability. The debts that it intends to pay off within a year are listed in this section. The balance of the account as well as the overall amount of the company's liabilities drop when it makes payments on its accounts payable.

On a company's balance sheet, accounts payable are listed. Given that it is money owing to creditors and appears on the balance sheet under current liabilities, accounts payable is a liability. Current liabilities are a company's short-term debts, usually lasting less than three months.

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which of the following unites a secondary group in the workplace? a.) a desire for personal understanding b.) a shared worldview c.) a common set of experiences d.) a professional objective

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I believe common experiences would be the most correct

when the interest rate parity equation does not hold and it is possible to earn profits without exchange-rate risk, there is said to be a(n) interest arbitrage opportunity.

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The interest rate parity equation does not hold, and it is possible to earn profits without exchange-rate risk, there is said to be a(n) interest arbitrage opportunity covered.

If the hobby fee parity courting does now no longer maintain true, then you may make a secure profit.  The scenario wherein IRP does now no longer maintain might permit for the usage of an arbitrage strategy.First, there can be variations in default danger and liquidity. Second, there are transactions fees which might also additionally save you returns from being precisely equal. Third, it does now no longer recollect exchange-fee danger.

The motives why hobby fee parity does not usually maintain are just like a number of the motives why shopping electricity parity does not usually maintain: economic belongings aren't equal in distinctive countries (a few investments are riskier than others and a danger top rate ought to be paid), there are authorities controls on.

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galvatron metals has a bond outstanding with a coupon rate of 5.8 percent and semiannual payments. the bond currently sells for $944 and matures in 20 years. the par value is $1,000 and the company's tax rate is 21 percent. what is the company's aftertax cost of debt?

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4.97% is the company's after-tax cost of debt for the par value is $1,000 and the company's tax rate is 21 percent.

the Rate formula is,

The NPER represents the time period.  

Given that,  

Present value = $944

par value  = $1,000

PMT = 1,000 × 5.8% ÷ 2 = $29

NPER = 20 years × 2 = 40 years

The formula is shown below:  

= Rate(NPER, PMT, -PV, par value, type)  

=Rate( 40,29,-944,1000,0.00)

The pretax cost of debt is 6.296%

After-Tax Cost of Debt = Pretax cost of debt × ( 1 - tax rate)

After-Tax Cost of Debt = 6.296% × ( 1 - 0.21)

After-Tax Cost of Debt = 4.97%

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annual investments are being made so that $20,000 will be accumulated at the end of 10 years. the interest rate on these investments is initially expected to be 4 percent compounded annually. after 4 years, the rate of interest is unexpectedly increased to 5 percent, so that payments for the remaining 6 years can be reduced. what amounts should be invested annually for the first 4 years and what sums for the last 6?

Answers

The total amount invested for the last 6 years is $9388.08

The accumulated amount will be $20000 at the end of 10 years

Interest rate = 4% compounded annually

Let x be the annual investment then,

Accumulated amount = x{ (1+r)^t - 1/r}

20000 = x{(1+4/100)^4-1/(4/100)

x = 20000*4/(100*{(1.04)^10-1}

x = 1665.82

For the first four years, the annual investment is $1665.82

After 4 years interest increases to 5%, So, let after 4 years the annual deposited amount be y

So, first we calculate the accumulated amount for the first 4 years

1665.82*{(1+4/100)^4-1}/(4/100)

(1665.82*100)/4*0.1698

= 7073.84

Now this, accumulated amount will act as principal for the 6 years

7073.84*(1+5/100)^6 + y{(1+5/100)^6-1}/(5/100) = 20000

y{(1.05)^6 - 1}/(5/100) = 20000 - 7073.84*(1.05)^6

= 10520.38

y = 10520.38/{(1.05)^6-1}*5/100

= (10520.38*5)/(100*0.3400)

= $1564.68

Total investment for 6 years =  1564.68*6 = $9388.08

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which procedure is an auditor most likely to use to detect a check outstanding at year-end that was not recorded as outstanding on the year-end bank reconciliation

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Utilizing the client's cash receipts and cash disbursements records, create a bank transfer timetable. The auditor creates a bank transfer schedule that details all deposits and withdrawals from a bank account, including intra-bank transfers.

A few days before and after the conclusion of a reporting period's withdrawal and deposit deadlines. This would aid in locating any checks that were unpaid at year's end but weren't noted as such on the year's end bank reconciliation. The right response is therefore option a.

Since the outstanding checks would not be shown on the cut-off bank statement or bank confirmation. Since bank deposit slips are intended to deposit checks and do not display issued or outstanding checks,

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a firm reports ebit of $100 million. the income statement shows depreciation of $40 million. if the tax rate is 35% and total capital expenditures and increases in working capital total $10 million, what is the free cash flow to the firm?

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The free cash flow to the firm (FCFF) is $65 million dollars.

FCFF = EBIT *  (1-rate of tax)  +Depreciation-Capital expenditure-Working capital changes

= $100*(1-35%)+$20-$10-$10

= $65+$20-$10-$10

65 million dollars

The amount of cash flow from operations available for distribution after depreciation, taxes, working capital, and investments is referred to as free cash flow to the firm (FCFF). FCFF measures a company's profitability after deducting all expenses and reinvestments. It is one of many benchmarks used to compare and analyze a company's financial health.

Free cash flow to the firm (FCFF) is the cash flow from operations available for distribution after depreciation, taxes, working capital, and investments are deducted.

The most important financial indicator of a company's stock value is arguably free cash flow.

A positive FCFF value indicates that the company still has cash after expenses.

A negative value indicates that the firm's revenue was insufficient to cover its costs and investment activities.

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personal wellness angela has been working for a local small business called personal wellness for the last three years. it is a retail business that sells sporting goods equipment. when she started to work there, she noticed several things that were possibly the cause of the business not doing as well as it hoped. angela has been thinking of starting her own small business because she feels she has learned much through working for personal wellness. angela's manager asked her to create a business plan for personal wellness. the manager hoped that this plan would put things into perspective to help the company do better. after creating the plan, angela suggested that personal wellness contact a group of senior and graduate students to provide management counseling for the company. angela wants to make sure that her leaving does not become the cause of the company going under. refer to personal wellness. when angela suggested that the company contact a group, what type of group was she referring to?

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Angela has been working for a local small business called personal wellness for three years, and when she suggested that the company contact a group, she was referring to government regulations.

A company is a legal entity that represents an association of people, whether natural, legal or a combination of the two, with a specific goal. Members of a company work together to achieve specific, stated goals.

Unlike a typical mission statement, the company purpose seeks to address the primary reason why the business does what it does.

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when new firms have an incentive to enter a competitive market, their entry will a. shift the market supply curve to the left. b. increase the price of the product. c. increase demand for the product. d. drive down profits of existing firms in the market.

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When new firms have an incentive to enter a competitive market, their entry will shift the market supply curve to the left. A competitive market is an economic word that refers to a marketplace with a large number of customers and sellers where no single buyer or vendor can influence the market.

Competitive markets have no entry barriers, a large number of customers and suppliers, and homogeneous products. Perfect competition, monopolistic competition, oligopoly, and monopoly are the four types of economic market structures. A competitive market is one with the greatest amount of competition feasible. It is also known as a perfectly competitive market because it has many buyers.

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State the reasons/reason for backward bending supply curve

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Answer:

It slopes from left to right. However, in labour markets, we can often witness a backward bending supply curve. This means after a certain point, higher wages can lead to a decline in labour supply. This occurs when higher wages encourage workers to work less and enjoy more leisure time.

Explanation:

However, the backwards-bending labour supply curve occurs when an even higher wage actually entices people to work less and consume more leisure or unpaid time. However, in labour markets, we can often witness a backward bending supply curve. This means after a certain point, higher wages can lead to a decline in labour supply. This occurs when higher wages encourage workers to work less and enjoy more leisure time.

an analyst comes across dates listed as strings in a dataset, for example december 10th, 2020. to convert the strings to a date/time data type, which function should the analyst use?

Answers

In order to convert the strings to a date/time data type, the analyst will use mdy() function. Hence, the correct choice of answer for this question is option (b)

Give a brief account on data type.

In programming, a data type is a categorization that describes the kind of value a variable possesses and the kinds of mathematical, relational, or logical operations that can be performed on it without producing an error. An integer is a data type that is used to categorize whole numbers, while a string is a data type that is used to classify text.

A grouping or collection of data items is known as a data type. One may define such a grouping for a variety of purposes, including similarity, practicality, or attention-getting. Understanding complicated terminology is frequently aided by good organization. The concept of a data type is explicitly included in almost all programming languages.

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The complete question is given below :

An analyst comes across dates listed as strings in a dataset, for example December 10th, 2020. To convert the strings to a date/time data type, which function should the analyst use?

A now()

B mdy()

C datetime()

D lubridate()

a company that manufactures brakes for cars has just released a line of all-terrain vehicles. using the same research and findings from the development of the atv brakes, the manufacturer is redesigning its car brakes. by sharing the research across the business units for both vehicles, the company is increasing company profitability through:

Answers

The manufacturer is redesigning its car brakes. by sharing the research across the business units for both vehicles, the company is increasing company profitability through economies of scope.

A manufacturer is a person or business that creates finished products from raw materials using a variety of tools, equipment, and processes, and then sells the products to consumers, wholesalers, distributors, retailers, or other manufacturers for the creation of more complicated products. The brakes that stop your car while you're driving come in two varieties: disc brakes and drum brakes. Anti-lock brakes and emergency brakes are also standard equipment in almost all vehicles. The sound of "metal on metal" (squeaking or screeching) is typically an immediate indication that your brakes need to be checked. When you apply the brakes, brake pads press either against the brake rotor or the brake drum to slow down and stop your car.

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which of the following are the primary sources of ethics requirements for tax practitioners? i. aicpa code of professional conduct ii. statements on standards for tax practice iii. circular no. 230 iv. aicpa bylaws

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The following are the primary sources of ethics requirements for tax practitioners:

i. aicpa code of professional conduct and iv. aicpa bylaws

What are ethics requirements for tax practitioners?

Tax ethics means the tax payer's ideal duties or responsibilities to pay taxes and is dependent on the relationship between the tax payer and the government. Tax ethics and tax evasion are often used interchangeably. Ethics for tax practitioners are five basic principles of ethics for tax practitioners. These are as follows:

Integrity,Objectivity,Professional competence and due care,Confidentiality, andProfessional behavior.

Therefore, three primary sources of ethics are the AICPA code and bylaws, but they only apply to those who are members of the organization, namely practicing accountants.

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Answer:

1 2 3 n 4

Explanation:

A tax practitioner is the one who gives advice and consultations by using his/her knowledge by optimally utilizing the tax law and advanced training. Regarding ethics, the judgement of the tax preparer is paramount here as the profession is not heavily regulated. Therefore, three primary sources of ethics are the AICPA code and bylaws, but they only apply to those who are members of the organization, namely practicing accountants. Treasury dept Circular no. 230 (document specifying rules, regulation, ethical provisions, and procedure to those who practice before IRS) and IRS regulations apply to others. All of these form a firm foundation for ethics in the tax preparation field..

what is the practice of giving a great deal of authority and decision-making freedom to lower-level managers.

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Giving lower-level managers a lot of freedom in decision-making and authority is known as decentralization.

Diffusion of authority is a sign of decentralization.Decentralization is the transfer of decision-making authority to lower management levels.The fundamental stage of delegation is decentralization of authority, and the degree to which authority is not delegated is called centralization.

If decision-making is decentralized, what does that imply?

Any method in which a larger group is given decision-making authority is called decentralized decision-making.Additionally, it suggests that employees, executives, and functionaries at lower levels are given more authority.

A type of organizational structure known as decentralization is one in which upper management delegate authority to middle and lower management levels in an organization.

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a(n) is defined as a large work segment comprised of several tasks that are performed by individuals.

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Duty is defined as a large work segment comprised of several tasks that are performed by individuals.

What is a work segment?

A work segment is a section of work that is assigned to an individual or group. It is often used in project management to break down a project into smaller, more manageable parts. Work segments can also be used to measure productivity or progress. Work segments can also be used to measure productivity or progress. For example, a project manager may track how much work is completed in a day, week, or month. This information can be used to identify areas of improvement or to adjust the project timeline.

Duty is described as the responsibility of an individual worker or an employee to complete work targets daily. It is important to mention that the duty can be a collection of smaller tasks that together can take the shape of a big task.

It can be concluded that duty is defined as a large work segment comprised of several tasks that are performed by individuals.

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he wage elasticity of labor demand calculation is group of answer choices the % change in wage divided by the % change in quantity of labor demanded. the % change in quantity of labor supplied divided by the % change in wage. the % change in quantity of labor demanded divided by the % change in wage.

Answers

The difference between the quantity of labor that is provided and the quantity that is demanded is called the surplus of labor.

The wage rate is set higher than the market wage rate when there is a labor surplus. In order to get back to the equilibrium, the wage rate falls.

Option A: The ratio of the percentage change in wage to the percentage change in the quantity of labor required is correct. This ratio is correct because wage elasticity.

What is the value of excess labor?

Marx defines surplus value as the difference between the value produced by living labor and the value paid to the worker by the capitalist in the form of wages.

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which best describes the current state of the study of leadership? a leadership is a frontier area of thought in which researchers do not agree on the same terminology and concepts. b leadership theories are all surprisingly very similar, covering practically identical concepts. c most researchers agree on the core tenants and principles of leadership. d most leadership research has been conducted by practitioners in the field, not professors or scientists. e leadership is not a very complex topic and is easy for anyone to adopt and practice.

Answers

Leadership research is currently at a crossroads, with experts differing on language and concepts. As a result, the correct choice is (a) leadership is a frontier field of study in which academics do not agree on language and concepts.

What is leadership research?

Research leadership is defined as the influence of one or more people on the research-related behavior, attitudes, or intellectual capacities of others. Leadership studies is an interdisciplinary academic field that focuses on leadership in business and in everyday life. Leadership studies have their origins in the social sciences, and humanities (such as history and philosophy), as well as professional and practical fields of study (e.g., management and education). Leadership and organizational studies are integrally linked disciplines.

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4. net present value method rydell manufacturing is evaluating a proposed capital budgeting project that will require an initial investment of $160,000. the project is expected to generate the following net cash flows: year cash flow 1 $43,600 2 $51,500 3 $48,000 4 $46,900 assume the desired rate of return on a project of this type is 9%. the net present value of this project is suppose rydell manufacturing has enough capital to fund the project, and the project is not competing for funding with other projects. should rydell manufacturing accept or reject this project? reject the project accept the project

Answers

The Rydell manufacturing should reject the project with initial investment of $160,000 and net cash flows as year 1 $43,600 2 $51,500 3 $48,000 4 $46,900 because the NPV of this new investment is negative.

What is NPV ?

The difference between the current worth of future cash inflows and outflows is regarded as net present value. The NPV is used in capital budgeting and investment planning to evaluate the viability of a proposed investment. Employing the net present value (NPV), which takes into account the time value of money, is one way to compare the rates of return of various projects or assess how well an anticipated rate of return corresponds to the hurdle rate necessary to authorize an investment.

In the NPV calculation, the discount rate, which is dependent on a company's cost of capital, represents the time value of money. This rate may be a barrier for a project.

To solve the question :

Cost of the new investment is $160,000

Net cash flows :

Year 1 – $43,600

Year 2 –$51,500

Year 3 – $48,000

Year 4 – $46,900

Assumed rate of return 9%.

NPV Calculation of the new investment :

Cash Inflows from Investments :

NPV = ∑ [tex]\frac{R_{t}}{(1 + i)^{t} }[/tex]

Where,

[tex]R _{t}[/tex] = net cash flows at time (t)

i = desired rate of return

t = time of the cash flow

= $43,600/1.09 + $51,500 /1.09^2 + $48,000/1.09^3 + $46,900/1.09^4

= 40,000 +43,350.17 + 37,065.64 + 33,215.29

= 153,631.10

Net Present Value  = Cash Inflows from Investments – Cost of Investments

Or, Net Present Value = $153,631.10 – $160,000

= -6368.9

From the above result, we can conclude that this is not a worthy investment; because the NPV of this new investment is negative.

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you analyze a firm's financial statements and invest based upon the results of this analysis. which form of market efficiency may exist if you are able to earn abnormal profits on these investments?

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One of the primary justifications why some investors might opt for a passive investing strategy is the Efficient Market Hypothesis (EMH).

What Is Efficient Market Hypothesis?The Efficient Market Hypothesis (EMH) fundamentally asserts that the prices of investment securities, such as stocks, already take into account all available information regarding those securities. If so, no amount of study will be able to give you the upper hand over "the market."Investors need not be logical; according to EMH, each investor will behave arbitrarily. However, the market is always "correct" overall. Simple logic dictates that "efficient" implies "normal."For instance, a strange response to a strange piece of information is typical. It's normal for you to follow the herd if they suddenly begin moving in that direction, even if there isn't a good reason to.

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one reason why the coffeehouse market is competitive is that group of answer choices it is trendy and therefore is likely to have a customer following. consumption takes place in public. barriers to entry are low. demand for specialty coffee is very high.

Answers

one reason why the coffeehouse market is competitive is that barriers to entry are low.

Barriers to entry are obstacles that prohibit or discourage new businesses from entering a market, even when established businesses are making excessive profits.

When addressing antitrust legislation, barriers to entry are crucial because they shield existing businesses from competition and prevent new ones from entering a market. As a result, they can lead to pricing distortions. Entry restrictions frequently result in or support the development of monopolies and oligopolies or give businesses market power.

Here are a few entry barrier examples from the market, although there are many more.

tax advantages granted to reputable businesses in a certain sector.Price cuts by well-established businesses discourage would-be competitors.patent defense.government-issued permits needed to access a particular market.

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which of porter's four competitive strategies is involved when a company offers products or services that are of unique or superior value compared to those of competitors and that target a wide market?

Answers

When a business targets a large market and provides goods or services that are distinct from those of rivals or offer better value, differentiation strategy is at play.

Write a short note on product differentiation.

The primary characteristic or characteristics that distinguish a company's goods or services from those of its competitors are referred to as its products. Product differentiation that works results in brand loyalty and higher revenue.

Finding and presenting a product or company's distinguishing qualities as well as the most important differences between it and its competitors are part of a product differentiation strategy. Making a product or service appealing to a target market or audience depends on developing a compelling value proposition and product distinctiveness.

Product differentiation, when done correctly, can give the product's seller a competitive advantage and ultimately boost brand recognition. Two examples of distinct products are the fastest high-speed Internet service and the most economical electric vehicle on the market.

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atlantis fisheries issues zero coupon bonds on the market at a price of $406 per bond. these are callable in 8 years at a call price of $650. using semiannual compounding, what is the yield to call for these bonds

Answers

2.34% Yield to call is the rate that would make the issue price equal to the call price in future.

It is therefore the rate that would compound the $408 to $650 in 8 years.

Semiannual compounding means that the interest rate and the number of periods need to be adjusted:

Number of periods = 8 * 2 = 16 semi annual periods

Interest = x / 2 = 0.5x

Call price = Issue price * ( 1 + rate) ^ number of periods

650 = 406 * (1 + 0.5x)¹⁶

(1 + 0.5x)¹⁶ = 650 / 406

0.5x = ¹⁶√ (650/406) - 1

x = 19.24480 / 0.5

x=38.4896

x = 2.34%

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which of the following statements is (are) true? i. if the firm is producing 5 units of output, it should expand output to increase profits because p > mc. ii. at a price of $16, the firm's profits would rise if it raised its price. iii. the profit-maximizing quantity is 600 units. iv. the profit-maximizing price is $13.

Answers

The profit-maximizing pricing in this case is $13, taking into account that the company is producing 5 units and that it must expand because the price is higher than the marginal cost.

What do you mean by marginal cost, exactly?

The difference in total production costs caused by creating or producing an extra unit is known as the marginal cost in economics. Divide the variation in production costs by the variation in quantity to determine marginal cost.

What are marginal cost and profit?

Marginal cost refers to the additional cost or profit incurred when producing the next item. Marginal product is the additional revenue generated, whereas marginal cost is the additional cost incurred for manufacturing one extra unit.

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kate company submitted an offer to purchase a plot of land that was listed at $120,000. kate's offer was 10% below the list price and was accepted. kate paid $10,000 to remove an old structure in order to make the land ready for use as a building site. title and attorney fees amounted to $3,000. annual property taxes amounted to $5,000 per year. based on this information, the cost of the land as shown on the balance sheet equals:

Answers

A title search rate levels from $75 – $200, relying on factors like the place the property is located.

How do you calculate annual property rates?

Residential Property

Once you have your valuation, termed the market value, deduct R350 zero to arrive at the rateable value. Multiply the price in the Rand (R0,008619)) via the rateable value. This will supply you your annual rates. Divide this quantity by using 12 to get your month-to-month rates.

Property tax is the annual quantity paid by means of a land owner to the nearby government or the municipal organisation of his area. The property includes all tangible real estate property, his house, workplace constructing and the property he has rented to others.

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Which method of obtaining personal information involves breaking into personal devices to steal information?

Group of answer choices

Dumpster diving

Hacking

Shoulder surfing

Phishing

Answers

The Phishing method of obtaining personal information involves breaking into personal devices to steal information.

The phishing is a type of attacks occur through a number of different mediums including cell phone messages, internet social networks, emails, standard mail and text messages.

The phishing is the fraudulent practice of sending emails purporting to be from reputable companies in order to induce individuals to reveal personal information such as passwords and bank account details like credit card number.

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limited government licenses that create a monopoly do so because part 2 a. the license grants a marginal cost advantage. b. the firm will become a natural monopoly. c. the license is an entry barrier. d. all of the above.

Answers

Limited government licenses that create a monopoly do so because the license is an entry barrier.

Hence, option C is correct.

What do you mean by monopoly in economics?

Monopoly can be defined as  a situation where there is a dominance of a single seller in the market.  It is opposite to the concept of perfect competition. An unregulated monopoly possesses market power and can influence prices in the overall sector.

The main features revolves around

Only One Seller and Various Buyers.No Produce Replacement OptionVery Difficult to Enter in Market.Pricing Control.Government Driven. Natural Monopoly.

There are usually three types of monopoly

Natural Monopolies. State Monopolies. Un-natural Monopolies.

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pierce corp., an accrual-basis, calendar-year c corporation, had the following 2021 receipts: 2022 advance rental payments for a lease ending in 2023 $250,000 lease cancellation payment from a 5-year lease tenant 100,000 pierce had no restrictions on the use of the advance rental payments and renders no services in connection with the rental income. what amount of gross income should pierce report on its 2021 tax return? $100,000 $0 $350,000 $250,000

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The gross income is $350000

The sum of an individual's earnings before taxes or other deductions is their gross income, which is sometimes referred to as their gross pay on a paycheck. This covers earnings from all sources, not only work, and is not restricted to earnings in cash; it also covers earnings from the receipt of goods or services. For businesses, the terms gross income, gross margin, and gross profit are equivalent. On the income statement, a company's gross income is calculated as total revenue less the cost of goods sold.

Gross Income=Advance Payment of Rent+Payment for Lease Cancellation

=$250,000+$100,000

=$350,000

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organizational change can often lead to improved performance if successful, yet many times change efforts might fail. what is the leading reason that change efforts fail? responses

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Organizational change is the process through which a firm or business changes a key aspect of its structure, such as its culture, the operational infrastructure or supporting technology, or its internal procedures.Organizational change should be adaptive, the process of directing organizational change to a successful conclusion by making it adaptive is known as organizational change management, and it generally consists of three main phases: preparation, implementation, and follow-through. Common Reasons Organizational Change Fails :

1. Poor Planning Sets Up Organizational Change for Failure

2. Inadequate Support from Leadership

3. Lack of Resources

4. Priority Focus on Systems vs. People

5. Inadequate Change Leadership Skills

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assume you are reviewing a graph that plots earnings per share (eps) on the vertical axis, against earnings before interest and taxes (ebit) on the horizontal axis. the steeper the slope of the plotted line the: multiple choice lower the impact of financial leverage. lower the debt-equity ratio. higher the tax rate. greater the sensitivity of eps to changes in ebit. lower the probability of a negative eps.

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Consider that you are looking at a graph where the horizontal axis represents profits before interest and taxes (EBIT) and the vertical axis represents earnings per share (EPS). The higher the sensitivity of eps to changes in EBIT, the steeper the slope of the depicted line. The right response in this case is option C.

DFL calculates the ratio of an organization's EPS changes to its EBIT change. To get a company's DFL, divide its percentage change in EPS by its percentage change in EBIT during a specific time period. The EBIT of a corporation divided by the EBIT less interest expenditure may also be used to calculate it.

A company's earnings have a significant impact on EPS. Earnings before interest and taxes (EBIT) are used to calculate EPS because they represent the amount of profit left over after business expenses are taken into account. Operating income is yet another term used to describe EBIT.

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