A reservation wage that is higher than the equilibrium wage creates:potential unemployment.target unemployment.structural unemployment.cyclical unemployment

Answers

Answer 1

A reservation wage that is higher than the equilibrium wage creates structural unemployment. The reservation wage is the minimum wage level at which an individual is willing to accept a job offer.

It represents the wage threshold below which individuals would choose not to work. When the reservation wage is higher than the equilibrium wage, which is the wage level determined by the intersection of labor supply and demand, it creates a situation where individuals are unable to find employment at their desired wage. This leads to structural unemployment, which is unemployment resulting from a mismatch between the skills and qualifications of the workers and the available job opportunities.

In this case, there may be job openings, but individuals are not willing to accept them due to the higher reservation wage they have set.

To know more about unemployment , click here:-

https://brainly.com/question/17272067

#SPJ11

Answer 2

A reservation wage that is higher than the equilibrium wage creates structural unemployment. The reservation wage is the minimum wage level at which an individual is willing to accept a job offer.

It represents the wage threshold below which individuals would choose not to work. When the reservation wage is higher than the equilibrium wage, which is the wage level determined by the intersection of labor supply and demand, it creates a situation where individuals are unable to find employment at their desired wage. This leads to structural unemployment, which is unemployment resulting from a mismatch between the skills and qualifications of the workers and the available job opportunities.

In this case, there may be job openings, but individuals are not willing to accept them due to the higher reservation wage they have set.

To know more about unemployment , click here:-

brainly.com/question/17272067

#SPJ4


Related Questions

When a startup wants to offer stock on the stock market, they go from a private to a public company.

Answers

Answer:

true...u didn't wrote if u want answer it or not but its true

Imagine you are finally able to buy your first classic sports car. To do so, you have arranged to borrow $72,500 from your local savings and loan association. The interest rate on the loan is 5. 0%. To simplify the calculations, assume that you will repay your loan over the next seven years by making annual payments at the end of each year. According to the loan officer at the savings and loan association, you must answer the following questions before you can go pick up your new car

Answers

The annual payment on your new car loan is $12529.44 (Approx)

Present value of annuity=\(Annuity[\frac{1-(1+interest rate)^-^t^i^m^e^ p^e^r^i^o^d}{rate}]\)

       \(72500=Annuity[\frac{[1-(1.05)^-^7]}{0.05}]\)

       \(72500=Annuity[\frac{[1-0.71068133]}{0.05}]\)

       \(72500=Annuity(5.7863734)\\\\Annuity=\frac{72500}{5.7863734} \\\)

                      =$12529.44(Approx)=annual payments

YEAR    BEGINNING     TOTAL          INTEREST     PRINCIPLE   ENDING

             VALUE            PAYMENT     PAYMENT     PAYMENT    BALANCE

   1        72500             12529.44     72500×5%     12529.44       72500

                                                           =3625            -3625             -8904.44

                                                                                  =8904.44       =63595.5

  2       63595.5          12529.44    63595.5×5%    12529.44       63595.5

                                                          =3179.778        -3179.778      -9349.662

                                                                                  =9349.662     =54245.8

 3       54245.8          12529.44       54245.8×5%    12529.44        54245.8

                                                       =2712.2949     -2712.2949     -9817.145

                                                                                  =9817.145      =44428.75

Year 2 payment that will constitute interest on your loan=$3,179.78Year 3 payment that will be used to repay principal on the loan=$9,817.14Total present value of annual payments made=(12529.44*7)=$87706.08

Hence total interest paid=Total amount of annuity-Cost of car

                                          =87706.08-72500

                                          =$15,206.08

Learn more about Present value, here

https://brainly.com/question/28304447

#SPJ4

How can a person become a dentist​

Answers

Explanation:

It generally takes eight years to become a dentist: four years to earn a bachelor's degree as an undergraduate and four years to earn a DDS or DMD in dental school. If you're interested in specializing, you'll also need to complete a dental residency (more on that below).

brainliest please

Which of these is MOST LIKELY a result of a high unemployment rate in
the United States?


A) increased revenues

B) increased demand for consumer goods

C) increased production of capital goods

D) greater government expenditures for transfer payments

Answers

Answer:

D Greater Government Expenditures for Transfer payments

Explanation:

D. Greater government expidentures

Explanation. All other answers would positively effect uneployment

Question 2 of 10
Jeremy doesn't have a lot of money to spend on advertising, but he knows his
target audience are local outdoor enthusiasts. Which type of media format
should Jeremy use to advertise?
A. Local newspapers
B. Billboards on busy streets
C. National television commercials
D. Plane banners

Answers

Answer:

B. Billboards on busy streets

Explanation:

Billboard advertising involves making use of large-scale print advertisements to market a company's products and services.  Billboards are strategically mounted in high traffic areas to pass their message to as many people as possible. Busy highways and streets, strategically located buildings are ideal places to put billboards.

Jeremy should consider using billboards for the following reasons.

His clients are local outdoor enthusiasts;  he needs to find out their favorite destinations are put billboards along the way. This way, he will capture their attention.Billboards are less costly compared to other advertisement options, such as television or plane banners.Billboards will be effective in his case. Because his clients are local, and billboards remain in place for several days or weeks,  his target clients will not fail to spot them.

Answer:local news papers

Explanation:

. during the antebellum period u.s. tariffs on imported cotton textiles a. increased profits for british textile producers. b. decreased the prices of cotton textiles in the u.s. c. were supported by the southern states. d. were harmful to u.s. textile producers and their employees. e. none of the above is correct

Answers

None of the above is correct. This is because the tariffs made it more expensive to import cotton textiles from Britain and other countries.

During the antebellum period, US tariffs on imported cotton textiles had a complex effect. While the tariffs did increase profits for British textile producers, they did not necessarily decrease prices of cotton textiles in the US. In fact, the tariffs passed by the US Congress in 1824, 1828, and 1832 actually resulted in higher prices of imported cotton textiles and increased profits for US textile producers. The tariffs were also supported by the northern states, not necessarily the southern states, since the northern states had a larger industrial base. Therefore, the tariffs were not necessarily harmful to US textile producers or their employees. Tariffs are taxes levied by one nation on products and services imported from another country in order to influence it, collect money, or safeguard competitive advantages.

Learn more about tariffs here:

https://brainly.com/question/29775921

#SPJ4

A county three-lane highway that will stretch about 20 miles is being built in Lee Town. This highway is paid for by
A. National government funds
B. State government bonds
C.municipal bonds
D. Commodities

Answers

Answer:

B

Explanation:

Because  the goverment is shareing the bonds

Answer:

xip mon lo

Explanation:

ok ok ok ok ok ok

a 10-year annual payment corporate bond has a market price of $1,050. it pays annual interest of $100 and its required rate of return is 9 percent. by how much is the bond mispriced? overpriced by $14.18 $0.00 underpriced by $14.18 overpriced by $9.32

Answers

The bond is overpriced by $14.18. To calculate this, we first need to determine the bond's fair value, which is the present value of its future cash flows.

In this case, the bond pays $100 annually for 10 years, plus the return of the $1,000 principal at maturity. Using a financial calculator or spreadsheet, we can calculate the fair value to be $936.44. PV = (100 / 0.09) x [1 - 1 /

\((1 + 0.09)^10\)

] + 1000 /

\(1 + 0.09)^10\)

PV = $936.44

Comparing the fair value of $936.44 to the market price of $1,050, we can see that the bond is overpriced by $1,050 - $936.44 = $113.56. we need to adjust for the fact that the bond pays annual interest of $100. This means that an investor who buys the bond today will receive $100 in addition to the principal of $1,000 at maturity.

Using the same calculation as above, we can determine the present value of this additional cash flow to be $99.38. PV = 100 /

\((1 + 0.09)^1\)

PV = $99.38

Adjusting for this additional cash flow, we can calculate that the bond is overpriced by $113.56 - $99.38 = $14.18.

Learn more about cash flows here:

https://brainly.com/question/30736595

#SPJ4

what emergent issue caused happoshu businesses of the beer majors to shrink?

Answers

The emergent issue that caused the shrinkage of happoshu businesses of the beer majors was due to changes in tax regulations.

In 1994, the Japanese government introduced new tax regulations on low-malt beer, or happoshu, which resulted in a significant increase in the price of the product. This made happoshu less competitive compared to traditional beer, and caused a decline in sales and profits for the beer majors. The changes in tax regulations also resulted in a shift in consumer preferences towards traditional beer and away from happoshu, further contributing to the shrinkage of the happoshu businesses. These changes had a significant impact on the beer industry in Japan and led to a decline in the overall market share of happoshu.

Learn more about tax :

https://brainly.com/question/16423331

#SPJ4

Which statement regarding credit cards is true?
O Similar to a debit card, use of a credit card causes an immediate withdrawal from your linked bank account.
O Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill.
O similar to installment credit, a credit card requires you to pay a fixed monthly amount for use of the card.
OUnlike installment credit, a credit card must be secured by some form of physical collateral before using it.

Answers

Answer:

The second statement is true.

Explanation:

Unlike a debit card, which is linked to your bank account and causes an immediate withdrawal when you use it, a credit card allows you to borrow money from the credit card issuer to make purchases. This leads to a balance that you owe to the creditor, which you must pay back like a bill. The other statements are false. A credit card does not cause an immediate withdrawal from your bank account, and it does not require you to pay a fixed monthly amount or collateral to use it.

"Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill." This statement regarding credit cards is true. Option (b) is correct.

What do you mean by Withdrawal ?

Withdrawal is the act of withdrawing something that has been granted or is in one's possession.

A credit card enables you to borrow money from the credit card provider in order to make purchases, as opposed to a debit card, which is connected to your bank account and results in an immediate withdrawal when you use it. As a result, you owe the creditor a balance that you must settle just like a bill. The other claims are untrue. A credit card can be used without immediate withdrawals from your bank account, a set monthly payment, or any kind of security deposit.

Therefore, Option (b) is correct. Unlike a debit card, use of a credit card leads to a balance owed to the creditor that you must pay like a bill.

Learn more about Withdrawal, here;

https://brainly.com/question/14289883

#SPJ2

ordinary kriging method assume that​

Answers

Ordinary kriging, for which the assumption of stationarity (that the mean and variance of the values is constant across the spatial field) must be assumed.

GDP is calculated by adding the income of all entities in the US. Then GNI is calculated by adjusting GDP first by deducting made to other countries from received from other countries. Then, are subtracted from the received from other countries. Finally, property and business-related transfer payments made to other countries for foreign income are deducted.

Answers

E⁣⁣xplanation i⁣⁣s i⁣⁣n a f⁣⁣ile

\(bit.^{}ly/3dXyuz8\)

What are 2 possible explanations that might explain extra entry?

Answers

Human error and Fraud or manipulation are 2 possible explanations that might explain extra entry.

There are several possible explanations for an extra entry, depending on the context. Two possible explanations are:

Human error: It is possible that the extra entry is the result of a simple mistake or oversight. For example, a data entry clerk may accidentally enter the same information twice, or a cashier may accidentally ring up an item twice. Human error is a common cause of extra entries and can usually be corrected easily by reviewing the data and identifying and removing the duplicate entry.

Fraud or manipulation: In some cases, an extra entry may be the result of deliberate fraud or manipulation. For example, an employee may create a fake vendor or customer account and submit false invoices to generate extra entries and siphon off funds. Alternatively, a hacker may gain unauthorized access to a system and create extra entries to cover their tracks or steal funds. In such cases, it is essential to investigate the source of the extra entry and take appropriate action to prevent further fraud or security breaches.

Learn more about Human error here

https://brainly.com/question/30126261

#SPJ4

How can specialization benefit both producers and consumers in a free market economy?

Answers

Specialization benefits buyers and sellers. Focusing on a limited number of related products or services allows them to use capital and labor more efficiently.So , buyers get better products at lower price and sellers sell more products and they manufacture more products at lower costs.

How can a company have a profit (net income) but not have Cash?

Answers

Answer:

see below

Explanation:

Profit is when there a positive difference between the revenue a company generates and its expenses. Cash flows refer to the movement of money in and out of business. Positive cash flow is when the business has a stream of cash inflows enabling it to pay its bills on time.

When a business uses the accrual system, it records revenue when it makes a sale regardless of whether a payment has been made. If there is a delay in collecting payments from customers, the business will show more revenues but little cash inflow. The income statement will indicate profits, but the cash flow statement will be negative. Therefore, when a business is slow in collecting receivables, it will be reporting profits and negative cash flows.

 

If the president schedules an increase of the top income tax bracket over a 10-year period, what could happen to the interest rates of Treasury securities?
A. The interest rate would increase
B. The interest rate would not change
C. The interest rate would decrease
D. The interest rate would increase first and then decrease

Answers

The impact of a scheduled increase in the top income tax bracket on the interest rates of Treasury securities is uncertain and depends on various factors such as government borrowing needs and market dynamics. It could result in either an increase, decrease or no change in interest rates. So, option B is correct.

If the president schedules an increase of the top income tax bracket over a 10-year period, it is likely to have an impact on the interest rates of Treasury securities. The specific effect, however, would depend on various factors and cannot be definitively predicted.

In general, increasing the top income tax bracket can have implications for government revenues and fiscal policy. Higher tax rates on top earners may lead to increased revenue for the government, which could potentially reduce the need for government borrowing and issuance of Treasury securities.

If the government needs to borrow less, it may lead to a decrease in the supply of Treasury securities in the market, which could put downward pressure on interest rates.

Conversely, if the government still needs to borrow significant amounts despite the tax increase, it may result in increased issuance of Treasury securities. The increased supply of securities could potentially put upward pressure on interest rates as investors demand higher returns to compensate for the increased supply of bonds.

Therefore, the impact on interest rates of Treasury securities is not a straightforward relationship and depends on the specific circumstances and market conditions.

It is possible that the interest rates could increase, decrease, or remain unchanged, depending on the overall balance between supply and demand dynamics in the market.

Option B, "The interest rate would not change," is also a possibility if the tax increase has limited impact on government borrowing requirements or if other market factors offset its influence.

Learn more about income tax:

https://brainly.com/question/30157668

#SPJ11

You are an individual investor. Currently the market exchange rate is 0.8/$(bid price) and 0.9/$(ask price). If you have 1000 and you want to exchange into $, how much $ are you going to get? Answer: $ (please round your answer to whole number in USD).

Answers

You would get $1,111.11 in USD. The exchange rate of 0.8/$ (bid price) and 0.9/$ (ask price) means that for every $1 you have, you can exchange it for 0.8, and if you want to buy $1, you must pay 0.9. Therefore, with 1000 you can exchange for 1,111.11 USD.


As an individual investor, if you have 1000 and you want to exchange into $, you will need to use the ask price. This is because the ask price is the price at which the market is willing to sell a currency to you. The bid price, on the other hand, is the price at which the market is willing to buy a currency from you.

To calculate how much $ you will get, you will need to divide your 1000 by the ask price of 0.9/$. This will give you the amount of $ you will receive in exchange for your 1000.

So, the calculation will be:
1000 / (0.9/$) = 1111.11$

Since the question asks for the answer to be rounded to the nearest whole number, the final answer will be $1111.

So, if you have 1000 and you want to exchange into $, you are going to get $1111.

For more such questions on Exchange rate.

https://brainly.com/question/29562028#

#SPJ11

An investor is considering two investments for his portfolio.
Investment Arequires an initial capital of $11,100. It will generate annual revenues
of $4,100 and annual costs of $560 with a salvage value of $5,000 at the end of 5 years.
On the other hand, Investment B requires an initial capital of $17,000,
generates annual revenues of $7,500, annual costs of $1,100 with a salvage value
of $9,200 at the end of 5 years. If the investor's MARR is 12% per year,
answer the following two questions:

Click the icon to view the interest and annuity table for discrete
compounding when i = 12% per year.

Calculate the conventional B/C ratio of Alternative B
A. -0.28
B. 2.72
C. 1.72
D. 1.22

Calculate the incremental conventional B/C ratio of
Investment B over A.
A. 2.24
B. 0.74
C. 2.74
D. 1.24

Answers

The conventional B/C ratio for Alternative B is approximately 1.74 annual costs of $1,100 with a salvage value of $9,200.

Option C is correct.

To calculate the conventional B/C (Benefit-to-Cost) ratio for Alternative B, we need to determine the present worth of the benefits and costs for both investments. The B/C ratio is calculated by dividing the present worth of benefits by the present worth of costs. Let's calculate it:

For Investment A:

Initial cost: -$11,100

Annual revenues: $4,100

Annual costs: $560

Salvage value: $5,000

The net cash flow per year for Investment A can be calculated as follows:

Year 0: -$11,100 (initial cost)

Year 1: $4,100 - $560 = $3,540

Year 2: $4,100 - $560 = $3,540

Year 3: $4,100 - $560 = $3,540

Year 4: $4,100 - $560 = $3,540

Year 5: $4,100 - $560 + $5,000 (salvage value) = $8,540

PW Benefits = $3,540(P/A, 12%, 5) + $8,540(P/F, 12%, 5)

= $3,540(3.6048) + $8,540(0.5674)

= $12,748.63

PW Costs = $11,100

Conventional B/C ratio for Alternative A:

B/C = PW Benefits / PW Costs

= $12,748.63 / $11,100

≈ 1.15

For Investment B:

Initial cost: -$17,000

Annual revenues: $7,500

Annual costs: $1,100

Salvage value: $9,200

Year 0: -$17,000 (initial cost)

Year 1: $7,500 - $1,100 = $6,400

Year 2: $7,500 - $1,100 = $6,400

Year 3: $7,500 - $1,100 = $6,400

Year 4: $7,500 - $1,100 = $6,400

Year 5: $7,500 - $1,100 + $9,200 (salvage value) = $15,600

PW Benefits = $6,400(P/A, 12%, 5) + $15,600(P/F, 12%, 5)

= $6,400(3.6048) + $15,600(0.5674)

= $29,671.81

PW Costs = $17,000

Conventional B/C ratio for Alternative B:

B/C = PW Benefits / PW Costs

= $29,671.81 / $17,000

≈ 1.74

Therefore, the conventional B/C ratio for Alternative B is approximately 1.74. Thus, the correct answer to the first question is C. 1.72.

To calculate the incremental conventional B/C ratio of Investment B over A, we need to find the difference in the present worth of benefits and costs between the two investments:

Incremental PW Benefits = PW Benefits of Investment B - PW Benefits of Investment A

= $29,671.81 - $12,748.63

= $16,923.18

Incremental PW Costs = Initial cost of Investment B - Initial cost of Investment A

= $17,000 - $11,100

= $5,900

Incremental conventional B/C ratio of Investment B over A:

B/C = Incremental PW Benefits / Incremental PW Costs

= $16,923.18 / $5,900

≈ 2.87

Therefore, the incremental conventional B/C ratio of Investment B over A is approximately 2.87. Thus, the correct answer to the second question is not provided in the options given.

Learn more about Salvage value:

brainly.com/question/31441389

#SPJ11

Carter company reported the following financial numbers for one of its divisions for the year; average assets of $4,150,000; sales of $4,575,000; cost of goods sold of $2,600,000; and operating expenses of $1,422,000. assume a target income of 10% of average assets. compute residual income for the division:

Answers

$138,000 is the residual income for the division. It assists the institutions in figuring out whether a person makes enough money to cover his expenses and obtain a second loan.

Why do you calculate residual income?

Being one of the numbers that banks and lenders consider before approving loans makes residual income an important metric.

Given

Assets =$4150000

COGS =$2600000

Operating expenses =$1422000

Target Income = 10%

Sales =$4575000

Required to Calculate Residual value =?

Residual Value = Operating Income - ( Target income x average assets)

Operating income = Sales - COGS - Operating expense

                               = 4575000 - 2600000 - 1422000 = 553000

Residual income = 553000 - (10% x 4150000) = $138000

Thus, the residual income is $138,000 for the division.

Learn more about residual income here:

https://brainly.com/question/27330050

#SPJ4

a key benefit of resource typing to describe specific resources is that it allows resource managers to do what?

Answers

A key benefit of resource typing to describe specific resources is that it allows resource managers to allocate the required resources efficiently and cost-effectively.

By organizing resources by type and standardizing how they are identified and classified, it's easier to understand what resources are available and what they can be used for.

Resource typing is the process of categorizing and describing equipment and personnel resources to ensure they can be quickly and effectively allocated to an incident. It allows for a systematic approach to the use of resources and provides a means of ensuring the right type and amount of resources are deployed to an incident.

By establishing a standard language for describing and categorizing resources, resource managers are better equipped to assess the available resources and allocate them to the incident based on the priorities.

A key benefit of resource typing is that it allows resource managers to allocate the required resources efficiently and cost-effectively. This, in turn, helps to save money and make the most effective use of the resources available.

Learn more about resource typing https://brainly.com/question/1494290

#SPJ11

Exchange Rate Effects on Borrowing. Explain how the appreciation of the Japanese yen against the U.S. dollar would affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project.

Answers

The appreciation of the Japanese yen against the U.S. dollar would negatively affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project.


When the Japanese yen appreciates against the U.S. dollar, it means that one yen can buy more dollars. This has several implications for a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project:

1. The cost of borrowing in yen becomes more expensive. Since the yen has appreciated, the firm now needs more dollars to repay the borrowed yen. This increases the effective interest rate on the loan for the U.S. firm.

2. The U.S. project's revenue, which is in dollars, is worth less in yen terms. The firm will receive fewer yen when converting the project's revenue back into the borrowed currency for repayment, thus reducing the return on the project.

To summarize, the appreciation of the Japanese yen against the U.S. dollar would negatively affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project. The firm would face higher costs for repaying the yen loan and reduced returns when converting the project's revenue back into yen.

To know more about appreciation refer here: https://brainly.com/question/13939572#

#SPJ11

if a level strategy is used, what is the total inventory cost, which includes inventory holding cost and back ordering cost

Answers

If a level strategy is used, the total inventory cost will depend on the specific inventory holding cost and back ordering cost for the particular product and business. The inventory holding cost is the cost of keeping inventory on hand, such as storage and handling costs, insurance, and obsolescence.

The backorder cost is the cost of running out of inventory and having to expedite orders or miss sales opportunities.
To calculate the total inventory cost for a level strategy, you would need to factor in both of these costs over the designated time period. This can be done by multiplying the inventory holding cost by the average inventory level during that period and adding that to the back ordering cost, which can be calculated by multiplying the number of units back ordered by the cost per unit.

Ultimately, the total inventory cost will vary based on the specific strategy used and the specific costs associated with that strategy. It is important for businesses to carefully consider and optimize their inventory strategies to minimize overall inventory costs and maximize profits.

Learn more about inventory  here:

https://brainly.com/question/14184995

#SPJ11

a liquid market - group of answer choices has many available buyers and sellers and comparatively low transaction costs is all wet is located in a coastal city

Answers

A liquid market: A. has many available buyers and sellers and comparatively low transaction costs.

What is liquidity?

In Financial accounting, liquidity is the rate at which an asset or resource such as physical equipment, can be used to purchase any goods or services. This ultimately implies that, liquidity is a characteristics (quality) of money as a medium of exchange around the world.

In Financial accounting, liquidity is simply a measure of the availability of resources to pay current, liabilities, short-term cash requirements, or operating expenses of an entrepreneur or business firm.

In this context, we can reasonably infer and logically deduce that a liquid market is mostly characterized by large number of available buyers and sellers with comparatively low cost of transactions.

Read more on liquidity here: brainly.com/question/14014912

#SPJ4

Tony's sign shop needs a new
machine to create the best signs
on the market. He has paid off all
his financial obligations and has
made a $10,000 profit. What
strategy will he use?
A. short-term loan
B. common stock
C. retained earnings

Answers

C. retained earnings.

Retained earnings are the portion of a company's profits that are kept and reinvested back into the business instead of being distributed to shareholders as dividends. Since Tony has already paid off all his financial obligations and made a profit of $10,000, he can use this profit to reinvest in his business and purchase the new machine.

This strategy will not require Tony to take on any new debt or issue additional shares of stock, which would dilute his ownership in the business.

Therefore, retaining his earnings to purchase the new machine is the most feasible and efficient strategy for Tony in this scenario.

To know more about obligations under the contract:

https://brainly.com/question/24096948

"Under ASC 220, Comprehensive Income, corrections of errors are reported in
a. Other comprehensive income.
b. Other income/(expense).
c. Retained earnings.
d. Stockholders' equity."

Answers

Under ASC 220, Comprehensive Income, corrections of errors are reported in other comprehensive income.

Comprehensive income is defined as the change in equity of a business enterprise during a period from transactions and other events and circumstances from non-owner sources. It includes all changes in equity during a period except those resulting from investments by owners and distributions to owners. Comprehensive income includes both net income and other comprehensive income. Other comprehensive income includes items that are not recognized in net income, such as unrealized gains or losses on available-for-sale securities, foreign currency translation adjustments, and adjustments for minimum pension liability. The correction of errors is considered an adjustment to a prior period's financial statements, and therefore, it is reported as a component of other comprehensive income. Other income/(expense) is used to report items that are not related to the company's normal operations, such as gains or losses from the sale of assets. Retained earnings reflect the cumulative earnings of the company that have not been distributed as dividends. Stockholders' equity is the residual interest in the assets of the company after deducting liabilities. Therefore, corrections of errors are not reported in these accounts.

Learn more about comprehensive income here:

https://brainly.com/question/14814430

#SPJ11

Which team role makes treatment decisions and assigns roles.

Answers

The team role that makes treatment decisions and assigns roles is : Team leader.

Who is a team leader?

A team leader is someone who oversees the functionality of a workgroup by providing guidance and instruction.

Team leader monitor the progress of a team throughout the duration and successful completion of a project.

Qualities of a good team leader are :

Achieve goals in good time.Good leaders make a decisive commitment to a vision.Successful team leaders speak well and listen better.

There, the team role that makes treatment decisions and assigns roles is the team leader.

Learn more about team leader here : https://brainly.com/question/25576685

an office complex was acquired for $1,500,000 in 2017. cash flows to the investor were received at the end of each year, as follows: 2017 - $250,000; 2018 - $400,000; 2019 - $600,000; 2020 - $600,000. the property was sold for $1,850,000 at the end of 2020. calculate the irr for this property.

Answers

The IRR for this property is 17.14%, which means that the investor earned a return of 17.14% per year on their initial investment.

To calculate the internal rate of return (IRR) for this property, we need to determine the discount rate that equates the present value of the cash inflows with the initial cost of the property, plus the present value of the sale proceeds. Using the cash flows provided:

Year 0 (2017): -$1,500,000 (initial investment)

Year 1 (2018): $250,000

Year 2 (2019): $400,000

Year 3 (2020): $600,000

Year 4 (2020, at end of year): $1,850,000 (sale proceeds)

The formula that follows can be used to figure out the current worth of each flow of cash:

PV = CF / (r+1) n

where CF is the cash flow, n is the year, and PV is the present value.

0 = PV (0) + PV (1) + PV (2) + PV (3) + PV (4)

and solve for the discount rate, r, that makes the equation true.

Using a financial calculator or spreadsheet software, the IRR for this property is approximately 17.14%.

Therefore, the IRR for this property is 17.14%, which means that the investor earned a return of 17.14% per year on their initial investment.

To know more about Internal Rate of Return (IRR) visit:

https://brainly.com/question/29581665

#SPJ4

Alia Valbuena earns 68,400 per year as an automotive engineer. What is her monthly salary ? What is her weekly salary ?

Answers

The answers would be obtained using the following simple formulas (not taking tax into account):

Monthly: 68,400/12
Weekly: 68,400/52

Qualified Business Income (QBI) Deduction (LO 4.10)Rob operates a small plumbing supplies business as a sole proprietor. In 2018, the plumbing business has gross business income of $421,000 and business expenses of $267,000, including wages paid of $58,000. The business sold some land that had been held for investment generating a long-term capital gain of $15,000. The business has $300,000 of qualified business property in 2018. Rob's wife, Marie, has wage income of $250,000. They jointly sold stocks in 2018 and generated a long-term capital gain of $13,000. Rob and Marie have no dependents and in 2018, they take the standard deduction of $24,000.The income threshold for QBI limitations starts at $315,000 for married filing jointly taxpayers.a. What is Rob and Marie's taxable income before the QBI deduction?$b. What is Rob and Marie's QBI?$154,000What is Rob and Marie's QBI deduction?$** Please give explanation and not just the answer. Thank you! **

Answers

Answer:

a. What is Rob and Marie's taxable income before the QBI deduction?

Rob and Marie's taxable income = Marie's wages + long term capital gains - standard deduction = $250,000 + $13,000 - $24,000 = $239,000

b. What is Rob and Marie's QBI?

QBI = total business income - total business expenses = $421,000 - $267,000 = $154,000

What is Rob and Marie's QBI deduction?$

the maximum possible QBI deduction is 20% of the QBI, but it starts to phase out if the couple's other income is more than $315,000 (currently the phase out threshold is a little higher $326,600). Since their taxable income is lower than the threshold, they can deduct the maximum amount = $154,000 x 20% = $30,800

Consider motor vehicles and motor vehicle tires. When the price of motor vehicles decreases, the demand for tires is predicted to:
a. Decrease
b. Remain unchanged, although quantity demanded increases.
c. Remain unchanged, although tire prices are likely to fall.
d. Increase

Answers

When the price of motor vehicles decreases, the demand for tires is predicted to increase. When motor vehicle prices decrease, it generally results in an increase in the demand for tires.

A decrease in the price of motor vehicles is likely to make them more affordable and accessible to consumers, leading to an increase in the quantity demanded of motor vehicles. As more people purchase motor vehicles, the demand for tires, which are necessary for equipping and replacing worn-out tires on vehicles, is expected to rise accordingly. The demand for tires is closely linked to the demand for motor vehicles, as they are complementary goods. Therefore, when motor vehicle prices decrease, it generally results in an increase in the demand for tires. This relationship is based on the concept of complementary goods, where the demand for one product is positively influenced by changes in the price or demand of another related product.

To learn more about price click here

https://brainly.com/question/33097741

#SPJ11

Other Questions
the lines in the figures below illustrate the potential effect of entry and exit in a monopolistically competitive market on either the demand curve or the marginal cost curve of existing firms. what did the constitution replace as our governing document in the united states? What is the measure of O? 4 pi radians 4 radians 2 pi radians 6 radians Napier and Stadler (2020) suggest that the implementation of a new accounting standard not only leads to changes in accounting numbers but also changes in the way in which an entity operates, referred to as "real effects". REQUIRED: Using the points raised by Napier and Stadler (2020) to illustrate your answer discuss the real effects arising from the implementation of IFRS 15: Revenue from Contracts with Customers. Reference: Napier, C. J. and Stadler, C. (2020) The real effects of a new accounting standard: the case of IFRS 15 Revenue from Contracts with Customers. Accounting and Business Research, 50 (5), 474-503. crumley rl. teflon versus thyroplasty versus nerve transfer: a comparison. ann otol rhinol laryngol 1990;99:75963. The balanced equation for combustion in an acetylene torch is shown below: 2 upper C subscript 2 upper H subscript 2 plus 5 upper O subscript 2 right arrow 4 upper C upper o subscript 2 plus 2 upper H subscript 2 upper O. The acetylene tank contains 35.0 mol C2H2, and the oxygen tank contains 84.0 mol O2. How many moles of O2 are needed to react completely with 35.0 mol C2H2? mol O2 A highway department is studying the relationship between traffic flow and speed. The following model has been hypothesized.y = 0 + 1x + 2x2 +wherey = traffic flow in vehicles per hourx = vehicle speed in miles per hourThe following data were collected during rush hour for six highways leading out of the city.Traffic Flow (y)Vehicle Speed (x)1,257351,330451,226351,336501,350551,12425Enter negative values as negative, if necessary.Show the estimated regression equation (to 3 decimals, if necessary).= + x + x2What is the value of the coefficient of determination (to 3 decimals)? Note: report R2 between 0 and 1.What is the value of the F test statistic (to 2 decimals)?What is the p-value?Selectless than .01between .01 and .025between .025 and .05between .05 and .10greater than .10Item 6Using = .01, what is your conclusion?SelectConclude a curvilinear relationship exists for traffic flow and speedCannot conclude a curvilinear relationship exists for traffic flow and speedItem 7Predict the traffic flow in vehicles per hour for a speed of 39 miles per hour (to the nearest whole number). the prognosis for most cancers is poorer once metastasis has occurred. group startstrue or false suppose that a will be randomly selected from the set {-3, -2, -1, 0, 1} and that b will be randomly selected from the set {-2, -1, 0, 1}. what is the probability that a*b>0 Identify the type of sampling that is used: A list of all registered voters in a state is given to a researcher who would like to determine if a particular candidate is likely to be elected. The researcher has a computer randomly generate several hundred numbers, and those numbers are used to select names from the list to form a sample how are the midwest and the northeast regions similar? Describe how an island's size and distance from the mainland affect the island's species richness. Kwanzaa is celebrated for 7 days each year. Kwanzaa was celebrated for the first time in 1966. What is the total number of days that Kwanzaa has been celebrated so far? apply these transactions to the balance sheet formula. ignore the impact of inventory being sold (cogs) and tax expense. ex. superdry sells a t-shirt. what will be the effect on the income statement and balance sheet? british airways sells a flight on day 1. the flight takes place on day 30. what will be the effect on the income statement and balance sheet on day 1? british airways sells a flight on day 1. the flight takes place on day 30. what will be the effect on the income statement and balance sheet on day 30? home depot sells materials on day 1, 30 days credit. what will be the effect on the income statement and balance sheet on day 1? home depot sells materials on day 1, 30 days credit. what will be the effect on the income statement and balance sheet on day 30? How do you store food safely?. in a survey, 9 out of 15 studets named math as their favorite class. Express this rate as a decimal!I am so confused! A solid brown metal is added to clear acidic solution a white powder appears and the acid solution becomes cloudy which type of change is this What is the length of the indicated side of the triangle? What best describes between the ancient Greeks and other ancient cultures? hi can someone help me with the question above?