Identify the amount, if any, that these individuals must include in gross income in the following independent cases. Assume that the individuals use the cash method of accounting and report income on a calendar-year basis. Required: a. Elmer was an extremely diligent employee this year, and his employer gave him three additional days off with pay (Elmer's gross pay for the three days totaled $1,800, but his net pay was only $1,422 ). Amount to be included in gross income ____
b. Amax purchased new office furniture and allowed each employee to take home old office furniture valued at $310. Amount to be included in gross income ____

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Answer 1

a. Elmer must include $1,800 in gross income, as this is the amount of his gross pay for the three additional days off with pay.

b. Amax's employees must include $310 in gross income, as they were given the old office furniture valued at $310 as a form of income.

Overall, Elmer and Amax's employees must include the full value of income provided to them in gross income, even if the net pay received is less than the gross pay due to deductions. In the case of Elmer, the gross pay of $1,800 must be included in gross income, even though the net pay received was $1,422. For Amax's employees, the value of the old office furniture of $310 must be included in gross income.

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Related Questions

the recovery continuum includes short-, intermediate-, and long-term phases of recovery activities that:

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The recovery continuum is a framework used to describe the different phases of recovery from a wide range of physical, mental, and emotional health conditions.

It includes three phases: short-term, intermediate-term, and long-term recovery. The short-term phase is typically focused on stabilizing the individual's condition and addressing immediate symptoms or crisis situations. This may involve medical interventions, medication, and psychotherapy to manage acute symptoms.

The intermediate-term phase is focused on achieving functional improvement and addressing the underlying causes of the condition. This may involve ongoing treatment, lifestyle changes, and support from family and friends.

The long-term phase is focused on maintaining recovery and preventing relapse. This may involve ongoing monitoring, ongoing treatment, and support from peers and professionals. The goal of long-term recovery is to achieve a sustainable and fulfilling life in which the individual is able to manage their condition effectively and live to their full potential.

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Each employee must submit ___performance goals by the end of the week.

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Each employee must submit his or her performance goals by the end of the week.

The missing word to complete the given statement is "his or her". Each employee must submit his or her performance goals by the end of the week. In the given sentence, the subject is "employee" which is a singular noun, and the pronoun "his or her" is used as a singular gender-neutral pronoun that refers to a person. The other pronoun, for example "they" cannot be used as it is a plural pronoun and refers to more than one person.

Similarly, the pronoun (for example) "my" is incorrect as it shows possession, which is not required in this sentence. The correct pronoun in this sentence should be "his or her" as it is a singular gender-neutral pronoun. A pronoun is a word that replaces a noun in a sentence. It helps in avoiding repetition and making the sentence more clear and concise.

It is important to use the correct pronoun in a sentence as it can change the meaning of the sentence. In case of gender-neutral subjects, pronouns such as "they", "their" and "them" can be used.

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if a company's new product is not a new technology and it's an extension of a current product line, what type of adopters will be interested in it?

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When a company's new product is not a new technology and it is an extension of a current product line, the Early Majority adopters will be interested in it.

Product adoption is the process of customers accepting a new product or service. It refers to a new product or service's acceptance, and the customers who use it first are known as adopters. According to the concept of product adoption, there are five categories of adopters: Innovators, Early Adopters, Early Majority, Late Majority, and Laggards. Innovators - The first category of product adopters is innovators. They are always looking for new and innovative products or technologies to enhance their lifestyle.

Early adopters - The second category of product adopters is early adopters. They are the ones who are always on the lookout for new and innovative products or technologies to enhance their lifestyle. Early Majority - The third category of product adopters is the early majority. They make up the majority of consumers who purchase new products or technologies. Late Majority - The fourth category of product adopters is the late majority. They are hesitant to buy new products or technologies and are only interested in doing so after many others have done so. Laggards - The fifth and final category of product adopters are the laggards. They are the last to accept new products or technologies, and they are not interested in them until it is absolutely necessary. So, when a company's new product is not a new technology and it is an extension of a current product line, the Early Majority adopters will be interested in it.

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the billings on construction account is a contra account to multiple choice question. construction in progress. accounts receivable. cost of goods sold. sales.

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The Billings on Construction Account is a contra account to "Construction in Progress". Thus, Option A is correct.

The Billings on Construction Account is a contra account to Construction in Progress, meaning it is used to offset the balance in the Construction in Progress account. The Billings on Construction Account is used to track the value of work completed on a construction project that has been billed to the client but not yet paid. As the client pays for the work, the balance in the Billings on Construction Account decreases.

Meanwhile, the Construction in Progress account reflects the cost of work completed on the project that has not yet been billed to the client. By using these two accounts, construction companies can accurately track the progress and financial status of their projects.

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the direct labor budget is based directly on the blank budget. multiple choice question. raw materials production manufacturing overhead sales

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The direct labor budget is based directly on the production budget. The Option B is correct.

What does production budget means?

A production budget is a document that expresses the number of units of a specific product that a company must produce in order to match its estimated sales volume. Production budgets are typically created quarterly or monthly and are part of the overall operating budget.

The production budget consists primarily of three types of components: direct material budget, direct labor budget, and overhead cost. Rent payable, utilities payable, insurance payable, salaries payable to office staff, office supplies, and so on are examples.

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Your available credit is $1,000, but you keep your debt to $200.00. How does this help you build a positive credit history?

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Keeping a low debt-to-credit ratio can demonstrate responsible credit usage, which is a key factor in building a positive credit history.  

Building a good credit history requires maintaining a low debt-to-credit ratio.Your debt-to-credit ratio measures how much of your available credit you are currently using.A lower debt-to-credit ratio implies prudent credit use because you aren't using credit excessively and can properly manage credit.Keep this percentage as low as you can because creditors and lenders use it to assess your credit worthiness. Maintaining a low debt to credit ratio may make you appear less dangerous to lenders and increase your chances of getting future loan applications accepted.Another important element in establishing a solid credit history is having a low debt-to-credit ratio, which can enhance your credit score.

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the natural rate of unemployment (nru) occurs when elimination tool select one answer a the number of job seekers is greater than the number of job vacancies. b the number of job seekers is equal to the number of job vacancies. c the number of job seekers is less than the number of job vacancies. d frictional unemployment is no more than 2%.

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The natural rate of unemployment (NRU) occurs when elimination tool is  frictional unemployment is no more than 2%. (option d).

Frictional unemployment, which refers to the temporary unemployment that occurs as workers search for new jobs or enter the workforce, is a natural part of the labor market and is generally not included in the NRU calculation.

However, it is important to keep frictional unemployment at a reasonable level, typically around 2%, to ensure that workers can move between jobs and that employers can find the workers they need.

In summary, the NRU is the level of unemployment that exists when the labor market is in equilibrium, and there is no cyclical unemployment. It is determined by various factors and is typically measured by the number of job seekers being equal to the number of job vacancies.

So, the correct option is (d).

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Erik is an investor with $5,000 available for investment. He has the following three investment possibilities from which to choose: Suppose Erik cares about the risk involved in Options 2 and 3, and decides to select Option 1 because it has no risk. Which of the following statements would be true about Erik? He is risk-averse. He is risk-neutral. He is risk-loving. None of these descriptions is accurate. Later, while examining the same investment alternatives, Erik's brother, Devin, clearly expressed a preference for Option 1. Which of the following statements is true about Devin? He is risk-averse. He is risk-neutral. He is risk-loving. None of the above.

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Erik is risk-averse because he chose Option 1, which has no risk, over Options 2 and 3, which involve risk. Devin is risk-averse as well since he expressed a preference for Option 1, which has no risk, over the other two options.

Risk-averse investors prefer investments with low or no risk because their primary concern is protecting their initial investment. By choosing Option 1, Erik showed he is risk-averse because he prioritized protecting his initial investment over the potential gains from Options 2 and 3. Devin, on the other hand, expressed a preference for Option 1 over the other two options, further indicating he is risk-averse and looking to protect his investment as well. Although Options 2 and 3 come with a higher potential return, both Erik and Devin chose to avoid the risks associated with these two options, making them both risk-averse.

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if country a's real gdp grows at a rate of 14 percent per year, about how many years will it take for country a's real gdp to double? group of answer choices 30 14 5 10 7

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The approximate number of years it will take for Country A's real GDP to double with a growth rate of 14 percent per year is 5 years, so the correct answer is C.

The rule of 70 states that to find the approximate number of years it takes for a variable to double, divide 70 by the annual growth rate. Therefore, in this case, 70 divided by 14 equals 5 years. So, it will take approximately 5 years for Country A's real GDP to double with a growth rate of 14 percent per year.

The rule of 70 is a commonly used formula to estimate the doubling time of any variable that grows at a constant rate. It is based on the mathematical relationship between exponential growth and the natural logarithm. While it provides only an approximation, it is a useful tool for understanding the impact of growth rates on various economic and financial indicators.

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large companies with excellent credit ratings borrow long-term, asset secured, funds in the money market. true false

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This statement is true. Large companies with excellent credit ratings often borrow long-term, asset-secured funds in the money market. This allows them to gain access to capital at a relatively low cost. The money market is also a less risky alternative for them compared to the stock market or other investments.

Large companies with excellent credit ratings can borrow long-term, asset-secured funds in the money market. The money market is a market for short-term debt securities, with maturities typically less than one year. However, some money market instruments can have longer maturities, such as commercial paper with maturities of up to 270 days. Companies with strong credit ratings may issue commercial paper to borrow funds in the money market. Commercial paper is a short-term debt instrument that can be issued by corporations, financial institutions, and other entities. It is typically unsecured, but can also be backed by assets such as accounts receivable, inventory, or property.

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Answer these question

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Give your responses to the following questions:

P1 is the amount, and the equilibrium price is 100.The corm that is demanded at the P2 price level is priced at 150.because point O is where the equilibrium price meets.What is Equilibrium price?

The market price at which the quantity of goods or services offered and demanded are equal is known as the equilibrium price. It is the point at which there is no excess supply or demand and the forces of supply and demand meet. Buyers and sellers are willing to buy exactly the same quantity of goods or services at equilibrium price. A shortage or surplus of goods or services will occur at any price above or below the equilibrium price.

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for consumers to make purchase decisions, they must engage in certain processes, such as developing attitudes, learning about the product, and becoming motivated to make a purchase. multiple choice question. financial social routine

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A: Financial, B: social, and C: routine processes are all involved in the consumer decision-making process, including developing attitudes, learning about the product, and becoming motivated to make a purchase.

Consumer decision-making is a complex process that involves various factors, including financial, social, and routine processes.

Financial processes relate to the financial considerations that consumers must take into account when making purchase decisions, such as price and affordability. Social processes involve the influence of others on the decision-making process, such as friends, family, and social norms. Routine processes refer to the habitual or automatic nature of some consumer decisions, such as buying a particular brand of toothpaste without much conscious thought.

All these processes given in options A, B, and C contribute to the overall consumer decision-making process.

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your goal is to increase purchase intent for your products. what type of video campaign should you use to achieve that goal?

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To increase purchase intent for your products, you should use an explainer video campaign.

Explainer videos are short, animated videos that explain a product or service. They are a powerful tool for driving purchase intent because they are concise, engaging, and easy to understand. An explainer video campaign is a set of explainer videos that are strategically placed and marketed to increase purchase intent. This type of campaign is an excellent way to capture the attention of potential customers and motivate them to purchase your products. An explainer video campaign can be used in a variety of ways to increase purchase intent.

For example, you could use them on your website, social media pages, and online ads. You can also use them to educate potential customers about the benefits of your products and services. To create an effective explainer video campaign, it's important to keep the following tips in mind:

Focus on benefits: Your explainer videos should highlight the benefits of your products or services. This will help potential customers understand why they need your products and motivate them to purchase from you.Keep it concise: Your videos should be short and to the point. Most viewers won't stick around to watch a long video, so it's important to get your message across quickly and efficiently.Use a clear call to action: Your videos should include a clear call to action that tells viewers what they should do next. This could be anything from "Visit our website to learn more" to "Purchase now."By following these tips and using an explainer video campaign, you can increase purchase intent for your products and drive more sales.

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what will happen to the apartment market in kansas city if the city government decides to set the price for three-bedroom apartments below the market equilibrium price in an attempt to make apartment living more affordable for local families?

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If the city government of Kansas City decides to set the price of three-bedroom apartments below the market equilibrium price in an attempt to make apartment living more affordable for local families, it would lead to a surplus of apartments in the market.

The market equilibrium price refers to the price of an apartment where the quantity demanded and quantity supplied is equal. If the government decides to set the price of three-bedroom apartments below the market equilibrium price, it would result in an excess demand for apartments or a shortage of apartments since more families would be interested in renting these apartments at a cheaper price. However, since the government has set the price below the market equilibrium price, it would lead to a surplus of apartments, meaning there would be more apartments available than the demand for it.

This situation would result in a shift in the apartment market, with apartment owners reducing their prices to attract tenants since they have more competition from other apartment owners in the market. The surplus would lead to a fall in prices, which would mean more families would be able to rent a three-bedroom apartment at an affordable price. Consequently, it would reduce the demand for cheaper housing options like two-bedroom apartments or smaller apartments.Since the supply of three-bedroom apartments is high, and the demand is low due to the surplus, the prices would continue to fall until it reaches a new equilibrium price.

Therefore, if the city government decides to set the price of three-bedroom apartments below the market equilibrium price in an attempt to make apartment living more affordable for local families, it would lead to a surplus of apartments in the market.

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a market segment consists of a group of: diverse products produced by the same manufacturer. customers who have diverse needs. similar products. customers who have similar needs. products that are considered obsolete.

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A market segment consists of a group of customers who have similar needs.

This means that the customers within the same market segment have similar wants, needs, and preferences for a product or service.

A market segment is a group of consumers within a larger market who share similar needs or characteristics. Market segmentation is the process of dividing a larger market into smaller subgroups of consumers based on certain criteria, such as demographics, behavior, lifestyle, or psychographic factors.

Companies use market segmentation to better understand their customers and create targeted marketing strategies that are tailored to the specific needs and preferences of each segment.

By identifying and targeting specific market segments, companies can more effectively allocate resources and increase the effectiveness of their marketing campaigns.

For example, a clothing store may target a certain market segment with similar preferences for clothing, such as formal wear, casual wear, and activewear. The store may offer a variety of products within each of those categories to meet the needs of the market segment.

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what is the primary goal of management? what are the primary tasks of a chief financial officer (cfo) and others in finance function of an organization?

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The primary goal of management is to increase the productivity of the organization while optimizing resources and producing maximum profit.

The task of the finance function of an organization

The primary tasks of a chief financial officer (CFO) and others in the finance function of an organization are as follows:

1. Financial Planning: In order to maintain financial stability, the CFO is responsible for developing short and long-term financial plans. He also collaborates with other executives in making decisions based on these plans.

2. Risk Management: The CFO is in charge of identifying and assessing risk factors that may have an impact on the company's financial stability. He is responsible for ensuring that the company has adequate measures in place to mitigate risk.

3. Financial Control: The CFO ensures that the organization's financial operations are in accordance with regulatory requirements and best practices. He also ensures that financial statements are accurate, reliable, and in compliance with applicable laws and regulations.

4. Cash Management: The CFO is responsible for the organization's cash management operations, which include cash flow forecasting, liquidity management, and investment management.

5. Capital Structure: The CFO is responsible for the organization's capital structure, which includes determining the optimal mix of equity and debt to finance operations.

6. Budgeting: The CFO is responsible for preparing and managing the organization's annual budget. He also ensures that budgets are in line with the organization's strategic goals and objectives.

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assuming nothing else changes, for a given money income, an increase in the domestic price level leads to:

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An increase in the domestic price level will lead to a decrease in real money income, assuming nothing else changes.

When it comes to the domestic price level, the rise in the domestic price level leads to a decline in the quantity of goods and services demanded, but the amount of money consumers have to spend remains constant, hence the real value of money or purchasing power decreases.

In economics, the price level is the average level of prices at which goods and services are exchanged in an economy.

The price level is often used to calculate inflation or deflation, as an increase in the price level leads to inflation while a decrease leads to deflation.

So, assuming nothing else changes, for a given money income, an increase in the domestic price level leads to a decrease in the real value of money, which means the purchasing power of money decreases.

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edge act banks are federally chartered subsidiaries of u.s. banks that are physically located in the united states and are allowed to engage in a full range of

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"Edge Act banks are federally chartered subsidiaries of U.S. banks that are physically located in the U.S. and are allowed to engage in a full range of international banking activities."

Edge Act banks are specialized subsidiaries of U.S. banks that are authorized to conduct a wide variety of international banking activities. These banks are named after the Edge Act of 1919, which created a legal framework for U.S. banks to establish foreign branches and conduct international business.

Edge Act banks provide U.S. banks with an efficient way to conduct global business by allowing them to use a subsidiary that is subject to a different set of regulations than the parent company. This enables the parent bank to avoid certain restrictions that may hinder their ability to engage in international banking activities.

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raul is buying a home that is part of an hoa. his lender wants to verify that there are no liens from the hoa on the property. what would they most likely request from the hoa?

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If Raul is buying a house that is part of an Home owner association (HOA) and his lender wants to verify that there are no liens from the HOA on the property, the lender would most likely request a Statement of Account from the HOA.

A statement of account is a document provided by the HOA. It summarizes an individual homeowner's account balance, including the balance of the general account and the balance of the reserve account. It may also include other debts or liens against the property, such as a delinquent HOA fee. A Statement of Account request should be submitted in writing to the HOA's management firm or board. Here are the ways to make a request for a Statement of Account from the HOA:

1. Online: Many HOAs provide a website where residents can manage their accounts and request various services, including statements of accounts.

2. E-mail: Emailing the management company or the HOA board.

3. In-Person: Visit the HOA office, submit the written request to the staff member, and pay any applicable fees.

4. Mail: Mailing the written request to the management company or HOA board. It is essential to have a return address so that the HOA can send the statement of account to the homeowner.

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service businesses do not have ------------ . administrative expenses. selling expenses. labor costs. product costs.

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Service businesses do not have product costs. However, they do have administrative expenses, selling expenses, and labor costs.

What are service businesses?

Service businesses refer to those types of businesses where no physical product is produced. Service businesses mainly provide services to clients, such as legal advice, transportation, cleaning, and hospitality services. However, it is essential to keep in mind that service businesses incur various expenses, even though they do not produce a tangible product. Some of the expenses incurred by service businesses include selling expenses, administrative expenses, and labor costs.

Selling expenses: Selling expenses refer to the expenses incurred by a company to sell its products or services. Selling expenses are those expenses that are incurred when a company tries to convince a customer to buy their product or services. The selling expenses are associated with advertising, publicity, sales promotion, sales commission, and sales travel expenses.

Administrative expenses:Administrative expenses are the expenses that a company incurs to manage the business and the employees. The expenses are mainly incurred in the office, and they are not directly related to the production of goods and services. Examples of administrative expenses include salaries of employees, rent of office space, office supplies, and insurance premiums.Labor costsLabor costs are the costs that a company incurs when paying its employees to provide services to customers. Labor costs are one of the significant expenses for service businesses because employees are the ones who provide the services. Service businesses such as restaurants and hotels are some examples where labor costs are a significant expense.Product costsProduct costs are expenses associated with the production of goods. In service businesses, there are no product costs because they do not produce goods. Instead, they provide services to customers. Therefore, service businesses do not have product costs.

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session 05 featured david hollyer, the senior logistics planning analyst at cemex (cement manufacturer). cemex paid for david to live in monterey mexico for an entire year because he:

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During Session 05, David Hollyer, the Senior Logistics Planning Analyst at CEMEX, was featured. CEMEX, a cement producer, paid for David to spend a full year in Monterey, Mexico because he was working on a major project that would benefit the company.

What is the definition of the senior logistics planning analyst? A senior logistics planning analyst is responsible for coordinating and preparing logistics solutions for a company. They oversee the logistics strategy and plan to ensure that products are shipped to the appropriate locations in a timely and cost-effective manner. They also handle product inventory levels and establish policies for order fulfillment to ensure that customer orders are delivered on time.

What is the significance of Monterey in the question? Monterey is the capital of Nuevo León, a state in Mexico. It is Mexico's ninth-largest city and one of the country's most important commercial centers. It has a population of over 1.1 million people and is the third-largest metropolitan region in the country. Monterey is home to many multinational corporations and has a strong manufacturing sector, which is why David Hollyer, the Senior Logistics Planning Analyst at CEMEX, was sent to the city for a year.

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a) if you invest $3,500 now in return for a guaranteed $7,000 income at a later date, when must you receive your money in order to earn exactly 8% per year by simple interest? b) how long will it take by compounding interest?

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a) It will take 12.5 years for an individual who invests $3,500 now for a guaranteed income of $7,000 later to earn exactly 8% per year by simple interest. b) It will take approximately 8.16 years by compound interest when all other factors remains the same.

a)  The formula for simple interest is given as;

I = Prt

where I represents the interest amount, P represents the principal amount, r represents the interest rate, and t represents the time duration. The interest rate is given as 8% per year, thus r = 8/100 = 0.08. Also, the principal amount is given as $3,500 and final amount is $7,000, Hence the interest earn is $3.500 ($7,000 - $3,500).

Hence,

I = Prt

3,500 = 0.08 × 3,500 × t

t = 3,500/ (0.08 × 3,500)

t = 12.5 years

Thus, it will take approximately 12.5 years by simple interest for the individual to earn $7,000.

b) Compound interest is given as the sum of the principal amount and the compound interest amount. The formula for compound interest is given as;

A = P(1 + r/n)^nt

where A represents the compound interest amount, P represents the principal amount, r represents the interest rate, t represents the time duration, and n represents the number of times interest is compounded per year. It is assumed that the interest is compounded annually, i.e., n = 1.

Also, we have P = 3,500, r = 8/100 = 0.08, and A = 7,000. Thus

A = P(1 + r/n)^nt

7,000 = 3,500(1 + 0.08/1)^t

2 = (1.08)^t

log (1.08) 2 = t × log (1.08)

t = log (1.08) 2/ log (1.08 )≈ 8.16 years

Thus, it will take approximately 8.16 years by compounding interest for the individual to earn $7,000.

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argues that a strategic trade policy aimed at establishing domestic firms in a dominant position in a global industry boosts national income at the expense of other countries.

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The question argues that a strategic trade policy aimed at establishing domestic firms in a dominant position in a global industry boosts national income at the expense of other countries.

Here is a step-by-step explanation of this concept:
1. A strategic trade policy is an approach where a government supports specific industries to help them gain a competitive advantage in the global market. This can be done through subsidies, tax breaks, or other incentives.
2. The main goal of this policy is to establish domestic firms in a dominant position within a global industry, which means they can outcompete foreign firms and capture a larger market share.
3. When a country's domestic firms gain a dominant position in a global industry, they are more likely to export their products and services, which leads to an increase in the country's national income through increased export revenues.
4. However, the success of one country's domestic firms in dominating an industry can come at the expense of other countries. If a strategic trade policy is effective, it can result in the domestic firms of other countries losing market share and experiencing a decline in export revenues, ultimately impacting their national income negatively.
5. In summary, the  question argues that a strategic trade policy can boost a country's national income by helping domestic firms gain a dominant position in a global industry, but this advantage may come at the expense of other countries national income.

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true or false: during the candidate selection process, human resource managers should try to predict how long a candidate will stay in the job.

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During the candidate selection process, human resource managers should try to predict how long a candidate will stay in the job. This statement is true.

Mortal resource operation( HRM) is the practice of recruiting, hiring, planting and managing an association's workers. HRM is frequently appertained to simply as mortal coffers( HR). A company or association's HR department is generally responsible for creating, putting into effect and overseeing programs governing workers and the relationship of the association with its workers. The term mortal coffers was first used in the early 1900s, and also more extensively in the 1960s, to describe the people who work for the association, in total.

HRM is hand operation with an emphasis on those workers as means of the business. In this environment, workers are occasionally appertained to as mortal capital. As with other business means, the thing is to make effective use of workers, reducing threat and maximizing return on investment( ROI).

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a home sells for $275,000, and the buyer assumes the seller's existing loan balance of $125,000. what is the transfer tax on this property?

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The transfer tax on this property is $3,150.

What is Transfer Tax?

A transfer tax is a local or state tax imposed when the ownership of a property is changed. When a home sells, the transfer tax is usually levied. A transfer tax is imposed by some states, cities, or municipalities, and the fees and requirements vary depending on the locality.

It is a tax levied on the transfer of ownership or real estate or property. In this question, we have to determine the transfer tax on a property that sells for $275,000, and the buyer assumes the seller's existing loan balance of $125,000.

So, the transfer tax is calculated based on the purchase price of the home, which is $275,000.

To find the transfer tax on this property, we first need to determine the purchase price. The purchase price is the total amount that the buyer paid for the property, including any assumed loans.

Purchase price = Selling price + Assumed loan balance = $275,000 + $125,000 = $400,000

The transfer tax rate in this locality is 0.007875.

Transfer tax = Purchase price × Transfer tax rate = $400,000 × 0.007875= $3,150

Therefore, the transfer tax on this property is $3,150.

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the idea of the invisible hand, which is a fundamental concept in free market capitalism, was developed by which of the following individuals

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The idea of the invisible hand, which is a fundamental concept in free market capitalism, was developed by: Economist Adam Smith in his book, The Wealth of Nations.

The idea behind the invisible hand is that when everyone is acting in their own self-interest, the market will be driven by the actions of its participants to produce the greatest good for all. This means that when people are motivated to produce, the market will become more efficient and ultimately benefit society as a whole.

According to Smith, in a free market economy, individuals acting in their own self-interest would ultimately lead to the well-being of society as a whole. In other words, the invisible hand refers to the way in which the pursuit of individual self-interest can unintentionally benefit society as a whole.

This competition will ultimately benefit consumers, as they will have access to a wider range of products at more affordable prices. Additionally, as businesses grow and become more successful, they will need to hire more workers and invest in new technologies, which will create new jobs and further stimulate the economy.

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The idea of the invisible hand, which is a fundamental concept in free market capitalism, was developed ?

on may 1, ida makes a written offer to miranda for the sale of ida's car. on may 2, ida mails miranda a letter revoking the offer. on may 3, ida telephones miranda to tell her that she is revoking the offer. on may 4, miranda learns that ida sold the car to chris. on may 5, ida's letter finally gets to miranda. ida's offer terminated on:

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As per the given scenario, Ida makes a written offer to Miranda for the sale of Ida's car on May 1. On May 2, Ida mails Miranda a letter revoking the offer. On May 3, Ida telephones Miranda to tell her that she is revoking the offer. On May 4, Miranda learns that Ida sold the car to Chris. Finally, on May 5, Ida's letter gets to Miranda. Thus, Ida's offer was terminated on May 3.

An offer is a manifestation of willingness by one party to enter into a contract with another party, made to that other party, and communicated in such a manner that a reasonable person would think that the offering party is making an offer. An offer establishes the terms and conditions under which the offeror is ready to execute the contract if the offer is approved by the offeree.

The acceptance of an offer creates a contract. Therefore, an offer is a proposal made by one party (offeror) to another (offeree) to enter into a contract under specific terms and conditions. The offeror must be willing and able to form a legally binding agreement to make a valid offer.

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in the financial plan section of a business plan, pro forma statements should be presented for a. three to five years. b. six months. c. one year. d. seven years.

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In the financial plan section of a business plan, pro forma statements should be presented for A. three to five years.

What is Pro forma financial statements?

Pro forma financial statements are projected financial statements that estimate a company's financial performance based on historical data and assumptions about future trends. These statements include projections of the company's income statement, balance sheet, and cash flow statement.

To provide a realistic and comprehensive financial plan, pro forma statements should be presented for a period of at least three to five years. This time frame allows investors, lenders, and other stakeholders to assess the long-term viability and sustainability of the business.

Therefore, option A, three to five years, is the correct option.

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assuming the capm model holds, what is the cost of equity for a firm if the firm's equity has a beta of 1.1, the risk-free rate of return is 3%, the expected return on the market is 8%, and the return to the company's debt is 7%?

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By applying the Capital Asset Pricing Model (CAPM), it is possible to determine the cost of equity (Ke) as follows:

Ke = Rf + β * (Rm - Rf)

Whenever: Rf = Risk-Free Rate

The firm's equity's beta value is

Rm is short for "expected market return."

With the help of the values listed in the query:

Rf = 3%

β = 1.1 \sRm = 8%

Ke = 3% + 1.1 * (8% - 3%)

Ke = 3% + 1.1 * 5%

Ke = 3% + 5.5%

Ke = 8.5%

Hence, 8.5% of the firm's equity is cost.

The capital asset pricing model (CAPM) is a stylized depiction of how financial markets value securities and, consequently, estimate projected returns on capital investments. The model gives a mechanism for measuring risk and converting that risk into expectations of expected return on equity.

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suppose the percentage decrease in the price of apple iphones is 10% and this causes an increase in 10% in quantity demanded of apple iphones. what is the price elasticity of demand?

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The price elasticity of demand for Apple iPhones is 1, meaning that the percentage change in quantity demanded equals the percentage change in price.

If the price elasticity of demand for Apple iPhones is 1, it means that the percentage change in quantity demanded is equal to the percentage change in price. This is known as unitary elasticity.

However, this does not necessarily mean that the price elasticity of demand for Apple iPhones is exactly 1. It could be slightly higher or lower than 1, which would indicate whether the demand is relatively elastic or inelastic.

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