Jacob Finney's filing status is single, and he has earned gross pay of $1,240. Each period he makes a 403(b) contribution of 8% of gross pay and makes a contribution of 0.80% of gross pay to a cafeteria plan. His current year taxable earnings for Social Security tax and Medicare tax, to date, are $127,600.
Social Security tax = $
Medicare tax = $

Answers

Answer 1

Jacob Finney's Social Security tax for this period is $70.12, and his Medicare tax is $16.39. First Calculate Jacob's 403(b) and cafeteria plan contributions and then find his taxable earnings. Finally, calculate the social security and Medicare taxes.


1. Calculate Jacob's 403(b) and cafeteria plan contributions:
403(b) contribution = 8% of $1,240 = ($1,240 * 0.08) = $99.20
Cafeteria plan contribution = 0.80% of $1,240 = ($1,240 * 0.008) = $9.92

2. Determine his taxable earnings for this period:
Taxable earnings = Gross pay - 403(b) contribution - Cafeteria plan contribution
Taxable earnings = $1,240 - $99.20 - $9.92 = $1,130.88

3. Calculate Social Security tax (assuming the Social Security wage base limit is $142,800 for the current year):
Jacob's taxable earnings for Social Security tax to date are $127,600. Since the wage base limit is $142,800, he is still below the limit and subject to Social Security tax.
Social Security tax rate = 6.2%
Social Security tax = Taxable earnings * Social Security tax rate
Social Security tax = $1,130.88 * 0.062 = $70.115 (rounded to $70.12)

4. Calculate Medicare tax:
Medicare tax rate = 1.45%
Medicare tax = Taxable earnings * Medicare tax rate
Medicare tax = $1,130.88 * 0.0145 = $16.392 (rounded to $16.39)

So, Jacob Finney's Social Security tax for this period is $70.12, and his Medicare tax is $16.39.

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Related Questions

an economy has experienced a rightward shift of its long-run aggregate supply curve and is now producing on that new long-run aggregate supply curve. it is reasonable to expect that:

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In an economy that has experienced a rightward shift of its long-run aggregate supply curve and is now producing on that new curve, it is reasonable to expect that the economy's productive capacity has increased, leading to a higher potential output and possibly lower prices, assuming the demand remains constant.

As the long-run aggregate supply curve has shifted to the right, it indicates an increase in the potential output of the economy. This could be due to various factors such as technological advancements, increased availability of resources, and improved efficiency in production processes.

Therefore, it is reasonable to expect that the economy will experience an increase in its overall output and growth potential, leading to a more robust economy.

The rightward shift of the long-run aggregate supply curve could also lead to a decrease in the general price level of goods and services, resulting in lower inflation rates.

Additionally, this could encourage businesses to increase their investment and expansion plans, leading to a further boost in economic growth.

Overall, the rightward shift in the long-run aggregate supply curve is a positive development for the economy, signaling improved supply conditions and growth prospects.

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A cafe focuses primarily on customers who are aged between 18 and 35 and earning about $20,000 to $40,000 annually. This segmentation of customers is known as itsA) retail market.B) target market.C) virtual market.D) global market.E) labor market.

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The segmentation of customers based on their age and income range is known as the target market. A target market refers to a group of consumers who have similar characteristics and needs, and are likely to respond to the marketing efforts of a particular business. option B

By identifying a target market, businesses can tailor their products, services, and marketing messages to meet the specific needs and preferences of these customers.
In the case of the cafe, the target market is customers aged between 18 and 35, who earn an annual income of $20,000 to $40,000. This demographic is likely to be interested in affordable yet trendy food and drinks, and a relaxed atmosphere to socialize and hang out with friends. By focusing on this target market, the cafe can develop menu items that appeal to this age group and price point, and create a welcoming ambiance that encourages repeat business.
Overall, identifying and targeting a specific market segment is essential for businesses to compete effectively and maximize their revenue potential. By understanding their customers' needs and preferences, businesses can create products and services that resonate with them and build lasting relationships that drive long-term success. option B

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Suppose that the United States and the United Kingdom both use the gold standard. Their prices of gold are $35 = 1 ounce and £7 = 1 ounce, which yields an implied exchange rate of $5 = £1. Now suppose that the exchange rate temporarily rises to $5.50 = £1. What actions would you follow to take advantage of this temporary opportunity for arbitrage?
A. Sell gold for pounds in the United Kingdom, buy dollars with pounds in currency markets, and buy gold with dollars in the United States. B. Sell gold for dollars in the United States, buy pounds with dollars in currency markets, and buy gold with pounds in the United Kingdom.
C. Sell gold for dollars in the United States, sell pounds for dollars in currency markets, and buy gold with dollars in the United Kingdom.
D. Sell gold for dollars in the United Kingdom, buy pounds with dollars in currency markets, and buy gold with pounds in the United States.

Answers

The correct answer to this question is B. Sell gold for dollars in the United States, buy pounds with dollars in currency markets, and buy gold with pounds in the United Kingdom.

Arbitrage is the process of taking advantage of price discrepancies between two markets by buying and selling in those markets simultaneously to make a profit. In this scenario, the temporary rise in the exchange rate to $5.50 = £1 creates an opportunity for arbitrage.

To take advantage of this opportunity, one should sell gold for dollars in the United States, as the price of gold is $35 per ounce. Then, the dollars obtained can be used to buy pounds in currency markets, where the exchange rate is $5.50 = £1. Finally, the pounds obtained can be used to buy gold in the United Kingdom, where the price of gold is £7 per ounce.

By following this process, one can make a profit by exploiting the price discrepancy between the two markets. It's important to note that this process only works if the transaction costs and currency exchange rates are low enough to make the arbitrage profitable. Also, this opportunity would be short-lived as the market would quickly adjust to eliminate the discrepancy.

In conclusion, the correct action to take advantage of this temporary opportunity for arbitrage is to sell gold for dollars in the United States, buy pounds with dollars in currency markets, and buy gold with pounds in the United Kingdom.

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Do tax cuts (T) stimulate the economy more than governmentspending (G)? Also discuss pros and cons of tax cuts compared togovernment spending increases to stimulate the economy.Please help. It's ur

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The debate over whether tax cuts (T) stimulate the economy more than government spending (G) has been ongoing for decades. Proponents of tax cuts argue that they provide individuals and businesses with more disposable income, which they can then spend or invest, thus stimulating economic growth.


Additionally, they argue that tax cuts can incentivize businesses to expand and create more jobs. However, critics argue that tax cuts can lead to budget deficits and income inequality, as wealthier individuals and corporations benefit the most.Proponents of government spending argue that it can create jobs directly and provide essential services, such as infrastructure and education, that benefit the economy in the long term. Critics argue that increased government spending can lead to higher taxes and a larger national debt. The effectiveness of tax cuts vs. government spending depends on the specific circumstances and goals of the economy. In some cases, tax cuts may provide the necessary boost, while in others, increased government spending may be more effective. It is essential for policymakers to carefully consider the potential benefits and drawbacks of each approach before making decisions.

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Adirondack Savings Bank (ASB) has $1 million in new funds that must be allocated to home loans, personal loans, and automobile loans. The annual rates of return for the three types of loans are 7 percent for home loans, 12 percent for personal loans, and 9 percent for automobile loans. The bank’s planning committee has decided that at least 40 percent of the new funds must be allocated to home loans. In addition, the planning committee has specified that the amount allocated to personal loans cannot exceed 60 percent of the amount allocated to automobile loans.
a. Formulate a linear programming model that can be used to determine the amount of funds ASB should allocate to each type of loan to maximize the total annual return for the new funds.
b. How much should be allocated to each type of loan? What is the total annual return? What is the annual percentage return?
c. If the interest rate on home loans increases to 9 percent, would the amount allocated to each type of loan change? Explain.
d. Suppose the total amount of new funds available is increased by $10,000. What effect would this have on the total annual return? Explain.
e. Assume that ASB has the original $1 million in new funds available and that the planning committee has agreed to relax the requirement that at least 40 percent of the
new funds must be allocated to home loans by 1 percent. How much would the annual return change? How much would the annual percentage return change?

Answers

The linear programming model determines optimal allocation of funds among home, personal, and automobile loans to maximize total annual return, subject to constraints.

a. To formulate a linear programming model for this scenario, let's define the decision variables:

Let x1 be the amount allocated to home loans (in dollars).Let x2 be the amount allocated to personal loans (in dollars).Let x3 be the amount allocated to automobile loans (in dollars).

We want to maximize the total annual return, so the objective function is:

Maximize Z = 0.07x1 + 0.12x2 + 0.09x3

Now, let's establish the constraints based on the given information:

At least 40% of the new funds must be allocated to home loans:

x1 >= 0.4(x1 + x2 + x3)

The amount allocated to personal loans cannot exceed 60% of the amount allocated to automobile loans:

x2 <= 0.6x3

Non-negativity constraint:

x1, x2, x3 >= 0

To find the optimal allocation and total annual return, this linear programming problem can be solved using appropriate software or methods.

If the interest rate on home loans increases to 9 percent, the linear programming model would need to be adjusted. The objective function would change to:

Maximize Z = 0.09x1 + 0.12x2 + 0.09x3

If the requirement to allocate at least 40 percent of the new funds to home loans is relaxed by 1 percent, the linear programming model would change as follows:

x1 >= 0.39(x1 + x2 + x3)

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which of the following promotion mix approaches involves a producer promoting a product to different channel members who in turn promote the product to customers?

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The promotion mix approach that involves a producer promoting a product to different channel members who in turn promote the product to customers is called the "push" approach.

The promotion mix approach you are referring to is called "push strategy." In a push strategy, a producer promotes the product to different channel members (e.g., wholesalers, retailers) who then promote the product to customers. This approach involves pushing the product through the distribution channels to reach the end consumers.

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How effective has the United Nations been? 2 Eb what did mural art consist of? Topics? Country? 3 What was the art of magical realism? topics? Place? 4 Why was there a decolonization process after the Second World War? What is a colony? 5 What was the Marshall plan? For what ? What purpose did it have?

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By providing financial assistance and resources, the plan contributed to the reconstruction and growth of Western European economies, ultimately fostering closer ties between Europe and the United States.


1. The effectiveness of the United Nations (UN) is a matter of debate. Overall, the UN has been successful in promoting peace, human rights, and global cooperation. However, critics argue that it sometimes lacks the authority to enforce its resolutions or prevent conflicts.

2. Mural art typically consists of large-scale paintings applied directly to walls, ceilings, or other permanent surfaces. It often represents historical, political, or social themes and can be found in various countries. In Mexico, for example, famous muralists like Diego Rivera and David Alfaro Siqueiros depicted the struggles and achievements of the Mexican people.

3. Magical realism is an art and literary movement that originated in Latin America. It combines realistic settings with fantastical elements, often exploring themes of social and political issues, cultural identity, and the supernatural. Notable authors include Gabriel García Márquez and Isabel Allende.

4. Decolonization after the Second World War was a process by which colonies gained independence from their colonial powers. A colony is a territory under the political control of another country. This process was driven by factors such as the weakening of European powers, rising nationalism, and the advocacy of self-determination by newly-independent nations.

5. The Marshall Plan was a U.S. economic aid program initiated in 1948 to help rebuild war-torn Europe after World War II. Its purpose was to promote economic recovery, stabilize governments, and prevent the spread of communism.

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which of the following is not a necessary component when developing the budgeted income statement as part of the master budget?

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The answer is "Cash flow statement". The necessary components when developing the budgeted income statement as part of the master budget are projected sales, cost of goods sold, gross profit, operating expenses, net income, and taxes.

A cash flow statement is a separate financial statement that shows the inflows and outflows of cash during a specific period and is not directly related to the budgeted income statement. However, it can be useful to include a cash flow analysis as part of the overall budgeting process.

When developing the budgeted income statement as part of the master budget, the necessary components typically include sales, cost of goods sold, gross margin, operating expenses, and net income. However, a component that is NOT necessary when developing the budgeted income statement is the capital expenditure budget, as it primarily relates to long-term investments and asset acquisitions rather than the income statement components.

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3. Chapter maem05r, Section .24, Problem 015 The Fisher effect suggests that, in the long run, if the rate of inflation rises from 3 per cent to 7 per cent, the nominal interest rate should increase by 4 percentage points and the real interest rate should remain unchanged. Oa. True Ob. False

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. According to the Fisher effect, if the rate of inflation rises from 3% to 7%, the nominal interest rate should increase by 4 percentage points, and the real interest rate should remain unchanged.

Oa. True
Ob. False

The correct answer is: Oa. True.



The Fisher effect states that in the long run, the nominal interest rate adjusts one-for-one with changes in the inflation rate, while the real interest rate remains constant.

In this case, the nominal interest rate should increase by 4 percentage points (7% - 3%) to keep the real interest rate unchanged.

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the high inflation rate of the 1970s stemmed primarily from

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“Spending on social-welfare programs and the Vietnam War” or “LBJs refusal to raise taxes for spending on social welfare programs and the Vietnam war” or “higher taxes – imposed to pay for Vietnam and Medicare”.


The above answers depend on the worksheet you have.


I suggest you read more about the Vietnam war and how this raised taxes. The raising of taxes made inflation much more easy to come across. Sorry if I don’t list too much information here; I’m positive the answers should be correct though.


—————

Please remember to revise this and make it in your own words if you want! I hope this helps you. -Doodle

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In the 1970s, the United States experienced a period of high inflation, with prices rising rapidly and eroding the purchasing power of the dollar.

The main cause of this inflation was a combination of factors, including:

High government spending and budget deficits, particularly in the wake of the Vietnam War and the Great Society programs of the 1960s.The Federal Reserve's expansionary monetary policy, which kept interest rates low and allowed for easy access to credit.Increased demand for goods and services, fueled by factors such as population growth, rising incomes, and the growth of credit card use.Supply-side shocks, such as the 1973 oil embargo, which led to higher energy prices and increased production costs for many businesses.

Overall, these factors contributed to a cycle of rising prices, wages, and inflation expectations, which in turn led to even higher prices as businesses tried to pass on their higher costs to consumers.

It was not until the early 1980s that the inflation rate began to come down, thanks in part to tighter monetary policy and other measures taken by the government to reduce spending and control inflation.

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8. agreement and disagreement among economists suppose that yakov, an economist from a research facility in washington, and ana, another economist from an investigative reporting group, are both guests on a popular science podcast. the host of the podcast is facilitating their debate over saving incentives. the following dialogue represents a portion of the transcript of their discussion: ana: i think it's safe to say that, in general, the savings rate of households in today's economy is much lower than it really needs to be to sustain an improvement in living standards. yakov: i think a switch from the income tax to a consumption tax would bring growth in living standards. ana: you really think households would change their saving behavior enough in response to this to make a difference? because i don't. the disagreement between these economists is most likely due to . despite their differences, with which proposition are two economists chosen at random most likely to agree? tariffs and import quotas generally reduce economic welfare. lawyers make up an excessive percentage of elected officials. minimum wage laws do more to harm low-skilled workers than help them.

Answers

Thus, while some argue that lawyers make up an excessive percentage of elected officials, others may disagree and believe that legal expertise is valuable in politics.

The disagreement between Yakov and Ana regarding saving incentives is most likely due to their differing opinions on the effectiveness of switching from income tax to consumption tax.

Ana argues that the savings rate of households needs to be improved to sustain an improvement in living standards, whereas Yakov believes that the growth in living standards can be achieved through the switch to consumption tax.However, with regards to the given propositions, two economists chosen at random are most likely to agree that tariffs and import quotas generally reduce economic welfare. This is because economists generally believe in the benefits of free trade and the harmful effects of protectionist policies. On the other hand, opinions on the other two propositions are divided among economists. Some economists argue that minimum wage laws can lead to job loss for low-skilled workers, while others believe that it can improve their standard of living. Similarly, while some argue that lawyers make up an excessive percentage of elected officials, others may disagree and believe that legal expertise is valuable in politics.

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Which of the following are included in M3?I. $100 certificate of deposit (CD)II. $300,000 savings depositIII. $1,000 in traveler's checksIV. $500 in your piggy bankI and III and IIII, III, and IVI, II, and IIII, II, III, and IV\

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M3 is a measure of the money supply that includes M2 (which consists of cash, checking deposits, savings deposits, and non-institutional money market funds) as well as large time deposits, institutional money market funds, and other larger liquid assets.

Answer would be I and III, which means that a $100 certificate of deposit and $1,000 in traveler's checks are included in M3. M2 includes savings accounts and money market accounts, while M3 includes larger time deposits and institutional money market funds. Piggy banks are not typically considered a financial asset that would be included in any measure of the money supply.

In this case, the components included in M3 are:

I. $100 certificate of deposit (CD) - This is a large time deposit.
II. $300,000 savings deposit - This is a part of M2 and therefore included in M3.
III. $1,000 in traveler's checks - These are considered part of M1, which is included in both M2 and M3.

However, IV. $500 in your piggy bank is not included in any of the measures of money supply as it is not deposited in a financial institution.

So, the correct answer is: I, II, and III are included in M3.

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which of the following are services performed by a factor? (select all that apply.) multiple select question. sell accounts receivable for a fee. perform credit checks for accounts payable. handle billing and collection of accounts receivable. buy accounts receivable.

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The services performed by a factor include buying accounts receivable, handling billing and collection of accounts receivable, and selling accounts receivable for a fee.

Factors may also perform credit checks for accounts payable to ensure that the business is extending credit to trustworthy partners.

These services are particularly helpful for small businesses that need to manage their cash flow and reduce their risk of bad debt.

By selling their accounts receivable to a factor, businesses can receive immediate payment and avoid the risk of non-payment by their customers.

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if the producer surplus in a market for a good is 36 dollars, and the consumer surplus in the market for the same good is 9 dollars the social surplus is

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The social surplus is $45 when producer surplus is $36 and the consumer surplus is $9.


The producer surplus represents the extra profit that producers make from selling the good at the current market price. The consumer surplus represents the extra benefit that consumers receive from purchasing the good at the current market price. When these two surpluses are added together, they represent the total social surplus, which is the overall benefit to society from the production and consumption of the good.

In this case, the producer surplus in the market for the good is $36, and the consumer surplus in the market for the same good is $9. To find the social surplus, simply add these two values:

Social Surplus = Producer Surplus + Consumer Surplus
Social Surplus = $36 + $9
Social Surplus = $45

Therefore, the social surplus in the market for this good is $45.

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A 15 kg runaway grocery cart runs into a spring with spring constant 270 N/m and compresses it by 64 cm.
What was the speed of the cart just before it hit the spring?
Express your answer to two significant figures and include the appropriate units.

Answers

To solve for initial speed of cart before it hits spring, we can use conservation of mechanical energy equation, The speed of the cart just before it hit the spring was 2.4 m/s.

The initial mechanical energy is the kinetic energy of the cart, given by: [tex]KE = (1/2)mv^2[/tex], where m is the mass of the cart and v is its initial speed. The final mechanical energy is the potential energy stored in the spring, given by: [tex]PE = (1/2)kx^2[/tex]

where k is the spring constant and x is the compression of the spring. Equating the two equations, we have: [tex](1/2)mv^2 = (1/2)kx^2[/tex]

Solving for v, we have: [tex]v = sqrt((kx^2)/m)[/tex] Plugging in the given values, we get: [tex]v = sqrt((270 N/m)(0.64 m)^2 / 15 kg)[/tex] = 2.4 m/s Therefore, the speed of the cart just before it hit the spring was 2.4 m/s.

This calculation assumes that there is no loss of mechanical energy due to friction or other factors. In reality, some energy may be lost to these factors, resulting in a slightly lower speed.

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How do companies practice motivation ( how do they motivate
there employees ) , why is motivation important in the company

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Companies practice motivation to enhance employee engagement, productivity, and overall satisfaction. They employ various strategies such as offering competitive salaries, providing a positive work environment, and implementing incentive programs.

Competitive salaries are a key factor in employee motivation, as they serve as a tangible reward for hard work and dedication. By compensating employees fairly, companies can reduce turnover rates and attract top talent, contributing to the overall success of the organization.

A positive work environment is essential for motivation, as it fosters a sense of belonging and promotes teamwork. Companies can achieve this by encouraging open communication, showing appreciation for employees' efforts, and creating opportunities for professional development. These measures can boost morale and make employees feel valued and supported.

Incentive programs, such as bonuses, promotions, and recognition awards, can also motivate employees by rewarding exceptional performance. These incentives drive employees to reach higher levels of achievement and demonstrate the company's commitment to recognizing and valuing hard work.

Motivation is crucial in a company because it directly impacts employee engagement, productivity, and job satisfaction. When employees are motivated, they are more likely to perform at their best, be committed to the organization, and maintain a high level of job satisfaction. This, in turn, leads to increased efficiency, improved work quality, and a more positive workplace culture, ultimately contributing to the overall success of the company.

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suppose caroline is indifferent between tea and coffee as long as she consumes an equivalent amount of caffeine. suppose that coffee has twice as much caffeine as tea. which graph would illustrate a representative indifference curve?

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The graph that would illustrate a representative indifference curve in this scenario is one that is bowed inward and slopes downward from left to right.

Since Caroline is indifferent between tea and coffee as long as she consumes an equivalent amount of caffeine.Her preferences can be represented by indifference curves that connect different combinations of tea and coffee that provide the same level of satisfaction (or utility) to her.

Since coffee has twice as much caffeine as tea, Caroline needs to consume half as much coffee as tea to get the same amount of caffeine. Therefore, the indifference curves would be flatter near the tea axis and steeper near the coffee axis. This implies that Caroline would be willing to give up more tea for a small amount of coffee as she moves along the curve towards the coffee axis.

The fact that the indifference curve is bowed inward reflects the principle of diminishing marginal utility. As Caroline consumes more of either tea or coffee, the marginal utility she derives from each additional unit consumed diminishes, and she becomes willing to trade off more of one for the other to maintain the same level of total utility.

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jerrod believes that joining the nar will greatly increase his effectiveness at selling. the annual membership is about $500. how should he pay for this?

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The decision of how to pay for the National Association of Realtors (NAR) annual membership of $500 depends on Jerrod's personal financial situation and preferences. Here are a few options he could consider:

Pay in full with cash or credit card: If Jerrod has the cash available, he could pay for the membership in full with cash or a credit card. This would allow him to start enjoying the benefits of NAR membership right away.

Use a payment plan: Some organizations offer payment plans for membership fees. Jerrod could check if NAR offers a payment plan and consider whether the payment schedule aligns with his budget and financial goals.

Reallocate his budget: Jerrod could review his current budget and see if there are any discretionary expenses that he could temporarily reduce or eliminate to free up the $500 for the membership. For example, he might cut back on dining out or entertainment expenses for a few months.

Consider the return on investment: Jerrod should evaluate the potential benefits of NAR membership and determine if the $500 membership fee is worth the investment. If he believes that NAR membership will greatly increase his effectiveness at selling, then paying the fee could be a wise investment.

Ultimately, the decision of how to pay for the NAR annual membership should be based on Jerrod's individual financial situation and priorities.

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season tickets for the dingos are priced at $380 and include 19 home games. an equal amount of revenue is recognized after each game is played. when the season began, the amount credited to unearned ticket revenue was $2,071,000. by the end of october, $1,526,000 of the unearned ticket revenue had been recognized as revenue. (a) how many season tickets did the dingos sell? season tickets sold by dingos

Answers

(a) The number of  season tickets sold by Dignos is , 27,250.

To determine how many season tickets the Dingos sold, we will need to use the given information on ticket prices, the number of home games, and the unearned ticket revenue.


1. The price of a season ticket is $380, which covers 19 home games. This means that the revenue recognized after each game is played is $380/19 = $20 per ticket.
2. At the beginning of the season, the total unearned ticket revenue was $2,071,000. By the end of October, $1,526,000 of this revenue had been recognized.


3. To find the remaining unearned ticket revenue, subtract the recognized revenue from the total unearned revenue: $2,071,000 - $1,526,000 = $545,000.
4. Since the Dingos recognize $20 per ticket after each game, divide the remaining unearned ticket revenue by the revenue per ticket: $545,000 / $20 = 27,250.
5. The result, 27,250, is the number of season tickets sold by the Dingos.

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A customer reports that print jobs sent to a local printer are printing as blank pieces of paper. What can help you to determine the cause?A. reload the printer driversB. Stop and restart the print spoolerC. Replace the printer cableD. Print and internal test page

Answers

If a customer reports that print jobs sent to a local printer are printing as blank pieces of paper, there are several steps that can be taken to determine the cause of the issue. First, it is important to check that the printer has enough ink or toner and that the ink or toner cartridges are properly installed. If the cartridges are low or empty, they should be replaced or refilled. Option D.

If the ink or toner levels are fine, the next step is to check the printer settings to ensure that the correct printer is selected and that the settings are correct. It is possible that the wrong printer was selected, or that the print job is being sent to a virtual printer or a printer that is not connected.
If the printer settings are correct, then it may be necessary to reload the printer drivers. This can be done by uninstalling and reinstalling the drivers from the manufacturer's website. It is also a good idea to stop and restart the print spooler, which can sometimes resolve issues with print jobs not being sent to the printer.
If none of these steps resolve the issue, it may be necessary to replace the printer cable or print an internal test page to determine if the printer itself is faulty. Overall, troubleshooting the issue may require a combination of these steps, and may involve additional troubleshooting steps depending on the specific printer and the nature of the issue. Option D.

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A portfolio beta is computed as which one of the following?
A. weighted average
B. arithmetic average
C. geometric average
D. correlated value
E. covariance value
See Section 12.4

Answers

A portfolio beta is computed as  weighted average.(A)

A portfolio beta represents the sensitivity of a portfolio to market movements, such as changes in the overall stock market. To compute the portfolio beta, you need to follow these steps:

1. Determine the individual beta values of each security in the portfolio.
2. Calculate the weight of each security in the portfolio by dividing the market value of the security by the total market value of the portfolio.
3. Multiply the individual beta value of each security by its corresponding weight in the portfolio.
4. Sum the products obtained in step 3 to find the weighted average, which is the portfolio beta.

The weighted average approach is used because it accounts for the proportion of each security in the portfolio, ensuring that the portfolio beta accurately reflects the overall risk associated with the portfolio.

Arithmetic or geometric averages, correlated values, and covariance values are not used to compute the portfolio beta, as they do not provide the same level of accuracy in measuring the portfolio's sensitivity to market changes.(A)

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which of these is a macroeconomic topic? please choose the correct answer from the following choices, and then select the submit answer button. answer choices how firms engage in nonprice competition how advertising affects consumer behavior how quickly unemployment falls after recessions end how rising food prices affect consumer behavior

Answers

How quickly unemployment falls after recessions end is a macroeconomic topic as it depicts an economic topic with a macro or high impact. Option c.

The speed at which unemployment falls after a recession is a macroeconomic topic because it deals with the overall performance of the economy rather than individual factors.

Unemployment is an important indicator of economic health, and high unemployment rates can signal a recession.

After a recession, it is crucial to determine how quickly the economy can recover and how long it will take for unemployment rates to return to pre-recession levels.

Macroeconomic policies such as government spending, monetary policy, and tax policies can affect the speed at which unemployment falls.

Therefore, macroeconomic analysis is necessary to determine the best policies and strategies to promote economic growth and reduce unemployment rates. Hence, option c is correct.

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Exercise 197
The Real Estate Products Division of McKenzie Co. is operated as a profit center. Sales for the division were budgeted for 2016 at $1,250,000. The only variable costs budgeted for the division were cost of goods sold ($610,000) and selling and administrative ($80,000). Fixed costs were budgeted at $130,000 for cost of goods sold, $120,000 for selling and administrative and $95,000 for noncontrollable fixed costs. Actual results for these items were:
Sales Cost of goods sold Variable Fixed Selling an
Prepare a responsibility report for the Real Estate Products Division for 2016.
Assume the division is an investment center, and average operating assets were $1,200,000. Compute ROI. (Round answer to 1 decimal place, e.g. 52.7.)
ROI- _______%

Answers

The return on investment is 0.2 or 20%. ROI higher than the cost of capital indicates value creation; a lower ROI may require restructuring or investment in areas with higher returns.

Responsibility Report for the Real Estate Products Division for 2016:

Sales: $1,300,000

Cost of goods sold (variable): $625,000

Selling and administrative (variable): $90,000

Cost of goods sold (fixed): $130,000

Selling and administrative (fixed): $120,000

Noncontrollable fixed costs: $95,000

Total costs: $1,060,000

Operating income: $240,000

The Real Estate Products Division of McKenzie Co. is a profit center, and the responsibility report for 2016 shows that the actual sales were higher than the budgeted amount.

The division's total costs, including variable and fixed costs, were $1,060,000, and its operating income was $240,000.

Assuming that the division is an investment center, we can compute the return on investment (ROI) by dividing the operating income by the average operating assets. The average operating assets were $1,200,000, and the ROI is:

ROI = Operating Income / Average Operating Assets

ROI = $240,000 / $1,200,000

ROI = 0.2 or 20%

The return on investment of the division indicates that it is generating a return of 20% on the investment made in the division. This information can be used by management to evaluate the performance of the division and to make decisions about future investments in the division.

If the ROI is higher than the company's cost of capital, it indicates that the division is creating value for the company, and if the ROI is lower than the cost of capital, it may be necessary to consider restructuring the division or investing in other areas with higher returns.

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the company's estimated total manufacturing overhead for the year is $1,566,700 and the company's estimated total direct labor-hours for the year is 33,600.the company is considering using a variation of activity-based costing to determine its unit product costs for external reports. data for this proposed activity-based costing system appear below: multiple choice$16.85.$26.18.$9.33.$4.40.

Answers

The none of the given multiple choice options can be selected as the answer.

How to find unit product cost?

In order to calculate the unit product cost using activity-based costing, we need to determine the predetermined overhead rate per direct labor-hour by dividing the estimated total manufacturing overhead by the estimated total direct labor-hours:

Predetermined overhead rate = Estimated total manufacturing overhead / Estimated total direct labor-hours

Predetermined overhead rate = $1,566,700 / 33,600

Predetermined overhead rate = $46.61 per direct labor-hour

Using this predetermined overhead rate, we can calculate the unit product cost for each product by adding the direct materials cost, direct labor cost, and overhead cost allocated based on the activity-based costing system.

Without any information on direct materials or direct labor, we cannot determine the exact unit product cost for any specific product.

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A rise in the price of cabbage from 145r to 185r increases the quantity supply of cabbages from 4,000 to 6,000 grams. The elasticity of supply is: O A. 1.75 OB. 1.25 OC.0.6 OD.0.8

Answers

Elasticity of supply = 1.81; if we round the answer to the nearest decimal point, the closest option would be A. 1.75. The elasticity of supply can be calculated using the formula:

Elasticity of supply = (% change in quantity supplied) / (% change in price)

First, let's calculate the percentage change in quantity supplied:
% change in quantity supplied = ((new quantity supplied - old quantity supplied) / old quantity supplied) x 100%
% change in quantity supplied = ((6,000 - 4,000) / 4,000) x 100%
% change in quantity supplied = 50%

Next, let's calculate the percentage change in price:
% change in price = ((new price - old price) / old price) x 100%
% change in price = ((185 - 145) / 145) x 100%
% change in price = 27.59%

Now we can plug these values into the formula:
Elasticity of supply = (50% / 27.59%)

Therefore, Elasticity of supply = 1.81

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as output increases, average fixed cost question 3 options: remains constant. decreases, then increases. always decreases. increases, then decreases.

Answers

In economics, understanding the relationship between output and cost is crucial for firms to make informed decisions. One important concept to consider is the average fixed cost (AFC). AFC is the fixed cost per unit of output and can provide valuable insights into the firm's cost structure. As output increases, AFC tends to decrease, and this relationship has important implications for a firm's profitability.

To answer the question, as output increases, average fixed cost (AFC) always decreases. This is because fixed costs are spread over a larger output, resulting in a lower fixed cost per unit. However, it is important to note that AFC will eventually reach a minimum point and then start to increase as output continues to increase. This is because some fixed costs may be subject to diminishing returns, leading to higher costs per unit of output.

In summary, firms should be aware of the relationship between output and AFC to optimize their cost structure and profitability. As output increases, AFC will decrease, but it is essential to monitor the point where AFC starts to increase to avoid any negative impacts on profitability.

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bioscience inc. will pay a common stock dividend of $3.20 at the end of the year (d1). the required return on common stock (ke) is 14 percent. the firm has a constant growth rate (g) of 9 percent. compute the current price of the stock (p0). (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

The current price of the stock is $64.00.

We can use the constant growth model to find the current price of the stock:

P0 = D1 / (Ke - g)

where:

D1 = dividend at the end of the year = $3.20

Ke = required return on common stock = 14%

g = constant growth rate = 9%

Plugging in the values:

P0 = $3.20 / (0.14 - 0.09) = $64

A dividend is a payment made by a company to its shareholders, typically as a distribution of profits.

The required return on common stock, also known as the cost of equity, is the minimum rate of return that investors require for investing in a company's common stock. It reflects the risk associated with the investment and the opportunity cost of investing in other securities with similar risk profiles.

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business incubators support fledgling start-ups and are often used to pursue specific entrepreneurial ventures developed by multiple choice strategic partners. new venture groups. product champions. lower-level managers.

Answers

Business incubators are organizations that provide support, resources, and mentoring to early-stage start-ups with the aim of helping them grow and succeed.

These incubators can be independent organizations or run by universities, government agencies, or corporations.

Incubators often work with specific entrepreneurial ventures developed by product champions.

These champions are individuals within an organization who champion a new product or business idea and work to bring it to fruition.

Incubators can provide support to these champions by providing access to funding, mentorship, and networking opportunities.

While strategic partners and new venture groups can also benefit from the resources provided by incubators, they are not typically the main focus of these organizations.

Lower-level managers may also be involved in incubators, but their role is typically to provide support and mentorship rather than to pursue specific entrepreneurial ventures.

Overall, business incubators are an important resource for early-stage start-ups, providing them with the support and resources they need to succeed.

By working with product champions and other entrepreneurs, these incubators help to foster innovation and promote economic growth.

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true or false management accounting has no prescribed rules about its content, how the content is to be developed, and how the content is to be presented.

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The statement "management accounting has no prescribed rules about its content, how the content is to be developed, and how the content is to be presented" is false.

While management accounting does not have formal regulatory bodies overseeing its content, development, and presentation, there are generally accepted accounting principles and guidelines that management accountants follow.

These guidelines ensure that management accounting reports are accurate, relevant, and useful for decision-making purposes. Additionally, companies may have their own internal policies and procedures for developing and presenting management accounting information.

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Which of the following behaviors from sales reps could lead to steep drop-offs between deal stages?
(A) Qualifying only MQLs sent over from marketing
(B) Negotiating poorly
(C) Laziness
(D) Giving bad demos

Answers

(A) Qualifying only MQLs sent over from marketing:

This behavior could lead to steep drop-offs between deal stages because not all MQLs (Marketing Qualified Leads) may be ready to buy, and not all may be a good fit for the product or service being offered. By not properly qualifying the leads before moving them further down the funnel, the sales rep may waste their time and effort on leads that are not likely to convert, leading to a high drop-off rate between deal stages.

(B) Negotiating poorly:

If a sales rep negotiates poorly, they may fail to address the needs and concerns of the potential customer, leading to a breakdown in the negotiation and a potential loss of the sale. This can cause a steep drop-off between deal stages because the potential customer may lose interest or decide to look for other options.

(C) Laziness:

If a sales rep is lazy, they may not put in the necessary effort to move the sale forward, such as following up with potential customers, answering their questions, and addressing their concerns. This can lead to a high drop-off rate between deal stages as potential customers lose interest or feel neglected by the sales rep.

(D) Giving bad demos:

Giving a bad demo can lead to a steep drop-off between deal stages because the potential customer may lose interest or fail to understand the value of the product or service being offered. This can cause them to drop out of the sales funnel and look for other options. A good demo is essential in showing the potential customer how the product or service can meet their needs and solve their problems.

In summary, "each of these behaviors can lead to a high drop-off rate between deal stages, but giving bad demos may have the most significant impact.

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