What did American farmers in the late 1880s see as two of their main problems ?

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Answer 1

Typically, they attributed low pricing to overproduction. Second, farmers claimed that grain elevators and railways with monopolies imposed inflated pricing on their services.

What do you mean by monopolistic?

having complete control over something or striving to do so, especially over a corporate sector, without allowing others to participate: She didn't believe that the fine would be sufficient to prevent monopolistic practices by major firms. The company is accused of engaging in monopolistic activity.

What is an illustration of monopoly?

being familiar with monopolistic competition

Restaurants, hair salons, home products, and clothing are some examples of industries with monopolistic competition. To sell, market, and set prices for products like dish soap and hamburgers, several competitor enterprises compete.

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Related Questions

Which economic system do you think is best able to provide for the wants and needs of individuals and why?  

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Answer:

Economics

the study of how individuals, families, businesses, and societies use limited resources to fulfill their unlimited wants

Labor

the work people do

Goods

tangible items that people buy

Capital

manufactured goods used to make other goods and services

Factors of production

land, labor, and capital

Productivity

the amount of output that results from a given level of inputs

Entrepreneurship

the ability of individuals to start new businesses, introduce new products and processes, and improve management techniques

Scarcity

a situation in which people do not have enough resources to satisfy every desire

Services

activities done for a fee

Economic model

a simplified representation of the real world

Factors of production include which of the following?

Explanation:

west corp. rented a building and received the $36,000 annual rental payment on june 15, year 2. the beginning of the lease was july 1, year 2. rental income is taxable when received. west's tax rates are 30% for year 2 and 40% thereafter. west had no other permanent or temporary differences. what amount of deferred tax asset should west report in its december 31, year 2, balance sheet?

Answers

On June 15, 2016, West Corp. signed a lease for a structure and received the $36,000 yearly rental payment. The lease began on July 1st.

What is structure and meaning?

structure that is solid. : something that has been arranged in a specific pattern, such as an anatomical portion. : the way that a substance or body's constituent pieces are arranged. molecular make-up. Buildings, aircraft, skeletons, anthills, beaver dams, bridges, and salt domes are all examples of load-bearing structures. The organization of components as dominated by the general nature of the whole. The infrastructure of a human society is made up of buildings and non-building structures that are the outcome of construction.

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true or false: financial markets exist as a small, local network of individuals and financial institutions

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It is true that a small, regional network of people and businesses makes up the financial markets.

About financial institutions:

Institutional investors and retail investors make up the financial market. A broad category of companies that serve as brokers, agents, and intermediates in financial transactions is referred to by the term "financial institution."

Although financial markets may appear complicated, their main purpose is to connect individuals so that money can go to those who need it most. For businesses to recruit, invest, and expand, markets provide financing. The stock market, the bond market, currency, commodities, and the real estate market are a few examples of financial markets and their functions. Capital markets, money markets, primary vs. secondary markets, and listed are more divisions of financial markets.

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On August 8th the​six-month risk-free rate of interest in Switzerland was 4 percent. If the spot exchange rate for dollars for Swiss francs is 0. 9252 and the​ six-month forward exchange rate is 0. 9270, what would you expect the U. S. ​ six-month risk-free rate to​ be?

Answers

the expected U.S. six-month risk-free rate would be approximately 3.17%.

The expected U.S. six-month risk-free rate can be calculated by using the covered interest rate parity formula, which states that the forward exchange rate should be equal to the spot exchange rate times (1 + domestic interest rate) divided by (1 + foreign interest rate).

Using this formula:

F = S  (1 + rd) / (1 + rf

Where:

F = Forward exchange rate

S = Spot exchange rate

rd = domestic interest rate (in this case, the U.S. interest rate)

rf = foreign interest rate (in this case, the Swiss interest rate)0.9270 = 0.9252 * (1 + rd) / (1 + 0.04)

Solving for rd, we get:

rd = (0.9270 * (1 + 0.04)) / 0.9252 - 1

rd = approximately 0.0317 or 3.17%

So, the expected U.S. six-month risk-free rate would be approximately 3.17%.

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paul and marie weir moved from a community property state to a common law property state last year. shortly before their move, paul used funds from the family bank account to purchase an airplane solely in his name. after they moved, paul sold the residence that they had acquired during their marriage and used those funds to purchase a new residence of an equivalent value solely in his own name. paul and marie entered into a spousal agreement specifying that all household furnishings belong to marie and the airplane belongs to paul. last month, paul died. what are the estate planning implications of the weirs' move from the community property state to a common law property state? a) the ownership interests in all of the property are determined by the way the property is titled. b) the airplane was never considered to be community property. c) the new residence is still considered to be community property. d) all of their assets remain community property because spousal agreements are invalid in community property states.

Answers

The ownership interests in all of the property are determined by the way the property is titled are the estate planning implications of the weirs' move from the community property state to a common law property state.

What is estate planning?

Estate planning is the process of preparing for a person's future incapacity or death by anticipating and making arrangements for the management and distribution of the person's estate while the person is still alive. Simply put, estate planning is the process of transferring investments and other assets from one generation to the next. You wish to leave to whoever and in what manner after passing away. You require one to make sure that the assets you desire to leave to your designated heirs are distributed to them.

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saddleback company paid off $41,000 of its accounts payable in cash. what would be the effects of this transaction on the accounting equation?

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Saddleback Company recently paid off $41,000 of its accounts payable in cash would increase the effects on the accounting equation.

This transaction had a significant effect on the accounting equation, as it increased the company’s cash balance by the same amount.

This led to a decrease in the company’s liabilities, as well as a decrease in the company’s equity, since liabilities and equity must always be equal.

Therefore, the accounting equation can be expressed as:

Assets = Liabilities + Equity.

In this case, Assets increased by $41,000, while Liabilities and Equity decreased by $41,000 each.

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problem 1-1: if you were asked to perform an excavation contract competitively with limited boring data, what type of contract would you want and why?

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If you were asked to perform an excavation contract competitively with limited boring data, the type of contract of unit price would want because the boring data is to difficult to find the overall price.

The unit price is the price which is used to be measure and to represent the set of price of the goods or services which is exchanged with the customers or any other consumers like customers, retailer, and brokers etc, for the money.

To perform an excavation contract competitively with limited boring data, the boring data has the set of log data. So, the type of the contract  of unit price is give new relation and values to find.

That's why, the type of contract of unit price would want because the boring data is to difficult to find the overall price.

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what impact did president jackson have on the national bank?

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Jackson transferred all federal funds out of the Second Bank of the United States on September 10, 1833, and gave them to a collection of state banks known as "pet banks."

What impact did President Jackson had on National Bank ?

The National Bank was seen by President Jackson as a dishonest organisation that was harming the interests of the country. From 1829 to 1933, Andrew Jackson was the 7th President of the United States. One of Jackson's first acts as president was to launch an investigation into the National Bank's practises because he thought the bank stood up for the interests of wealthy businessmen against those of middle-class people.

The National Bank would no longer be used by the government, and the President ordered that all Federal funds be taken out of the bank in 1833. The "bank war" was the name given to this conflict.

On September 10, 1833, Jackson distributed a number of state banks that were referred to as "pet banks" with all federal funds that were in the Second Bank of the United States. In addition, he said that no deposits would be accepted at the bank beginning on October 1.

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a market order specifies a price that you are willing to buy or sell at. it will be executed when there is demand or supply at that price. a limit order is to be executed immediately at the best outstanding limit order. b. a limit order limits the price that you are willing to buy at. it will be executed when there is a limited supply at that price. a market order is to be executed immediately at the best outstanding limit order. c. a limit order specifies a price that you are willing to buy or sell at. it will be executed when there is demand or supply at that price. a market order is to be executed immediately at the best outstanding limit order. d. a limit order specifies a price that you are willing to buy or sell at and is executed immediately. it a market order will be executed when there is demand or supply at the best outstanding limit order.

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A limit order outlines a price at which you are prepared to purchase or sell. It will be put into action if there is a need or a supply for that price. A market order must be filled right away at the best active limit order.

Market orders and limit orders: what are they?

Market orders are agreements that should be carried out as soon as practicable at the going rate. Limit orders define the highest and minimum prices at which you are willing to place a purchase or sell order. The difference between a stop order and a limit order is that a stop order is activated when an asset hits a specified price and is filled at the next available price. A limit order establishes a top price that you're willing to pay or a price floor that you're ready to pay. on a sale. In contrast to stop orders, limit orders are disclosed to the market.

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the textbook explains that individuals can be both sellers and buyers in the financial capital market. what does that mean?

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Capital assets, such as mines, factories, and railroads, can be privately owned and managed under a capitalist economy.

What do you mean by capital market?

A capital market is a location where buyers and sellers engage in trade (purchasing/selling) of financial securities like bonds, stocks, etc. Participants in the trade include individuals and institutions. Long-term securities make up the majority of capital market trades.

What is the capital market and what are its purposes?

A capital market is a financial marketplace where long-term debt or equity-backed assets are purchased and traded. Suppliers are individuals or groups with the funds to lend or invest. Common examples include investors and banks. India's capital market is governed by the Securities Exchange Board of India (SEBI).

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highest rate offered on a certificate of deposit from a bank

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Marcus by Goldman Sachs: $500 minimum opening deposit; 6 months to 6 years; 3.70% - 4.75% annual percentage yield. Capital One: No minimum deposit is required to open, terms of 6 months to 5 years, 3.30% APY to 4.30% APY. Synchrony Bank: No minimum deposit is required to open, terms of 3 months to 5 years, 2.25% APY to 4.60% APY.

How Many CD Terms Exist?

You'll note that many banks and credit unions offer certificates of deposit (CDs) in a wide range of terms and maturities while you're shopping for one. There is a lot of diversity among suppliers in terms of the conditions and interest rates that they can establish. But some term durations have essentially become the norm. We'll examine the most typical CD terms in this post and demonstrate how to build a CD ladder with staggered-term CDs to protect yourself against interest rate changes.

There are several terms and maturities available for certificates of deposit (CDs).

For example, banks and credit unions are allowed to determine their own CD conditions. Some of the most popular CD periods are three months, six months, one year, two years, three years, and five years.

If you want to protect yourself against interest rate changes and have access to some of your money each year, think about creating a CD ladder.

Understanding CD Terminology

When you purchase a CD, you consent to retain your funds in it for the CD's term, which is the period of time specified in the CD. In return, you will get a set interest rate from the bank or credit union that offers your CD; this rate is generally greater than the interest rate on other kinds of savings accounts. The drawback is that your money isn't liquid.

In most cases, there are severe penalties if you need to remove it before the CD's term expires.

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an account planner is planning their company's online advertising budget on a monthly basis. they choose ads performance planner for help accomplishing this task. which two advantages does performance planner offer? (choose two.)

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The correct response is d. Leverage of machine learning for forecasting.

In essence, forecasting enables a corporation to examine past trends along with their present position and predict a future. In order to predict sales, budgets, and other things, you can use business forecasting tools.  You can define and achieve goals by having a clear view of the potential of your company using data and industry trends. In marketing and sales, strategic forecasting is the process of predicting future demand and sales growth using benchmarks, historical data, and other information and considerations. Click Forecast Sheet in the Forecast group, which is located on the Data tab. Choose a line chart or a column chart from the Create Forecast Worksheet box to show the forecast visually. Select a conclusion by clicking Create after selecting a date in the Forecast End box.

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The method of assigning costs that results in a very precise cost figure, The specific term for attaching a direct cost with a cost object.

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Direct costing or variable costing is the process of allocating costs that yields a very accurate cost figure. "Activity-based costing" is the technical term for associating a direct cost with the a cost object.

What does "variable costing" mean?

An expense for the company that varies according to how much is produced or sold is called a variable cost. Depending on an industry's production or sales volume, variable costs rise or fall. They rise as production rises and fall as production declines.

Describe variable costs and provide an example.

Costs that change as the quantity changes are known as variable costs. Raw materials, paragraph labor, competitively priced, commissions, delivery fees, packaging costs, and credit card fees are a few examples of variable costs.

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the process of identifying customers for whom the company will optimize its offering is called .

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Targeting is the process of finding customers for whom a company's offering will be optimised.

What is the targeting?

Targeting is the capacity to identify an individual or group of people who require a specific service or product. These are the people to whom a company directs its marketing efforts and resources.

A target market is a group of customers with similar demographics who have been identified as the most potential purchasers of a company's goods or services. The determination of the target market for any new product is critical to the formulation and implementation of a successful marketing plan.

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The common characteristic not possessed by all assets is _____.
a. a future economic benefit
b. economic life greater than one year
c. physical substance
d. usually has greater financial value

Answers

The common characteristic of shared quality that not all assets share is physical substance.

What do you call anything made of physical matter?

The term "matter" broadly refers to any "physical substance." Instead of being a substance, mass is a quantitative characteristic of matter and other substances or systems. Different types of mass, such as rest mass, inertial mass, relativistic mass, and mass-energy, are defined in the field of physics.

Which two answers best sum up the physical characteristics of matter?

Anything that occupies space is referred to as matter, and it is made up of tiny units known as atoms. It must exhibit both the mass and volume properties.

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5. the entry to establish a $200.00 petty cash fund is (a) debit petty cash, $200.00; credit cash, $200.00. (b) debit petty cash, $200.00; credit miscellaneous expense, $200.00. (c) debit miscellaneous expense, $200.00; credit cash, $200.00. (d) debit cash, $200.00; credit petty cash, $200.00.

Answers

The entry to establish a $200.00 petty cash fund is (a) debit petty cash, $200.00; credit cash, $200.00.

A tiny amount of business money known as "petty cash" is frequently kept on hand (for instance, in a locked drawer or box) to pay for inconsequential or minor expenses like office supplies or employee reimbursements.

A tiny amount of cash known as "petty cash" is always available to pay for little expenses that don't require writing a check or using a credit card. Office supplies, cards for customers, flowers, catered lunches for workers, and employee cost reimbursement might all be paid for with petty cash.

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assume that a firm, riskyinc, faces a 0.4% chance of filing for bankruptcy per month. over the course of 25 years, what is the probability that riskyinc will file for bankruptcy?

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Over the course of 25 years the chances of Riskyinc filing for bankruptcy is 0.9%.

The probability that Riskyinc will file for bankruptcy over the course of 25 years can be calculated using the formula for the probability of an event occurring multiple times. This formula is P(A) = 1 - (1 - p)^n, where p is the probability of the event occurring once and n is the number of times the event is repeated. Bankruptcy is a legal proceeding introduced when a person or business is unfit to repay outstanding debts or  scores. The  ruin process begins with a solicitation filed by the debtor, which is most  familiar, or on behalf of creditors, which is less common. All of the debtor's  means are measured and  estimated, and the means may be used to  reimburse a portion of the outstanding debt. Bankruptcy offers an individual or business a chance to start fresh by forgiving debts that simply can not be paid while giving creditors a chance to  gain some measure of prepayment grounded on the existent's or business's  means available for liquidation.

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which of the following is an example of overconfidence bias? group of answer choices the human resource manager is looking for a replacement for an excellent former employee, so she compares all potential hires to that employee. the human resource manager hires someone because she is a recent graduate from a university that other successful hires have come from. the human resource manager's gut instinct tells him a potential hire is not right, so he looks for evidence to confirm his suspicion. the human resource manager carefully weighs the information about a new hire before making a decision.

Answers

A) Overconfidence bias The human resource manager compares all potential hires to an excellent former employee because she is looking for a replacement.

Which three types of overconfidence are there?

There are three distinct approaches to studying overconfidence. Thinking that you are better than you are is called overestimating. The exaggerated belief that you are superior to other people is known as overplacement. The excessive belief that you know the truth is called over precision.

How can you spot bias caused by overconfidence?

A situation where what you choose to believe is greater than the truth is known as overconfidence bias. An overconfidence bias occurs when you begin to rely on your own ideas and estimates rather than the facts. It's possible to be overconfident about your knowledge, skills, or abilities.

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what was a consequence of establishing the lend-lease act?

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The Lend-Lease Act allowed a struggling Great Britain to fight against Germany essentially alone until the United States entered World War II in the latter part of 1941, when the Soviet Union joined the Axis Powers.

What were the Lend-Lease Act's main effects, according to the quizlet?

Roosevelt now had the POWER to wage a war around the globe without American combatants on the front lines. Up until America formally entered the conflict after, the British kept fighting.

Why was the Lend-Lease Act opposed by some people?

It has been claimed that Great Britain was labeling American goods with its own names and exporting them to foreign nations. There have also been complaints that British manufacturers used lend-lease materials to create their products.

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dawn is selecting an alternative processing facility for her organization's primary data center. she needs a facility with the least switchover time, even if it's the most expensive option. what is the most appropriate option in this situation?

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In this situation, the most appropriate option would be to choose a colocation device. Colocation facilities are typically equipped with redundant power supplies, cooling systems, and bandwidth and provide a secure environment for server hardware.

The transition time for colocation is usually very short, and the costs associated with colocation are often higher than those associated with other types of data centers. In addition, colocation facilities often offer access to IT specialists and managed services that can help ensure a smooth transition to the new facility. Given the short transition time and access to IT specialists, colocation can be the best option when time is of the essence.

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the outcome of the implementation of scientific management was group of answer choices decreasing production efficiency. resistance from workers. that workers found unions less appealing. resistance from managers.

Answers

Scientific management reduced the need for skilled labor by assigning each employee a simple task that they would repeat over and over.

What is the importance of scientific management?Scientific management is a management theory that examines and synthesizes workflows. Its primary goal is to improve economic efficiency, particularly labor productivity. It was one of the first attempts to apply science to process engineering in management.Scientific management's primary goal is to increase efficiency. Taylor began his scientific management experiments with the goal of increasing efficiency by reducing the amount of time required to complete tasks.Scientific management is concerned with increasing the efficiency of each individual in the organization. Its primary emphasis is on increasing manufacturing through the use of advanced technology, and people are only considered as adjuncts to machines in the performance of recurring tasks.

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B) Resistance from the workforce was a result of the application of scientific management.

What happened when scientific management was put into practice?

Scientific management did away with the necessity for expert labor by assigning each employee a single, easy duty that they would repeatedly perform. The ability of workers to select their task and how it should be done was taken away by this strategy, which enhanced factory output.

Why has the labor movement never had a strong presence in American politics?

Urban areas and cities, which are underrepresented in Congress, are where the majority of industrial employees reside.

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after entrepreneurs such as glenn curtiss started building practical aircraft, the federal government, began to support the airline industry. True Or False

Answers

The federal government started assisting the airline industry once Curtiss and other entrepreneurs began producing useful planes. In 1918, the postmaster general of President Wilson's administration launched the first regular airmail service in history.

What is the name of the perspective that claims immigrants should not be allowed in a country?

Someone who believes that immigrants should not be allowed in their own country is known as a nativist. A large portion of Americans blamed immigration for bombings, strikes, and the economic collapse. southern and eastern Europeans.

What was the 1920s' most significant consumer good, and what impact did it have on society?

The vehicle, however, was the most significant consumer good of the 1920s. Due to inexpensive prices (the Ford Model T only cost $260 in 1924) and generous financing, vehicles were once considered luxury items.

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what is the amount of interest earned on 2000 for five years at 6 percent simple interest per year g

Answers

600 is the amount of interest earned on 2000 for five years at 6 percent simple interest per year.

We know that simple interest = (Principal * rate * time)/100

Principal = 2000

rate = 6%

and time = 5 years

So, Simple interest = (2000 * 6 * 5)/100

= 60,000 / 100

= 600

Simple interest is a loan interest payment that borrowers pay to lenders. It is based solely on the principal and does not account for compounding interest. Simple interest is not limited to certain loans. It is also the form of interest that banks pay on savings accounts.

The formula for calculating simple interest is straightforward. Simply multiply the loan's principle by the interest rate multiplied by the period.

This sort of interest is typically applied to auto loans or short-term loans, while it is used in some mortgages.

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Problem 1. 3 (15 points) You accepted a new job with starting salary of $52,000 per year. The salary is expected to increase 4% each year. Now it is time to make a retirement plan for the next 39 years you expect to work. Your retirement fund has an annual interest rate of 5%, and You plan to deposit 10% of your annual salary into the account. (Hint: Be sure to move all values to the same point in time for equivalency. )

A) (8 points) How much money will be in your retirement account at the end of 39 years? (Hint: this is a geometric gradient problem)

B) (7 points) How much can you with draw from that account each year in retirement for 25 years. Assume you will withdraw the same amount each year. (Hint: this is a uniform annuity problem) Please explain

Answers

(a). Money at the end of 39 years will be 1,085,960.29. (b). Annual uniform withdrawal for 25 years is 77,051.55

What exactly is a uniform annual benefit?

The EUAB is another name for an annuity for expected future cash flows. The benefits are calculated by first estimating the net current value and then calculating the annuity value.

Part (a). Money at the end of 39 years will be 1,085,960.29

Formula =>

(1+5- (1+g)

FW = Px

r- g

P = First payment Done

r = rate per period

g = growth rate of annunity

n = no of periods

Calculations =>

(1 + 1)" _ (1 + 8)"

FW = P x

I-g

= (10% × 52,000) x

= 1,085,960.29

(1 + 5%30 _ (1 + 4% 30

5%-4%

Explanation:Please refer to solution in this step.

Step: 2

Part (b). Annual uniform withdrawl for 25 years is 77,051.55

A = PV × (A|P, 5%,25)

= 1,085,960.29 × (0.070952)

= 77,051.55

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What is the coupon payment of a 25-year $1000 bond with a 4.5% coupon rate with quarterly payments?

Answers

The coupon payment of a 25-year $1000 bond with a 4.5% coupon rate with quarterly payments is $11.25.

What is quarterly payments?

Quarterly payments are payments that are made four times a year, typically on a quarterly basis. These payments may be for taxes, insurance premiums, or other expenses that need to be paid on a regular basis.

This is calculated by taking the face value of the bond ($1000) and multiplying it by the coupon rate (4.5%) to get $45. Then, divide this amount by 4 (the number of payments per year) to get the quarterly payment amount of $11.25.

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what does it mean when the irs accepts your federal return?
how long does it take after irs accepts your return?
what does it mean when the irs accepts your refund?
a. nature
b. nurture
c. Freud
d. isolation

Answers

If you file a complete and accurate paper tax return, your refund should be issued in about six to eight weeks from the date IRS receives your return.

When my tax return is accepted, what does that mean?

When you receive notice from the IRS that your return has been approved, it signifies that they have evaluated it and it has passed their initial examination. They check your personal information and other fundamental facts, such as if your dependents have previously been claimed by someone else. They have a few days after that to authorize your refund. They will look into your return and your past in further detail. Once the IRS has approved your return, they will fund your refund according to the timeline outlined above.

When you receive notice from the IRS that your return has been approved, it signifies that they have evaluated it and it has passed their initial examination. They double-check your personal details.

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because people respond to incentives, we would expect that if the average salary of accountants increases by 50 percent while the average salary of teachers increases by 20 percent,

Answers

True. We would anticipate students switching their degrees from educating to accounting if the average compensation of an accountant rose by 50% while the annual salary of teachers rose by 20%.

What exactly does a CPA do?

An attorney is a specialist who manages bookkeeping and organizes the financial records you use to run your company, including balance sheets, accounting records, and more. They check your books and create tax reports.

How challenging is the accounting profession?

Really, earning a degree in accounting isn't any more challenging than earning a degree in any other possible subject. Like every other program, accounting has some challenging parts, but you can also find portions of it to be comparatively simple or even straightforward.

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A company is involved in investing activities when these:
activities involve buying and selling productive resources with long lives (such as buildings, land, equipment, and tools), purchasing investments, and lending to others.
activities are directly related to running the core business to earn profits.
activities involve borrowing from banks and repaying bank loans.
activities involve borrowing from receiving contributions from shareholders, or paying dividends to shareholders.
Which of the following is true?
Credits decrease both assets and liabilities.
Credits increase expenses and decrease liabilities.
Credits increase revenues and decrease expenses.
Credits increase both assets and liabilities.
A company goes ahead and purchases inventory. The impact on the current ratio is:
positive, if CA < CL to start with and inventory is purchased on credit.
zero, if inventory was purchased using cash.
negative, if CA > CL to start with and inventory is purchased on credit.
All of the choices are correct.
The expense recognition principle requires:
that current assets and current liabilities are stated in a certain order on the balance sheet.
that expenses should be split between Cost of Goods Sold (sometimes called Cost of Sales) and Selling Expenses.
that costs are recognized as expenses in the same period as the revenues they generate.
that expenses should be recognized on periodic basis.
A company is involved in operating activities when these:
activities are directly related to running the core business to earn profits.
activities involve borrowing from banks, repaying bank loans, receiving contributions from shareholders, or paying dividends to shareholders.
activities involve buying and selling resources such as purchasing investments and lending to others.
activities involve buying and selling productive resources with long lives (such as buildings, land, equipment, and tools).

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When a company engages in operating activities, it is doing so in order to earn profits from its core business.

Operational business activities

This includes tasks like creating products and services, promoting products and services, receiving payments, and controlling expenses. Purchases of supplies and equipment, the hiring and training of personnel, and customer support are all examples of operating activities. The use of bank loans, their repayment, shareholder contributions, dividend payments, and receiving shareholder contributions are examples of additional activities.

Purchasing and selling durable, productive resources like furniture, tools, equipment, and real estate are examples of investing activities. Buying investments, making loans to other people, and investing in other companies may all fall under this category. Selling current investments, selling fixed assets, and acquiring intangible assets like patents and copyrights are additional investing activities that may be involved.

According to the principle of expense recognition, costs must be recorded as expenses in the same period that they are incurred and must be paid for out of the revenues they produce. As a result, costs should be divided between selling expenses and cost of goods sold, also known as cost of sales.

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What can be said about determining causation between two factors from a business standpoint, when you have a well-thought-out dataset?

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You can use good business judgment to find a cause, even if it's not always accurate. You will always be able to identify a cause if you use your business judgment.

What is meant by Business Judgement?

A court will uphold a director's decisions as long as they are made (1) in good faith, (2) with the care that a reasonably prudent person would use, and (3) with the reasonable belief that the director is acting in the best interests of the corporation, according to the doctrine. In a case in which a director does not hold any interest in a particular transaction, the director must demonstrate that the decision in question was an informed one, taken in good faith, and with the honest belief that the decision is aligned with the interests

By assuming that management is acting in the best interests of the corporation and its stakeholders unless proven otherwise, the business judgment rule shields businesses from frivolous lawsuits. The rule assumes that managers will not always make the best decisions.

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assume a fractional reserve banking system has a reserve requirement of 5 % 5%5, percent, all money is held in banks, and banks keep no excess reserves. which of the following best describes why the maximum amount of loans that can be made when a bank sells $ 100 $100dollar sign, 100 in bonds is greater than when $ 100 $100dollar sign, 100 is deposited in a bank? choose 1 answer: choose 1 answer: (choice a) a the bank has to pay the discount rate on the deposit. (choice b) b the bank has to pay the federal funds rate on the deposit. (choice c) c the bank has to keep $ 5 $5dollar sign, 5 of the deposit on reserve, but it can loan out all $ 100 $100dollar sign, 100 from the bond sale. (choice d) d the reserve requirement for bond sales is half of the requirement for deposits. (choice e) e the bank must keep all proceeds from a bond sale at the central bank.

Answers

The bank can loan out the entire $100 from the bond sale, but it must hold back $5 of the deposit as a reserve.

Do reserves include deposits?

Most commercial banks are required to maintain funds in their central bank account. Typically, these money are included in the reserves held by the banks. While some central banks do not pay the interest on these deposits, others do. The amount of cash a bank must keep in reserve is simply divided by the amount of money it keeps on deposit to determine the required reserve ratio. The required reserve ratio, for instance, would be 1/20 or 5% if a bank had $million in deposits and had to hold $500,000 in reserves. Interest is paid by the Federal Reserve on reserve balances.

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