in the management in action case it is evident that the changs did not effectively manage for technological advances. how could they have done this?

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Answer 1

There are several ways in which the management in the case could have effectively managed for technological advances are 1)Staying informed, 2)Investing in technology and 3)Encourage innovation.

1)Staying informed: Management should stay informed about the latest technological advancements in their industry, and assess how they can be used to improve their operations and products. This can be done through regular research and attending industry conferences.

2)Investing in technology: The management could invest in the latest technologies and equipment that can help to improve efficiency, productivity and competitiveness.

3)Encourage innovation: Management could encourage and support employees to come up with new ideas and innovations that can help the company to stay ahead of the technological curve.

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some individuals question how sustainable any competitive advantage a firm obtains through its initiatives is. what is the term used to describe this?

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The term used to describe is "sustainable competitive advantage". This refers to a firm's ability to maintain a competitive advantage over its competitors, for example through its unique strategy or its ability to continuously innovate and differentiate itself from the competition.

A sustainable competitive advantage can be gained through a number of means, such as excellent customer service, superior product quality, better prices, or even more efficient manufacturing processes. In order to maintain its competitive advantage, a company must constantly strive to innovate and differentiate itself from the competition. A sustainable competitive advantage is not easy to obtain, but it is a fundamental key to the success of any company.

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what is the big thing that the wastewater consumes when it is being broken down in a river?

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The main source of water pollution is sewage and waste water treatment, while farming and fossil fuel power plants are the main sources of diffuse pollution (via the air).

How does sewage pollute the water?

The dissolved oxygen content of the water decreases as organics decompose naturally in sewage by bacteria and other micro organisms. This jeopardizes the quality of lakes and streams, where high levels of oxygen are required for the survival of fish and other aquatic organisms.

Bacteria, viruses, and pathogens that cause disease can pollute beaches and contaminate shellfish populations, limiting human recreation, drinking water consumption, and shellfish consumption. Metals such as mercury, lead, cadmium, chromium, and arsenic can be toxic to species in both acute and chronic doses.Our sewer system transports rainwater and wastewater from toilets to the water treatment plant via the same pipes. When there is an excessive amount of rain, water companies are permitted to discharge overflow from these pipes into our rivers and seas.

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how could having budget categories help you prioritize your money?

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You may take care of fundamental needs, safeguard your credit, and reduce your financial stress by prioritizing your payments and budget in order of importance.

Why is a corporate budget important?

Most of the most crucial tools for directing your organization is a comprehensive and practical budget. A budget offers crucial knowledge for living within your means, dealing with unforeseen difficulties, and making a profit.

Explain a budget.

You can determine the amount of money you will expend each month by creating a written budget. If you don't establish a budget, you can run out of money before your next pay period. Your budget reveals how wealthy you are.

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a corporation issues $100 par convertable preferred stock, convertible at $20 per share, when the market price of the common is currently $10. which statement is true?

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When the market price of the ordinary stock is currently $10, a firm issues $100 par convertible preferred stock, convertible at $20 per share. Which of the following statements is Par Value / Conversion.

Price is the conversion ratio. Conversion Ratio: 5:1 (100 Par / $20 Conversion Price). When comparing convertible preferred stock with non-convertible preferred stock, which statement is C is the best solution. Convertible preferred rates are greater than non-convertible preferred yields. A non-convertible preferred shareholder receives a set rate of return with no opportunity for expansion. Important Takeaways. Convertible preferred stock can be converted into common stock at a predetermined conversion ratio. When the market price of the company's common stock increases above the conversion price, preferred shareholders may find it desirable to convert and reap a profit.

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An investor is currently fully invested in gold mining stocks. Which action would do more to reduce portfolio risk: diversification into silver mining stocks or into automotive stocks? Why?

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Diversification into automotive stocks would do more to reduce portfolio risk.

Diversification is a strategy used to spread investments across different asset classes, sectors, and industries to reduce the risk of a portfolio. The idea behind diversification is that different types of investments will have different returns and will be affected differently by market conditions. By spreading investments across different types of assets, an investor can reduce the overall risk of the portfolio.Gold mining stocks and silver mining stocks are both in the same sector and are likely to be affected by similar market conditions. They are also commodities and could be affected by the same market factors such as supply and demand, geopolitical events, and global economic conditions. Therefore, adding silver mining stocks to a portfolio that is already invested in gold mining stocks will not provide much diversification.Overall, diversifying into automotive stocks would provide greater reduction in portfolio risk than diversifying into silver mining stocks, as they are in different sectors, and have less correlation between them, thus reducing the overall risk of the portfolio.

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a medieval knight could not go to the armor maker and pick out a size 44 long suit of armor to protect him in battle. nor could a person living in the middle ages go to the cobbler and get a pair of shoes in a few minutes. this period before the advent of marketing is known as the .

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This period before the advent of marketing is known as the pre-industrial era.

The Pre-Industrial Age was a period of time before the Industrial Revolution, when most goods were produced by hand and the production of goods was limited by the availability of resources and the skills of the craftsmen. During this period, goods were made in small batches and often customized to the individual customer's needs. This meant that a knight could not simply go to the armor maker and pick out a size 44 long suit of armor, as the armor maker would have to craft the armor to fit the knight's exact measurements. Similarly, a person living in the middle ages could not go to the cobbler and get a pair of shoes in a few minutes, as the cobbler would have to craft the shoes to fit the customer's feet. The term "pre-industrial" refers to the period before machines were used to mass-produce things.

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the statement of cash flows classifies items as multiple choice question. operating and nonoperating. current and noncurrent. recurring and nonrecurring. operating, investing, and financing.

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Operating, investing, and financing operations are the three primary categories into which the statement of cash flows divides the cash inflows and outflows.

What is a business finance example?

This includes making purchases and sales, borrowing money, keeping track of accounts, investing, transferring funds between accounts, refinancing assets, and becoming public. IPOs are read more. Companies can raise funds through an initial public offering (IPO) by trading their shares on a stock exchange.There are two primary types of external finance: equity financing, which is money provided in exchange for a portion of ownership and potential future earnings, and debt financing, which is cash that must be repaid, typically with interest.

The issue and repayment of equity, the payment of dividends, and the issuance

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Discover the Cash Flow Statement MCQs; for the benefit of the students, the answers to these multiple-choice questions are provided.

What is a statement example?

While it is true that bananas are boneless, I still enjoy them for their flavour and nutritional value more than their lack of bones. Therefore, if I stated, "I prefer bananas because they have no bones," I would be lying. Because of this, it is a statement to say "I enjoy bananas because they have no bones." A statement is a directive issued to the computer that tells it to carry out a specific task, like display something on the screen or gather input. A succession of assertions make up a computer programme.

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ivan has inherited his mother’s 1963 chevrolet corvette, which he values at $45,000. he decides that he might be willing to sell it, so he posts it on craigslist for $55,000. samantha is interested and willing to pay up to $72,000 for one, so they agree on a price of $55,000 for the car. Would Ivan and Samantha want to voluntarily engage in trade? How much economic surplus is created for both of them as a result of this exchange? What is the total economic surplus?

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The total economic surplus will be $27,000 from the exchange between Ivan & Samantha.

What is economic surplus?The combined benefit, which is sometimes referred to as "total welfare," is referred to as economic surplus. It is the sum of the gains that a consumer or producer receives from economic activity. Total surplus or community surplus are two other names for it.Market wellness is evaluated using this economic metric. Consumer is receiving a surplus when they acquire an item at a price that is lower than what they would be willing to pay for it. A surplus is earned by a producer when they sell a product for more than the minimum price they are willing to sell it at.The laws of supply and demand govern the surplus of the economy. Customers want to feel like they're getting a good deal, while businesses want to make as much money as possible without losing them.The market is in "equilibrium," or allocative efficiency, when consumers' and producers' supply and demand are in good shape.

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which recovery structure is best described by the following definition? this options specifies that the tenant will pay expenses over their prior year base year stop. the tenant is responsible for their share of any expenses over this amount.

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The best statement that defined recovery structure is a. Base Year Stop + 1. That statement has a definition as  a condition when all tenants pay a pro-rata share of the recoverable expenses over a stop amount.

In economic and business, Commercial real estate expense recoveries or also known as retail recoveries generally can be defined as the shared expenses that a landlord passes on to its tenants. Recovery structure real estates also can be defined as a subsequently recovers by generating an invoice to the tenant for their pro-rata share. Tenants are typically charged on a proportionate-share basis for their share of the costs In commercial real estate.

Which Recovery Structure is best described by the following definition? This option specifies that the tenant will pay expenses over their base year stop for the year following the lease start. The tenant is responsible for their share of any expenses over this amount.

a. Base Year Stop + 1

b. Base Year Stop -1

c. Base Year Stop

d. Fixed Amount

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Why is the income statement the first financial report prepared?

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The first financial statement to draft is the income statement. This is due to the fact that your balance sheets as well as cash flow statement depend on the assumptions from the income statement.

Describe cash flow.

Cash flow is the deposit account of money pouring into and leaving an institution at a specific time. A business receives and spends money continuously. A corporation's capital investment, or the amount of resources available to carry out activities and manage corporate activities, is determined by a cash flow calculation.

Why does cash flow so important?

Your business needs a certain quantity of readily surplus funds to stay afloat. The ratio between a company's revenues and costs during a specific time period is what is known as cash flow. A cash flow report can be used to forecast the movement of your funds.

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which generally accepted accounting principle best supports the establishment of the account, allowance for doubtful accounts?

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Generally Accepted Accounting Principles (GAAP) require companies to establish an allowance for doubtful accounts to properly reflect the estimated amount of uncollectible accounts receivable.

This is done to ensure that the reported accounts receivable balance accurately reflects the amount of money that is expected to be collected.

The process of measuring, analysing, and disseminating financial and other information about firms and corporations is known as accounting and is frequently abbreviated to "accounting."

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carter co. records credit losses adhering to the current expected credit loss model. during the year, carter wrote off a customer's account receivable. what impact does the write-off have on carter's net income and total assets?

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According to the current projected credit loss model, carter company tracks credit losses. carter wrote off a customer's account receivable during the year. Both net assets and net income remained unchanged.

The net profit amount on an income statement is equivalent to the change in net assets. It is used in financial reporting for nonprofit organisations. The indicator displays changes in assets as a result of revenue, expenses, and any assets that have had their limits lifted.

Logically, assets must equal liabilities plus equity, hence the change in assets less the change in liabilities must equal net income. That, of course, is presuming that there haven't been any capital transactions in the equity account, like dividend payments to owners or new investments by owners.

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How is the amount on line 1 of my 8995 (Qualified Business Income Deduction) calculated?

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Your Profit less: The amount of Qualified Business Income on your 8995 is equal to: Reduced SE tax by half. Assurance of payment. Your SE Health Insurance deduction.

How to figure up the 2022 qualifying business income deduction?

50% of the company's W-2 wages OR the total of 2.5% of the unadjusted basis of all qualifying property + 25% of the company's W-2 wages. Whichever of these two wage tests results in a bigger deduction is your choice.

What is the calculation for qualifying business deductions?

Here's an illustration: You have a $150,000 taxable income, of which $60,000 is QBI. To calculate your deduction ($12,000), you just multiply your QBI ($60,000) by 20%. If your taxable income is more than the threshold for your filing status, a unique formula is employed to calculate your deduction.

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finally, the client would have to reimburse dakota for every penny of actual expenses and costs incurred in-house, such as photocopies, plus any costs and expenses incurred from outside services providers, such as court reporters or experts. the client was astonished at the exorbitant fees, but she reluctantly agreed because she felt she had no real choice. dakota did memorialize their agreement in writing. is attorney dakota subject to discipline for this fee agreement?

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Professional misconduct is the most common reason for attorney discipline. Lawyers can also be disciplined for conduct in their personal lives.

What is attorney?In the United States, the terms lawyer and attorney are often used interchangeably. For this reason, people in and out of the legal field often ask, “is an attorney and a lawyer the same thing?”.In colloquial speech, the specific requirements necessary to be considered a lawyer vs attorney aren’t always considered. Though in everyday speech these terms usually refer to the same person, there are distinctions that law students should be aware of.Understanding the difference between a lawyer and an attorney is important for anyone interested in earning a Juris Doctor (J.D.) degree. Whether you are wondering how to become a lawyer or an attorney in court, having the correct definition of each term may help to guide your career decisions.  

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Attorney fees must be fair, and any fee arrangement must be in writing and include a detailed explanation of the basis or rate of the charge as well as any costs that the client will be responsible for.

What attorney Dakota subject to discipline for this fee agreement?Additionally, it is important for attorney Dakota to clearly explain the fee agreement to the client, including any potential costs or expenses that may be incurred, and obtain the client's informed consent to the agreement. If the client later complains about the fee agreement and it is found to be unreasonable or not properly explained and consented to, attorney Dakota could potentially be subject to disciplinary action.Attorneys have a duty to provide clear and concise information about their fee agreements and to obtain informed consent from the client. Additionally, attorneys are also required to charge reasonable fees and expenses. If a client complains about the fee agreement and it is determined that the attorney did not properly explain the fee agreement or obtain informed consent, or if the fees or expenses are found to be unreasonable, the attorney could potentially be subject to disciplinary action by the state bar association or other regulatory body.

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all of the following topics fall within the study of microeconomics except a. the impact of cigarette taxes on the smoking behavior of teenagers. b. the role of microsoft's market power in the pricing of software. c. the effectiveness of antipoverty programs in reducing homelessness.

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Option D, The influence of the government budget deficit on economic growth is the one that doesn't come from microeconomics.

Microeconomics focuses on the smallest possible scale of an economy, the level at which individuals make production, consumption, and other economic decisions. In microeconomics, the focus is on the unique aspects of each factor.

In the main, discussions of economic expansion refer to the economy as a whole. When the topic of economic expansion is broached, all ideas about the economy as a whole are included.

In addition, the government is a legitimate organization with the authority to control the economy as a whole. Consequently, this idea has zero bearing on the study of microeconomics.

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The right way of asking the question is:

All of the following topics fall within the study of microeconomics except:

a. the impact of cigarette taxes on the smoking behavior of teenagers.

b. the role of Microsoft s market power in the pricing of software.

c. the effectiveness of antipoverty programs in reducing homelessness.

d. the influence of the government budget deficit on economic growth.

the property tax on a rental house owned by mr. janey increased by $1,200 this year. mr. janey increased the monthly rent charged to his tenant, ms. lacey, by $45. who bears the incidence of the property tax increase? group of answer choices

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Both Mr. Janey and Ms. Lacey bears the incidence of the property tax increase.Option C is correct .

The incidence of a tax increase is the burden of the tax, which in this case was passed on to Ms. Lacey in the form of a rent increase. This is common practice, as it allows the landlord to recover the cost of the tax increase without having to absorb the entire amount.

Simply put, it is a tax that landowners pay to the government or the local municipal body. All forms of tangible property owned by a single person, including homes, lands with buildings attached to them, offices, and other real estate rented to other people, are subject to property tax.

Hence from the given options: A. Mr. Janey

B. Ms. Lacey

C. Both Mr. Janey and Ms. Lacey

D. Neither Mr. Janey nor Ms. Lacey

C. Both Mr. Janey and Ms. Lacey are the correct choices.

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camden company sets the selling price for its product by adding a markup to the product's variable manufacturing costs. this approach to pricing is referred to as:

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Cost plus pricing is the approach referred to in the question.

Markup pricing or cost plus price are both names for the same thing. It's a pricing strategy in which a predetermined percentage is added to the per-unit production costs of a good or service (unit cost). The sum in question is the retail price of the item.

Cost-plus pricing's key benefit is its lack of complexity. This straightforward pricing method just includes adding a markup or predetermined percentage to the product or service's cost to determine the final selling price.

The primary issue with cost-plus pricing is that firms may be overcharging for their goods and services because it does not account for demand or competition. It's possible that this could result in lost revenue and decreased profits.

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The right way of asking the question is:

Camden Company sets the selling price for its product by adding a markup to the product's variable manufacturing cost. The approach to pricing is referred to as.

a firm has total debt of $1,350 and a debt-equity ratio of .20. what is the value of the total assets? multiple choice $1,620.00 $6,750.00 $2,700.00 $2,000.00 $8,100.00

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If a firm has total debt of $1,350 and a debt-equity ratio of .20 then the value of the total assets will be $8,100.

The margins the company produces are used to gauge its efficiency. Higher gross margins are a sign of more effective production in cutting manufacturing costs. The analysis of profitability ratios includes all profit margins.

1. To calculate total assets we have

Total debt = $1,350

Debt-equity ration = .20

First we will be calculating Equity value.

Equity = [tex]\frac{total debt}{debt - equity ratio}[/tex]

Equity = [tex]\frac{1350}{.20}[/tex]

Equity = $6,750

The total equity is $6,750

2. Calculating Total Assets

The total debt is $1,350

The total equity is $6,750

The accounting equation will be used to calculate total assets

Total Assets = Total debt + Total equity

=  $1,350 + $6,750

= $8,100

The total assets are $8,100.

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Assume that Zimbabwe and Portugal can switch between producing toothbrushes and producing hairbrushes at a constant rate. Refer to Table 3-6. Assume that Zimbabwe and Portugal each has 180 machine minutes available. If each country divides its time equally between the production of toothbrushes and hairbrushes, then total production is 24 toothbrushes and 12 hairbrushes. 48 toothbrushes and 24 hairbrushes. 96 toothbrushes and 48 hairbrushes. 720 toothbrushes and 1440 hairbrushes

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The opportunity cost production of a single hairbrush in Portugal is 6/5 toothbrushes and 10/3 toothbrushes.

Portuguese immigrants to Zimbabwe: why?

To determine where the King of Mutapa State resided, the routes taken to transport gold and ivory to the coast, the availability of food supplies, and the goods used for its purchase, the Portuguese needed to know where the gold was sourced, who controlled its collection and trade, and who controlled the routes used to transport gold and ivory to the coast.

Where do Zimbabweans come from originally?

Ancestors of the San people lived in what would become Zimbabwe until about 2,000 years ago. When the Bantu residents of the area came, they started a ceramics industry there. The Kingdom of Mapungubwe and the Kingdom of Zimbabwe are two examples of the numerous commercial empires that arose.

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during a transaction in the secondary market, what percent of the sale price goes to the managers of the firm to use to grow the business? multiple choice question.

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In a secondary market deal, the company's management receives no proceeds(Zero Percentage) to reinvest in the company.

In order to make informed investment decisions, traders always look for benchmarks to evaluate companies against. The market capitalization and sales of a company are put into a formula called the price-to-sales ratio.

The price-to-sales ratio (P/S) is determined by dividing the market capitalization of a firm (the number of outstanding shares times the per-share price) by the revenue the company generated in the prior fiscal year.

Investors should look for a low P/S ratio in a promising stock. A price-to-sales ratio is a valuable tool for evaluating stocks.

How much investors are willing to pay for every dollar of a company's sales can be inferred from the ratio of price to sales. In the case of growth stocks that haven't yet turned a profit or have experienced a temporary setback, this ratio can be useful in determining their fair market value.

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The right way of asking the question is:

During a transaction in the secondary market, what percent of the sale price goes to the managers of the firm to use to grow the business?

a. 100%

b. 0%

c. 50%

d. 10%

freeze ice creams has total assets of $591,600, current liabilities of $49,700, dividends paid of $12,000, net sales of $68,400, and net income of $55,400. assume that all costs, assets, and current liabilities change spontaneously with sales. the tax rate and dividend payout ratios remain constant. if the firm's managers project a firm growth rate of 6 percent for next year, what will be the amount of external financing needed to support this level of growth? assume the firm is currently operating at full capacity.

Answers

To achieve a 6% growth rate, the equity multiplier (or leverage) must increase.

What will be the amount of external financing needed to support this level of growth?To calculate the amount of external financing needed to support a growth rate of 6%, we can use the DuPont Model, which breaks down a firm's return on equity (ROE) into three components: net profit margin, asset turnover, and equity multiplier.First, calculate the ROE for this year:ROE = (net income / shareholders' equity)Equity of shareholders is equal to total assets minus current liabilities.ROE = (55,400 / (591,600 - 49,700)) = 0.11 or 11%Next, calculate the growth rate using the DuPont Model:ROE = (net profit margin) x (asset turnover) x (equity multiplier)Net profit margin is equal to (Net Income / Net Sales).asset turnover = (net sales / total assets)equity multiplier = (total assets / shareholders' equity)Given that the tax rate and dividend payout ratios are constant, we can assume that net profit margin and asset turnover will stay constant as well.Therefore, to achieve a 6% growth rate, the equity multiplier (or leverage) must increase.external financing needed = (equity multiplier * shareholders' equity) - total assetsBy using the above formula, we can calculate the amount of external financing needed.

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To achieve a 6% growth rate, the equity multiplier (or leverage) must increase.

What will be the amount of external financing needed to support this level of growth?

To calculate the amount of external financing needed to support a growth rate of 6%, we can use the DuPont Model, which breaks down a firm's return on equity (ROE) into three components: net profit margin, asset turnover, and equity multiplier.

First, calculate the ROE for this year:

ROE = (net income / shareholders' equity)

Equity of shareholders is equal to total assets minus current liabilities.

ROE = (55,400 / (591,600 - 49,700)) = 0.11 or 11%

Next, calculate the growth rate using the DuPont Model:

ROE = (net profit margin) x (asset turnover) x (equity multiplier)

Net profit margin is equal to (Net Income / Net Sales).

asset turnover = (net sales / total assets)

equity multiplier = (total assets / shareholders' equity)

Given that the tax rate and dividend payout ratios are constant, we can assume that net profit margin and asset turnover will stay constant as well. Therefore, to achieve a 6% growth rate, the equity multiplier (or leverage) must increase external financing needed = (equity multiplier * shareholders' equity) - total assets

By using the above formula, we can calculate the amount of external financing needed.

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1. if you were to start a business, which ownership form would you choose? what factors might affect your choice? 2. why might an investor choose to become a partner in a limited partnership instead of purchasing the stock of an open corporation?

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A. 1. The form of ownership chosen to start a business would depend on several factors, such as the size and type of business, the number of owners, the amount of capital needed, the tax benefits desired, and the degree of control and responsibility. required.

2. An investor may choose to become a partner in a limited partnership (LLP) instead of purchasing shares in an open partnership because a limited partnership offers greater control, tax benefits, and protection from personal liability.

B. An investor may choose to become a partner in a limited partnership instead of purchasing stock in an open partnership because limited partnerships offer greater control and tax benefits, as well as protection from personal liability. Limited partnerships allow the partners to have a say in the management of the business, while open corporations are managed by a board of directors or shareholders.

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qualified business income deduction simplified calculation

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The simplified calculation for form 8995 will be:

Profit -Qualified Business Income on Form 8995, 1/2 SE tax break, payment guarantees,The amount you deduct for SE Health Insurance Income under Section 199A Contributions to a SEP, Simple or Qualified Retirement Plan are eligible for the SE deduction.

What is Form 8995?The pass-through or Section 199A deduction, also known as the qualified business income (QBI) deduction, is claimed by owners of pass-through entities such as sole proprietorships, partnerships, LLCs, and S corporations using Form 8995 from the Internal Revenue Service.To claim the pass-through deduction, using the simplified form can save a lot of paper. The business's qualified business income, potential deduction phaseouts, and the resulting deduction are all calculated using the expanded form 8995-A, which has four sections and four additional schedules.Form 8995 is relatively simple. It only has 17 lines on one page. If your total taxable income before the qualified business income deduction is below the aforementioned threshold and you are not a patron of an agricultural or horticultural cooperative, you can use this simplified version.It must use the more complicated form if your taxable income before the qualified business income deduction is above the threshold or if you patronize a cooperative.

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can a female employee sue her employer for sexual harassment based on the conduct of another female employee?

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Yes, a female employee can sue her employer for sexual harassment based on the conduct of another female employee. Despite the fact that the harasser is of the same gender as the victim, sexual harassment is still considered discrimination under the law.

Yes, a female employee can sue her employer for sexual harassment based on the conduct of another female employee. Sexual harassment is a form of prohibited discrimination under Title VII of the Civil Rights Act of 1964. This means that an employer can be held liable for the actions of all employees, regardless of their gender.

When an employer is aware of the harassment and does not take appropriate action to stop it, they are seen as condoning the behavior and thus can be held liable. This is known as "vicarious liability". This is why it is important for employers to have strong policies in place to protect employees from any form of discrimination, including sexual harassment.

In order to prove that the employer is liable for the sexual harassment, the female employee would have to show that the employer knew or should have known about the harassment and failed to take appropriate corrective action. This could include evidence of any complaints made to the employer about the harassment, or any other evidence that the employer was aware of the harassment.

The female employee would also have to show that the harassment was unwelcome and that it was based on her gender. The employee would also have to show that the harassment was severe enough to create a hostile work environment.

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assume that the inflation rate is positive. according to the fisher equation, which statement is incorrect?

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If inflation is higher than the real interest rate, then the nominal interest rate must be negative.

When is there positive inflation?

This set’s terms (37) When inflation is positive, the nominal interest rate must be higher than the real interest rate. The loanable funds hypothesis refers to the link between interest rates and projected inflation.

Inflation has an impact on every part of the economy, including consumer spending, company investment, and employment rates, as well as government programs, tax policies, and interest rates.

Inflation is positive when the average price of goods and services rises. It should be noted that this does not imply that all prices are growing or that they are rising at the same rate. In fact, if prices decrease sufficiently, the average may fall as well, resulting in negative inflation, often known as deflation.

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remote geographic locations such as the bahamas must rely on imported goods since the country cannot produce everything it needs. however, the bahamas is well known for its cigars and rum, which are exported around the world. the principle that captures this example of goods imported to the bahamas and exported from the bahamas is called the .

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The principle that captures this example of goods imported to the bahamas and exported from the bahamas is called the principle of comparative adavantage.

Principle of comparative advantage is an economy's ability to produce a particular good or service at a lower opportunity cost than its trading partners. Comparative advantage is used to explain why companies, countries, or individuals can benefit from trade.For example, if a country is skilled at making both cheese and chocolate, they may determine how much labor goes into producing each good. If it takes one hour of labor to produce 10 units of cheese and one of of labor to produce 20 units of chocolate, then this country has a comparative advantage in making chocolate.

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Becky want an account that will let her pend her money a much and a often a he need.

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A checking account would be the greatest account for Becky to have if she wants to be able to spend her money as much as she wants.

What is Checking account?

For the sake of transactions and payments, a checking account enables you to make deposits as well as withdrawals at your whim. You are able to write checks with it. It's a bank account that you use to make regular deposits and withdrawals, which can be done with cash or by using your debit card in place of it.

Checking account: A term deposit makes it simple to access your money for daily transactions while also keeping it safe.

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andy, 68, has a gross estate currently valued at $2,500,000 that consists primarily of highly appreciated growth securities. within the last six months, andy transferred $500,000 worth of these securities to his wife, harriet. his cost in these securities was $200,000. harriet recently died. the fair market value of the transferred securities at the time of her death was $500,000. the securities passed to andy under the terms of harriet's will. which one of the following is an income tax implication of the transfer of stock? a) andy's basis in the stock is $500,000. b) if andy sells the stock he received from harriet immediately after her death, his gain, if any, will be deemed to be short-term capital gain. c) andy's basis in the stock is $200,000. d) andy must recognize $300,000 in capital gain on the stock as of harriet's death.

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The income tax implication of the transfer of stock is that Andy will have to recognize a capital gain of $300,000 ($500,000 fair market value at time of transfer - $200,000 cost basis).

What is the concept of transfer of property?

The theory used in this question is the rule of basis in the transfer of property.When property is transferred from one person to another, the basis of the property is usually determined based on the original cost to the original owner.

In this case, Andy's basis in the transferred stock is $200,000.

The steps for this process are as follows:

The stock was transferred from Andy to Harriet, and then passed back to Andy through her will.

Since the stock was a gift, the basis of the stock is equal to the fair market value at the time it was transferred, which is $500,000.

Since that is greater than the original cost of the stock, which was $200,000, Andy's basis in the stock is $200,000.

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what sport marketing giant was originally known as blue ribbon sports?

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Nike sport marketing giant was originally known as blue ribbon sports.

Why was Blue Ribbon Sports changed to Nike?

American sportswear manufacturer Nike, Inc., originally known as Blue Ribbon Sports (1964–1978), is based in Beaverton, Oregon. A track & field coach at the University of Oregon named Bill Bowerman and his former pupil Phil Knight established it as Blue Ribbon Sports in 1964. To get out of its exclusive agreement with Blue Ribbon, the Japanese corporation, according to Knight, intended to destroy the business. Tiger asserts that he found Blue Ribbon Sports selling their own Tiger Cortez model under a new brand of footwear they named "Nike."

So, Nike sport marketing giant was originally known as blue ribbon sports.

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please help me i cant solve this :(

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Answer: 25% is your answer

Explanation: (Simplify) 150/600 = 0.25 = 25%

I hope this helps! :)

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