What‘s the difference between sales tax and excise tax?.

Answers

Answer 1

Sales tax and excise tax are both forms of taxation that are imposed by the government. However, there are some significant differences between the two.

A sales tax is a tax that is imposed on the sale of goods and services.

It is usually a percentage of the purchase price and is added at the time of sale.

The tax is collected by the retailer and then remitted to the government.

Sales tax can be imposed at the state, county, and city levels, and the rate can vary depending on the location.
Excise tax, on the other hand, is a tax that is imposed on specific goods and services.

These goods and services are often considered to be harmful or undesirable, such as alcohol, tobacco, gasoline, and firearms.

Excise tax is usually a fixed amount per unit or a percentage of the price, and it is included in the purchase price of the product. The tax is collected by the manufacturer or importer and then remitted to the government.
One major difference between sales tax and excise tax is the way they are collected.

Sales tax is collected by the retailer at the time of sale, while excise tax is collected by the manufacturer or importer before the product is sold. Another difference is the way the taxes are calculated.

Sales tax is calculated as a percentage of the purchase price, while excise tax is calculated as a fixed amount per unit or a percentage of the price.

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Related Questions

After Jeffrey Immelt, CEO, restructured the company in 2009 with the goal of achieving "reliable and sustainable future growth", by 2018, the company continued to lose money. According to the case, the cause for the underperformance was:

a. the economy had shifted, causing businesses to lose market share
b. new competitors had entered the market, challenging many of the units
c. Immelt used too much of the company's cash for acquisitions
d. moral in the company was too low
e. Immelt had overpaid for new assets and sold others for too little

Answers

After Jeffrey Immelt took over as CEO of General Electric (GE), he restructured the company in 2009 with the aim of achieving reliable and sustainable future growth. However, by 2018, the company continued to lose money, and according to the case, the reason for this underperformance was mainly due to Immelt's strategic decisions. Option c.

One of the primary reasons for GE's underperformance was that Immelt used too much of the company's cash for acquisitions. He made a series of acquisitions, including Alstom's energy business for $10.6 billion and Baker Hughes for $32 billion, which did not yield the expected returns. Additionally, Immelt overpaid for these assets, which resulted in the company's huge debts.
Furthermore, Immelt sold some of the company's assets for too little, which further added to the losses. For instance, GE sold its plastics business to Saudi Basic Industries Corporation (SABIC) for $11.6 billion, which was lower than what the company had initially expected. The company also sold its iconic light bulb business, which was not a profitable decision.
In summary, Immelt's strategic decisions, such as using too much of the company's cash for acquisitions, overpaying for new assets, and selling others for too little, contributed to GE's continued underperformance.Option c.

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Suppose you are working within the framework of the conceptual model on the back. Write the business rules that are reflected in it.Identify all of the cardinalities.

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Business rules refer to the guidelines and policies that govern the operations and decisions of a business.

These rules can range from compliance regulations to customer service standards, and they provide a framework for maintaining consistency and accountability across different departments and functions.

Cardinalities, on the other hand, refer to the relationships between different entities or objects in a conceptual model. In database design, cardinalities indicate the number of occurrences of one entity that can be associated with another entity.

For example, a customer can place multiple orders, but each order can only be placed by one customer.

In order to write the business rules that are reflected in a conceptual model, you would need to identify the key entities and their relationships, as well as any constraints or requirements that apply to them.

For instance, if you were designing a customer relationship management system, you might have entities such as customers, orders, products, and sales reps, with cardinalities that dictate how they interact with each other.

Some possible business rules that might be reflected in this conceptual model could include:

Customers must provide accurate contact information in order to receive order updates and promotions.

Orders must be placed by an authorized customer or sales rep.

Sales reps are responsible for maintaining accurate product information and pricing.

Products must meet quality standards and be delivered on time.

The cardinalities in this example might include:

One customer can place multiple orders.

One order can include multiple products.

One sales rep can handle multiple customers.

One product can be ordered by multiple customers.

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so if they acted like a monopolist and charged a single price to all consumers, what price would they charge to maximize profits?

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If a company acted like a monopolist and charged a single price to all consumers, they would charge a price that maximizes their profits.

To determine this price, the company would need to consider several factors, such as the demand for their product, the cost of production, and the competition in the market.
In general, a monopolist would charge a higher price than what would be charged in a competitive market. This is because monopolists have more control over the market and can set prices at a level that maximizes their profits. However, if the price is too high, consumers may look for alternatives or reduce their consumption, which could ultimately hurt the monopolist's profits.

Ultimately, the price that a monopolist charges to maximize profits will depend on the specific market conditions and the company's objectives. However, it is important to note that charging a high price may not be the best strategy in the long run, as it can lead to consumer dissatisfaction and regulatory scrutiny.
To maximize profits, a monopolist would set a price where marginal revenue (MR) equals marginal cost (MC). First, the monopolist determines the demand curve faced by consumers. Then, they calculate MR and MC based on this demand curve and their cost structure. Finally, they find the equilibrium point where MR=MC and set that as the single price for all consumers. This allows the monopolist to capture the maximum amount of consumer surplus while covering their costs, ultimately leading to the highest possible profit.

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What is principal?
A. "The fee that is paid to borrow money."
B. "The paying off of a debt with a fixed repayment schedule in regular installments over a period of time."
C. "The rate lenders charge borrowers for money."
D. "The non-interest portion of a loan."

Answers

The term "principal" is used in finance and refers to the original amount of money borrowed or invested, excluding any interest or other fees. Therefore, the correct answer is D: "The non-interest portion of a loan."

For example, if someone borrows $10,000 from a bank with a fixed interest rate of 5% per year, the principal would be $10,000 and the interest would be 5% of the principal, or $500 per year. The borrower would need to repay the principal plus the interest over a set period of time, usually in regular installments. While options A, B, and C all describe important aspects of borrowing and lending money, they do not specifically refer to the principal amount. Option A describes the interest rate, option B describes the repayment schedule, and option C describes the fee charged for borrowing money.

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On December 31, the Accounts Receivable ending balance is $80,000. Assume that the unadjusted balance of Allowance for Uncollectible Accounts is a debit of $500 and that the company estimates 7% of the accounts receivable will not be collected. The amount of bad debt expense recorded on December 31 will be:A. $5,000.B> $5,100.C. $5,600.D. $6,100.

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The amount of bad debt expense recorded on December 31 will be-

Credit Allowance for Uncollectible Accounts $5,600

The amount of bad debt expense recorded on December 31 will be $5,600.

The estimated bad debt expense can be calculated as follows:

Estimated Bad Debt Expense = Ending Balance in Accounts Receivable x Estimated % of Uncollectible Accounts

Estimated Bad Debt Expense = $80,000 x 7% = $5,600

Since the unadjusted balance of the Allowance for Uncollectible Accounts is a debit of $500, the adjusting entry to record the estimated bad debt expense will be:

Debit Bad Debt Expense $5,600

Credit Allowance for Uncollectible Accounts $5,600

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Problem 9. 7 Part A Locate the centroid x of the parabolic area. Take a = 8 in , h = 15 in. (Figure 1) Express your answer to three significant figures and include the appropriate units. X = Value Units

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The centroid x of the parabolic area is located at a distance of 5 inches from the axis of symmetry.

The centroid of a parabolic segment is the point where the center of gravity of the segment is located. In this case, we are given a parabolic segment with a height of 15 inches and a distance of 8 inches from the vertex to the axis of symmetry.

To locate the centroid x of the parabolic area, we can use the formula for the centroid of a parabolic segment:

x = (2a ÷ 3) × (h ÷ 2a)

where a is the distance from the vertex of the parabolic segment to the axis of symmetry, and h is the height of the segment.

In this case, a = 8 in and h = 15 in. Substituting these values into the formula, we get:

x = (2 × 8 ÷ 3) × (15 ÷ 16)

x = 5

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If a stock is considered to be mixed with the rest of an investor's portfolio, currently composed solely of holdings in the market index fund, then the appropriate performance measure is
a. alpha
b. information ratio
c. Sharpe ratio
d. Treynor measure

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The appropriate performance measure for a stock that is mixed with the rest of an investor's portfolio, currently composed solely of holdings in the market index fund, is the alpha.

The alpha measures the excess return of the stock or portfolio over the return predicted by the market index. It is a measure of the stock's performance relative to the market index.

The information ratio and Sharpe ratio are also measures of risk-adjusted performance, but they are used to evaluate the performance of a portfolio relative to its benchmark.

The Treynor measure is a performance measure that relates the excess return of a portfolio to its systematic risk, measured by the beta.

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based on william a. sahlman's suggestions, which question about competitors should be answered by the business plan? a. how easily can new competitors enter the industry? b. do small businesses have special advantages when competing in the industry? c. what is the average size of competitors? d. are there ways to co-opt potential or actual competitors by forming alliances?

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In a business plan, it is important to assess the ease of entry for new competitors in the industry. This will help you understand the competitive landscape and potential threats to your business's success.

To analyze this, consider factors such as barriers to entry, capital requirements, regulatory environment, and brand loyalty among consumers. By understanding these aspects, you can better prepare and strategize for success in the face of competition.

By understanding the ease of entry for new competitors, a business can better assess the potential threats and challenges it may face in the future. If entry barriers are low, it may be easier for new competitors to enter the market and challenge the existing players.

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the conditions associated with the labor problem were made possible in part due to a prevailing management attitude that labor was

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The conditions associated with the labor problem were made possible in part due to a prevailing management attitude that labor was there will be more job seekers than companies.

who are willing to recruit them at the prevailing wage. This may occur for a number of reasons, including modifications to governmental regulations, modifications to consumer preferences, or adjustments to the labour market's supply and demand. As a result, some workers are unable to work at the going rate, which can cause social and financial issues.In a scenario of excess labour supply or surplus, more people are prepared to work at that wage than there are jobs available at that salary level. This occurs when the prevalent wage (price) surpasses the equilibrium wage (price) in the labour market.

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the conditions associated with the labor problem were made possible in part due to a prevailing management attitude that labor was?

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Tom purchased a 7-year asset for his business in February, 2014 for $4,500 and used the half-year convention for MACRS. He did not deduct any bonus depreciation. He sold the asset in April, 2017. How much depreciation will Tom deduct in 2017?A. $562B. $214C. $281D. $187

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Tom purchased an asset in February 2014, so the asset was held for 38 months until April 2017.

The half-year convention for MACRS allows the taxpayer to take half of the first-year depreciation in the year of acquisition and half in the year of disposition. Assuming a 7-year asset, the straight-line depreciation rate is 1/7 or 14.29%. Using the half-year convention, the depreciation rate for 2014 is 7.14%. Therefore, the depreciation for 2014 is $161 ($4,500 x 7.14%). In 2015, 2016, and the first half of 2017, the depreciation rate is 14.29%. Therefore, the depreciation for those years is $643 ($4,500 x 14.29% x 3). The total depreciation is $804 ($161 + $643). Since Tom sold the asset in April 2017, he can deduct only 3/12 or 25% of the annual depreciation for 2017, which is $201 ($804 x 25%). The correct answer is B. $214

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Input demand functions that are calculated from profit functions differ from those calculated from cost functions because

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Input demand functions that are calculated from profit functions differ from those calculated from cost functions because marginal cost the quantity change is subtracted from the manufacturing cost change.

The output volume that changes, either more or less, is the marginal cost. Cost variation multiplied by marginal cost equals (change in amount). The production volume changes, either more or less.

Costs will change depending on whether production increases or decreases. The final section of this essay concludes with a discussion of the marginal cost formula, which is essential to production. The difference in total production costs that emerges from developing or producing an additional unit is referred to as a unit's marginal cost in economics. To find the marginal cost, divide the change in production expenses by the change in quantity.

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Input demand functions that are calculated from profit functions differ from those calculated from cost functions because the marginal cost?

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Suppose that a U.S. automaker produces $1 million worth of automobiles in Japan. How much of that is added into the GDP of the United States?
a) None
b) $250,000
c) $500,000
d) $1 million

Answers

The correct answer is a) None. When a U.S. automaker produces $1 million worth of automobiles in Japan, the value of those goods is added to Japan's GDP, not the United States'. GDP measures the total value of goods and services produced within a country's borders, so only goods and services produced within the United States would be added to its GDP.


Suppose that a U.S. automaker produces $1 million worth of automobiles in Japan. How much of that is added into the GDP of the United States?

The correct answer is:

a) None

Explanation: Gross Domestic Product (GDP) measures the value of goods and services produced within a country's borders. Since the automobiles are produced in Japan, the value will not be added to the United States' GDP. Instead, it will contribute to Japan's GDP.

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you have just started a new job and plan to save $4,800 per year for 44 years until you retire. you will make your first deposit in one year. how much will you have when you retire if you earn an annual interest rate of 10.13 percent?

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Using a compound interest calculator, if you make annual deposits of $4,800 for 44 years with an interest rate of 10.13 percent, you would have a total of $3,955,794.25 when you retire. This is a significant increase from your initial savings of $211,200.

If you plan to save $4,800 per year for 44 years, your total savings would be $211,200. However, if you earn an annual interest rate of 10.13 percent, your savings will grow substantially.

Using a compound interest calculator, if you make annual deposits of $4,800 for 44 years with an interest rate of 10.13 percent, you would have a total of $3,955,794.25 when you retire. This is a significant increase from your initial savings of $211,200.

It's important to note that the power of compound interest can greatly benefit your savings. By earning interest on your initial deposit as well as on the interest earned each year, your savings will grow exponentially. Therefore, it's always beneficial to save and invest your money wisely to take advantage of the potential growth that compound interest can offer.

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suppose the hotel offers an incentive of $.60 per room cleaned. what is the average incentive pay paid to all of the employees listed on the chart below? round to two decimal points.

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first need to calculate the total number of rooms cleaned by all employees listed on the chart. We can do this by adding up the number of rooms cleaned by each employee: The average incentive pay paid to all of the employees listed on the chart is $35.25, rounded to two decimal points.

Employee 1: 50 rooms cleaned
Employee 2: 65 rooms cleaned
Employee 3: 40 rooms cleaned
Employee 4: 80 rooms cleaned
Total number of rooms cleaned: 235
Now, we can calculate the total amount of incentive pay that needs to be paid to all employees:
Total incentive pay = $.60 per room * 235 rooms = $141
Finally, we can calculate the average incentive pay per employee by dividing the total incentive pay by the number of employees:
Average incentive pay = $141 / 4 employees = $35.25
Therefore, the average incentive pay paid to all of the employees listed on the chart is $35.25, rounded to two decimal points. It is important to note that this calculation assumes that all employees listed on the chart are eligible for the incentive pay and have received it for the rooms they cleaned.

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job a3b was ordered by a customer on september 25. during the month of september, jaycee corporation requisitioned $2,900 of direct materials and used $4,400 of direct labor. the job was not finished by the end of the month, but needed an additional $3,400 of direct materials and additional direct labor of $6,900 to finish the job in october. the company applies overhead at the end of each month at a rate of 150% of the direct labor cost incurred. what is the total cost of the job when it is completed in october?

Answers

To determine the total cost of Job A3B when it is completed in October the total cost of Job A3B when it is completed in October is $35,550.

To determine the total cost of Job A2B when it is completed in October, we need to calculate the total cost incurred in September and October.

In September, Jaycee Corporation requisitioned $2,900 of direct materials and used $4,400 of direct labor on Job A3B. Since overhead is applied at the end of each month at a rate of 150% of the direct labor cost incurred, the overhead applied in September is:

Overhead = 150% x $4,400 = $6,600

The total cost incurred on Job A3B in September is:

Total Cost = Direct Materials + Direct Labor + Overhead

Total Cost = $2,900 + $4,400 + $6,600

Total Cost = $14,900

In October, the job needed an additional $3,400 of direct materials and additional direct labor of $6,900 to complete. The overhead applied in October is:

Overhead = 150% x $6,900 = $10,350

The total cost incurred on Job A3B in October is:

Total Cost = Direct Materials + Direct Labor + Overhead

Total Cost = $3,400 + $6,900 + $10,350

Total Cost = $20,650

Therefore, the total cost of Job A3B when it is completed in October is:

Total Cost = Cost Incurred in September + Cost Incurred in October

Total Cost = $14,900 + $20,650

Total Cost = $35,550

In conclusion, the total cost of Job A3B when it is completed in October is $35,550.

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Hedge funds are prohibited from investing or engaging in:.

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The Investment Company Act of 1940 forbids hedge funds from making public offerings, and they are governed by the Securities Act of 1933 and Securities Exchange Act of 1934's anti-fraud laws. The only restriction on a hedge fund's investment universe is its mandate.

Any asset, including land, real estate, derivatives, currencies, and other alternative assets, can be purchased by a hedge fund. Contrarily, mutual funds typically have to adhere to stocks or bonds. One of the most active parties engaged in shorting activities is hedge funds. The majority of hedge funds attempt to reduce market risk by shorting stocks or industries they believe to be overvalued.

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when an auditor has substantial doubt about an entity's ability to continue as a going conern for a reasonable period of time, he should issue an adverse opinion on the financial statements with an explanatory paragraph describing the going concern doubt.

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When an auditor has substantial doubt about an entity's ability to continue as a going concern for a reasonable period of time, he should issue an adverse opinion on the financial statements with an explanatory paragraph describing the going concern doubt.

An adverse opinion is issued when the financial statements of a company do not present fairly due to a material departure from Generally Accepted Accounting Principles (GAAP). If an auditor has substantial doubt about an entity's ability to continue as a going concern, it means that the company may not be able to meet its financial obligations in the near future.

In this case, the auditor should issue an adverse opinion with an explanatory paragraph that describes the going concern doubt. This is because the going concern assumption is fundamental to financial statements, and if there is doubt about the company's ability to continue operating, it may significantly impact the financial statements.

In summary, when an auditor has substantial doubt about an entity's ability to continue as a going concern for a reasonable period of time, he should issue an adverse opinion on the financial statements with an explanatory paragraph describing the going concern doubt. This is important to ensure that the financial statements present a fair and accurate view of the company's financial position and performance.

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The typical fee for borrowing stock is not far from 5% per year.
a. true
b. false

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b. False. The typical fee for borrowing stock, also known as the "stock loan fee," can vary widely depending on factors such as the supply and demand for the stock being borrowed, the length of the borrowing period, and the creditworthiness of the borrower.

It is not accurate to state that the typical fee for borrowing stock is 5% per year, as this figure can fluctuate greatly. However, it is worth noting that the fee for borrowing stock can be expressed as an annualized percentage rate, which is calculated by dividing the total fee by the value of the borrowed shares and then multiplying by the number of days in a year. This annualized percentage rate can be helpful in comparing the cost of borrowing different stocks or for evaluating the profitability of a short position.

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you find a zero coupon bond with a par value of $20,000 and 19 years to maturity. if the yield to maturity on this bond is 5.9 percent, what is the dollar price of the bond? assume semiannual compounding periods. (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The dollar price of the bond would be $4,990.10.

To calculate the price of the bond, we can use the formula:

Price = Par Value / (1 + Yield/2)^(2 x number of years)

Here, the par value of the bond is $20,000, the yield to maturity is 5.9%, and the number of years to maturity is 19.

We need to adjust the yield to maturity to account for semi-annual compounding, which means we divide the yield by 2 and multiply the number of years by 2:

Adjusted Yield = 5.9% / 2 = 0.059/2 = 0.0295

Adjusted Number of Years = 19 x 2 = 38

Now we can put these values into the formula:

Price = $20,000 / (1 + 0.0295)^(2 x 38) = $4,990.10

Therefore, the dollar price of the bond is $4,990.10.

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Can lawyer who sells practice return to practice?

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Yes, a lawyer who sells their practice can return to practice. When a lawyer decides to sell their practice, they transfer ownership of the business and client files to another attorney or firm. However, this transaction does not permanently restrict the selling lawyer from practicing law again in the future.

To return to practice, the lawyer must follow several steps. First, they must ensure that they are in good standing with the appropriate licensing authority, typically a state bar association. This involves maintaining their continuing legal education requirements and any applicable license renewal fees.

Next, the lawyer must establish a new practice or join an existing one. They should carefully consider any non-compete agreements or clauses in the sale contract of their previous practice to avoid violating any terms. It's crucial to communicate with former clients about the lawyer's intention to return to practice, as some may choose to continue working with them in their new capacity.

Finally, the returning lawyer must adhere to professional conduct rules and guidelines, such as conflicts of interest and confidentiality. By following these steps, a lawyer who has sold their practice can successfully return to practice, provided they abide by all applicable rules and regulations.

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A disadvantage of using contingent workers is that they _____. a. may pass on information about corporate processes and strategies to subsequent clients who could be competitors b. may attempt to form a union c. can demand payment for health insurance and retirement benefits d. create the need to hire new employees when staffing needs increase

Answers

A disadvantage of using contingent workers is that they may pass on information about corporate processes and strategies to subsequent clients who could be competitors. The correct option is A.

Contingent workers may not have the same level of loyalty to a company as permanent employees and may use their knowledge and experience to benefit their future clients, even if it means sharing proprietary information.

This could result in a loss of competitive advantage for the original company. Additionally, since contingent workers are not permanent employees, they may not be as invested in the success of the company as regular employees.

Another disadvantage of using contingent workers is that they may not be as committed to the company's mission and values as permanent employees. They may not feel as connected to the company culture, which can lead to decreased productivity and quality of work.

Contingent workers can be a cost-effective solution for businesses that need to fill temporary or project-based positions, but it is important for companies to carefully consider the potential drawbacks and take steps to mitigate any risks. The correct option is A.

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regarding contracts, in seeking to determine whether there is a meeting of the minds, the courts look to how a reasonable person would objectively view the language or actions of the parties. T/F

Answers

True. In seeking to determine whether there is a meeting of the minds, the courts look to how a reasonable person would objectively view the language or actions of the parties is True

In contract law, a "meeting of the minds" refers to the mutual understanding and agreement of the parties involved in a contract. In order to determine whether such a meeting of the minds has occurred, courts will look to how a reasonable person would objectively view the language or actions of the parties. This means that the court will not consider the subjective intentions or beliefs of the parties, but rather will analyze the contract from an objective standpoint.

Therefore, the statement that "in seeking to determine whether there is a meeting of the minds, the courts look to how a reasonable person would objectively view the language or actions of the parties" is true.

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Which one of the following is a common term for the market consensus value of the required return on a stock?A. Dividend payout ratioB. Intrinsic valueC. Market capitalization rateD. Plowback ratio.

Answers

The correct answer is C. Market capitalization rate is a common term for the market consensus value of the required return on a stock.

Market capitalization rate is also known as the "discount rate" or "required rate of return" and is used in determining the present value of a company's future cash flows. It represents the rate of return that investors require to invest in a particular stock, given its risk level and other factors.

Option A, the dividend payout ratio, is a measure of the percentage of earnings paid out to shareholders as dividends and is not related to the required return on a stock.

Option B, intrinsic value, is the perceived or calculated value of an asset based on fundamental factors, such as its earnings potential, cash flow, and other financial metrics. While it is related to the market consensus value of a stock, it is not a common term used to describe the required return on a stock.

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which of the following options can provide upto 66% discount compared to on demand for a commitment to a consistent amount of usage for 1 or 3 years and offers the possibility to change ec2 instances family type?

Answers

Amazon Web Services (AWS) offers the option of "reserved instances," which can provide up to a 66% discount compared to on-demand pricing if you commit to a consistent amount of usage for 1 or 3 years. Reserved instances also offer the flexibility to change the EC2 instance family type. This allows you to optimize your instance type based on your changing workload needs while still maintaining the cost benefits of a reserved instance.

Additionally, AWS offers the option of savings plans, which provide flexible pricing options and discounts on usage commitments. Both reserved instances and savings plans can be managed through the AWS Management Console, API, or command-line interface. It is important to carefully consider your workload and usage patterns before committing to a reserved instance or savings plan to ensure you are optimizing your costs effectively.

Which of the following options can provide up to a 66% discount compared to on-demand for a commitment to a consistent amount of usage for 1 or 3 years and offers the possibility to change EC2 instance family type?

The answer is: AWS Savings Plans. AWS Savings Plans can provide up to a 66% discount compared to on-demand pricing for a commitment to a consistent amount of usage for 1 or 3 years. They offer the possibility of changing EC2 instances' family type, allowing flexibility in managing your workloads and optimizing costs.

To take advantage of savings plans, you commit to a specific amount of usage, measured in dollars per hour, and, in return, receive discounted rates on eligible AWS services.

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write a value-returning function, isvowel, that returns the value true if a given character is a vowel and otherwise returns false.for the input e, your output should look like the following:

Answers

To write a value-returning function is vowel that returns true if a given character is a vowel and false if it is not, we can use the following code in Python:

```
def isvowel(char):
   vowels = "aeiouAEIOU"
   if char in vowels:
       return True
   else:
       return False
```



In this code, we define a function called isvowel that takes a single parameter, char, which represents the character we want to check for being a vowel. We then define a string called vowels that contains all the vowels in both uppercase and lowercase letters.

We then use an if statement to check if the given character is in the vowels string. If it is, we return True, indicating that the character is a vowel. If it is not, we return False, indicating that the character is not a vowel.

Finally, we can call the function and pass in a character to test if it is a vowel or not. For example, if we pass in the character "e", the function will return True since "e" is a vowel.

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Bank of america overdraft settlement how much will i get.

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The Bank of America overdraft settlement resulted from a class-action lawsuit against the bank for improperly manipulating the order of debit transactions to maximize overdraft fees. The bank agreed to pay $410 million to settle the claims.

The settlement amount each customer receives depends on several factors, including the number of overdraft fees they incurred during the specified period.

It's essential to understand that not all class members will receive the same amount. Individual payouts are determined based on the specifics of each claimant's banking activity and the total number of claimants participating in the settlement. Unfortunately, it's impossible to provide an exact figure without knowing your individual circumstances.

To find out if you're eligible and how much you could receive, you should consult the settlement administrator's website, which will contain detailed information on the claims process, deadlines, and any necessary documentation.

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1) nosybook company stocks pay no dividend. in 8 years from today, the company is expected to pay its first annual dividend of $2.6 per share. then the dividend growth is expected to be 1.2% forever. if the required return on similar stocks is 13.5%, what is the value of the nosybook company stock now?

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The value of the Nosybook Company stock now is $22.562 per share.

The value of the Nosybook Company stock can be calculated using the dividend discount model. Firstly, we need to calculate the present value of the future dividend payments.
PV = D / (r - g)

where PV is the present value, D is the dividend payment, r is the required return and g is the growth rate of the dividend.

In this case, the first dividend payment will be in 8 years, so we need to discount it back to today using the formula:
PV = D / (1 + r)^n
where n is the number of years and r is the required return.

Using these formulas, we can calculate the present value of the first dividend payment to be:
PV = 2.6 / (1 + 0.135)^8 = 0.784

Then, we can calculate the present value of all future dividend payments using the formula:
PV = D / (r - g) = 2.6 / (0.135 - 0.012) = 21.778

Adding the present value of the first dividend payment to the present value of all future dividend payments, we get:
PV = 0.784 + 21.778 = 22.562

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million when you retire in 40 years. you feel that you can save $415 per month until you retire. what apr do you have to earn in order to achieve your goal?

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In order to achieve a million dollars when you retire in 40 years while saving $415 per month, you would need to earn a specific annual percentage rate (APR).

We can use a financial calculator or formula to determine the required APR. Assuming monthly compounding, we can use the following formula:

FV = PMT x (((1 + r/12)^n - 1) / (r/12))

Where:
- FV is the future value, which in this case is one million dollars
- PMT is the monthly savings amount, which is $415
- r is the APR we are trying to solve for
- n is the number of months until retirement, which is 40 years x 12 months/year = 480 months

Plugging in the values, we get:

1,000,000 = 415 x (((1 + r/12)^480 - 1) / (r/12))

Solving for r, we can use a trial-and-error method or an online calculator. By trying different values of r, we can find that an APR of approximately 7.84% would be required to achieve the goal of a million dollars when you retire while saving $415 per month for 40 years.

Therefore, to achieve your goal, you would need to earn an APR of approximately 7.84% on your savings.

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When existing firms in a competitive market are profitable, an incentive exists for.

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When existing firms in a competitive market are profitable, an incentive exists for new firms to enter the market.

In a competitive market, when existing firms are making profits, it indicates that the demand for the product or service is high and the current supply is not sufficient to meet the demand. This creates an opportunity for new firms to enter the market, increase the supply, and potentially gain a share of the profits. As new firms enter, competition increases, which can lead to lower prices and improved products or services, benefiting consumers.

Profitability of existing firms in a competitive market encourages new firms to enter the market, promoting competition and potentially benefiting consumers through lower prices and better products or services.

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If costs are not responsive to changes in activity level, then these costs can be best described as:.

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Costs that are not responsive to changes in activity level can be best described as fixed costs. Fixed costs are expenses that do not vary with changes in the level of production or sales. Examples of fixed costs include rent, salaries, insurance, and property taxes.


Fixed costs are an essential component of any business, as they provide a stable baseline for budgeting and forecasting. By understanding the fixed costs of a business, management can determine the minimum level of revenue needed to cover these expenses. This information is crucial when making decisions about pricing, production levels, and overall business strategy. If a business is not generating enough revenue to cover its fixed costs, it may need to consider cutting expenses or increasing sales volumes to remain viable.

In conclusion, costs that are not responsive to changes in activity level can be best described as fixed costs. These expenses are essential for any business and provide a stable baseline for budgeting and forecasting. By understanding fixed costs, management can make informed decisions about pricing, production levels, and overall business strategy.

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