9Under which circumstance may withholding be required of the buyer?

The seller resides in another state.

The buyer is not from California.

The seller is a foreign person.

The buyer is a foreign person.

Answers

Answer 1

Withholding may be required of the buyer when the seller is a foreign person. The Foreign Investment in Real Property Tax Act (FIRPTA) requires buyers of real estate in the United States to withhold a portion of the purchase price and remit it to the Internal Revenue Service (IRS) when the seller is a foreign person. The withholding amount is generally 15% of the gross purchase price, although it may be reduced under certain circumstances.

In the other circumstances mentioned, withholding would generally not be required. However, there may be other tax or legal implications to consider when buying or selling real estate in these situations, and it is always advisable to consult with a qualified professional for guidance.

Answer 2

Under the circumstances, it may be required of the buyer when the seller is a foreign person. The correct option is c.

Whenever the seller is a foreign person, the buyer may be obliged to pay withholding. When the seller is a foreign person, the Foreign Investment in Real Property Tax Act (FIRPTA) compels buyers of real estate in the United States to withhold a percentage of the purchase price & remit it to the Internal Revenue Service (IRS). The withholding amount is usually 15% of the gross purchase price, however it can be decreased in some cases.

Withholding would not be required in the other conditions stated. However, there may be other tax or legal consequences to consider when buying or selling real estate in these instances, and it is always best to seek advice from a trained specialist.

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Related Questions

can someone please do this

Answers

a) The United States has the absolute advantage in both the production of cars and trucks because it can produce more cars and trucks than Brazil, assuming relative equal resources.

b) For comparative advantage, we can state that the United States should concentrate in the production of cars, leaving Brazil to produce only trucks.

What are absolute and comparative advantages?

Absolute advantage refers to a country's or competitor's ability to efficiently produce more goods or services than another country or competitor.

Comparative advantage arises from lower opportunity costs or lower production costs arising from a forgone alternative.

Thus, while the United States has absolute advantage in the production of cars and trucks compared to Brazil, in international trade, Brazil has comparative advantage in producing trucks just as the United States enjoys comparative advantage in car production.

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Given a price of $100, quantity of 10, total cost of $800, profit of $200, total fixed cost of $100, calculate
average total cost. (Do you need all that information, you ask? Probably not.)

Answers

The average total cost given a price of $100 and total fixed cost of $100 is $80.

What is fixed cost?

A fixed cost is a cost that does not vary with changes in the quantity of goods or services produced or sold. It is an expense that a business must pay regardless of its level of output. Examples of fixed costs include rent, salaries, insurance premiums, property taxes, and depreciation of fixed assets. Fixed costs are different from variable costs, which vary with changes in the level of output. For instance, the cost of raw materials or labor required to produce a certain number of units is a variable cost. Fixed costs are important to consider when analyzing a business's profitability, as they represent a necessary expense that must be paid irrespective of sales volume. Therefore, it is essential to cover fixed costs to ensure that the business remains viable.

Average total cost = Total cost/Quantity

Total variable cost = $800 - $100 = $700

Average total cost = Total cost / Quantity

Average total cost = ($700 + $100) / 10

Average total cost = $80

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Consider the following time series data.

Quarter Year 1 Year 2 Year 3
1 5 8 10
2 2 4 8
3 1 4 6
4 3 6 8
(a) Choose the correct time series plot.
(i)
(ii)
(iii)
(iv)

Plot (iv)

What type of pattern exists in the data?

Positive trend pattern, with seasonality


(b) Use a multiple regression model with dummy variables as follows to develop an equation to account for seasonal effects in the data: Qtr1 = 1 if Quarter 1, 0 otherwise; Qtr2 = 1 if Quarter 2, 0 otherwise; Qtr3 = 1 if Quarter 3, 0 otherwise.
If required, round your answers to three decimal places. For subtractive or negative numbers use a minus sign even if there is a + sign before the blank (Example: -300). If the constant is "1" it must be entered in the box. Do not round intermediate calculation.
ŷ =
6.667
+
Qtr1 +
Qtr2 +
Qtr3

(c) Compute the quarterly forecasts for next year based on the model you developed in part (b).
If required, round your answers to three decimal places. Do not round intermediate calculation.
Year Quarter Ft
4 1
5.667

4 2
3.667

4 3
4.667

4 4
6.667


(d) Use a multiple regression model to develop an equation to account for trend and seasonal effects in the data. Use the dummy variables you developed in part (b) to capture seasonal effects and create a variable t such that t = 1 for Quarter 1 in Year 1, t = 2 for Quarter 2 in Year 1,… t = 12 for Quarter 4 in Year 3.
If required, round your answers to three decimal places. For subtractive or negative numbers use a minus sign even if there is a + sign before the blank (Example: -300).
ŷ =
6.667
+
-0.032
Qtr1 +
-4.688
Qtr2 +
-3.344
Qtr3 +
0.656
t

(e) Compute the quarterly forecasts for next year based on the model you developed in part (d).
Do not round your interim computations and round your final answer to three decimal places.
Year Quarter Period Ft
4 1 13
12.917

4 2 14
8.917

4 3 15


4 4 16

Answers

On the basis of the multiple regression model created in part, the quarterly prediction for Year 4, Quarter 1, is 7.667. (b).

What advantages can quarterly forecasts offer?

The difference between a good quarter and a significant loss is sometimes determined by how precise the projection is. You will receive data from a quarterly forecast covering a three-month period. These figures contain revenue and profit projections so that you may understand the incomings and outgoings of your company and make more informed decisions.

What is a prediction for a year?

For instance, if your forecast period is 12 months long, another month will be added when each one finishes. In this manner, your forecasts are always 12 months out. Rolling forecasts often include 12 forecasts or more.

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Analyse 3 ways a school or college might help teachers achieve a better work life balance[12]

Answers

Answer: The 3 ways a school or college might help teachers achieve a better work life balance are: (1) By conducting co-curricular activities. (2) To provide maternity/menstrual/emergency leaves. (3) Restrictions on working hours.

Explanation: The 3 ways a school or college might help teachers achieve a better work life balance are as follows :

(1) To reduce the stress of the entire week schools can conduct co-curricular activities for teachers such as yoga, dance, singing, games among students and teachers. It strengthen the bond between students and teachers.

(2) They should provide maternity leave or menstrual leave to female faculties and emergency leave for faculties. These balances their personal and professional life.

(3) There should be work as well as time restrictions for teachers so that they do not work for extra hours. They should also have ample number of faculties for all subjects and enough non-teaching staffs, so that teaching staffs do not have to do extra hours of work.

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The three elements of loan in credit rating that can be offered to the customer by the credit
dept. are ....

Answers

Explanation:

Students classify those characteristics based on the three C's of credit (capacity, character, and collateral), assess the riskiness of lending to that individual based on these character- istics, and then decide whether or not to approve or deny the loan request.

hopefully this helps! :)

Target Case (Static) [LO18-1, 18-5]
Target Corporation prepares its financial statements according to U.S. GAAP. Target’s financial statements and disclosure notes for the year ended February 1, 2020, are available here. This material also is available under the Investor Relations link at the company’s website (www.target.com). Target refers to its Shareholders’ Equity as Shareholders’ Investment.

Required:
Note 20, “Share Repurchase,” provides the information we need to reconstruct the journal entry that summarizes Target’s share repurchases in the year ended February 1, 2020. Provide that entry.
Does Target account for share repurchases as (a) treasury stock or (b) retired shares?

Answers

The treasury stock method is a common accounting treatment for repurchased shares, where the shares are recorded as an asset on the balance sheet and deducted from the shareholders' equity section.

What is Stock?

Stock refers to the ownership interest in a company or corporation. When a company goes public, it sells shares of stock to investors in order to raise capital. The investors who buy the stock become shareholders and own a portion of the company. Stockholders are entitled to vote on certain corporate matters and may receive dividends if the company decides to distribute profits to its shareholders.

The journal entry to summarize Target's share repurchases in the year ended February 1, 2020, can be reconstructed as follows:

Treasury Stock Account $2,953 million

Cash Account $2,953 million

This entry represents the purchase of 40.4 million shares of common stock at an average price of $73.06 per share.

Target accounts for share repurchases as treasury stock, as indicated by Note 20 in the financial statements.

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Your credibility is affected by your attention to detail while completing business messages. In view of the above statement.
a. Highlight the importance of proofreading your documents with any 4 time-tested techniques.
b. In order to make your content mobile-friendly what are the key aspects you need to focus on?

Answers

Being trustworthy equates to having credibility. The audience is invested in the speaker's credibility when they deliver a speech in public.

What factors can influence a communication's credibility?

The speaker, communicator, and presenter must exhibit the following seven qualities in order to be taken seriously: poise, cohesion, charisma, character, competence, compassion, and commitment.

What does a credibility statement mean?

A statement of credibility explains to the audience why you are qualified to give this speech, whether by personal experience or education. For example, you may tell the audience that you have studied the topic in depth or that you have worked in a relevant field.

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According to Aimee Bateman's 5 Steps to an
Incredible Cover Letter Video, the reason to
do research before composing your cover
letter is to...

Answers

According to Aimee Bateman's 5 Steps to an Incredible Cover Letter video, the reason to do research before composing your cover letter is to personalize it and make it more relevant to the company.

Why should you research before making a cover letter ?

By conducting research, you can gather information about the company's values, culture, and mission statement, as well as the specific requirements of the job.

This information can then be used to tailor your cover letter to show that you have a genuine interest in the company and the position, and that you have the skills and experience necessary to excel in the role. By doing so, you can increase your chances of getting noticed by the hiring manager and landing an interview.

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What are 5 qualities of good security guard?

Answers

Answer:

work hard

be careful at all Times

Compute activity-based costing rates from the following budgeted data for Upton Golf Co.

Answers

Answer:

Explanation:

I don't know how to say it

Money aggregates
Identify whether each of the following examples belongs in M1 or M2. If an example belongs in both, be sure to check both boxes.
a. Daesun has $20,000 in a money market account.
b. Becky has a jar of coins by her bedside table.
c. Felix has $1,200 in a checking account.
d. Hilary has $6,000 in a two-year certificate of deposit (CD).
The main difference between M1 and M2 is that all money in M1 can be used directly as ?, whereas some types of money within M2 cannot.

Answers

a. Daesun has $20,000 in a money market account. is M1 and M2

b. Becky has a jar of coins by her bedside table is M1

c. Felix has $1,200 in a checking account is M1

d. Hilary has $6,000 in a two-year certificate of deposit (CD) is M2

This example belongs to both M1 and M2 categories. A money market account is a type of savings account that pays higher interest rates than a standard savings account.

This example belongs to M1. The jar of coins is cash and can be used directly as a medium of exchange. It is the most liquid form of money and falls under M1.

This example belongs to M1. Checking accounts are highly liquid, and funds can be easily accessed using a debit card or checks. As a result, they fall under M1.

This example belongs to M2. CDs are time deposits that offer higher interest rates than savings accounts or checking accounts. They are less liquid than cash, checking accounts, or money market accounts and require a penalty for early withdrawal. Therefore, they fall under the M2 category.

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On the following graph, use the green point (triangle symbol) to plot the weekly total revenue when the market price is $50, $75, $100, $125, $150, $175, and $200 per scooter.
Total Revenue
0
25
50
75
100
125
150
175
200
225
250
275
300
325
8700
8100
7500
6900
6300
5700
5100
4500
3900
3300
TOTAL REVENUE (Dollars)
PRICE (Dollars per scooter)
According to the midpoint method, the price elasticity of demand between points A and B is approximately .
Suppose the price of scooters is currently $200 per scooter, shown as point A on the initial graph. Because the demand between points A and B is , a $25-per-scooter decrease in price will lead to in total revenue per week.
In general, in order for a price decrease to cause a decrease in total revenue, demand must be .

Answers

The weekly total revenue given the market price is attached.

How to explain the information

At point B: P1 = $125 and Q1 = 70

At point A: P2 = $150 and Q2 = 60

PED between point A and B = ?Q/?P *( P1 + P2 / Q1 + Q2)

= (60 - 70) / (150 - 125) * (125 + 150) / (70 + 60)

= (-10 / 25) * (275 / 130)

= -0.85

The absolute value is 0.85. Since PED is less than 1, demand is inelastic.

According to the midpoint method, the price elasticity of demand between points A and B is approximately 0.85.

Suppose the price of bippitybops is currently $125 per bippitybop, shown as point B on the initial graph. Because the price elasticity of demand between points A and B is inelastic, a $25-per-bippitybop increase in price will lead to increase in total revenue per day.

In general, in order for a price decrease to cause a decrease in total revenue, demand must be inelastic.

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organizational rules and norms can cause learned helplessness among employees in the same manner that experiments induce it in dogs. T/F

Answers

True. Organizational rules and norms can cause learned helplessness among employees if they consistently feel that their actions do not have an impact on outcomes or they lack control over their work environment, similar to experiments that induce learned helplessness in dogs.

The statement "Organizational rules and norms can cause learned helplessness among employees in the same manner that experiments induce it in dogs" is true.Keep in mind that learned helplessness is a psychological condition in which individuals have given up the ability to influence their environment due to past events that have affected their lives.

According to some research, the same psychological mechanism can lead to learned helplessness in dogs and humans, and organizational rules and norms can induce learned helplessness in the same way that experiments do in dogs. Therefore, the statement "Organizational rules and norms can cause learned helplessness among employees in the same manner that experiments induce it in dogs" is true.

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True. Organizational rules and norms can create a sense of powerlessness and lack of control among employees, similar to the way in which experiments have induced learned helplessness in dogs. When employees feel that they have no say in how things are done or that their actions will not make a difference, they may become passive and unmotivated. This can lead to decreased job satisfaction, productivity, and morale. It is important for organizations to establish clear and fair rules and norms, while also empowering employees to have a voice in decision-making and problem-solving.

10. refer to the filled-in closing disclosure. if the seller helped the buyer with loan costs, it would be disclosed in which section of the closing disclosure? (a) section m (b) section k (c) section n (d) section a

Answers

If the seller helped the buyer with loan costs, it will be disclosed in section k of the closing disclosure.

Hence, the correct option is b.

Section K of the Closing Disclosure form includes details about the loan costs paid by the borrower and the seller. If the seller contributed to the loan costs, it would be disclosed in this section under the "Paid by Others" column.

This section also includes information about the borrower's own payments for loan costs, such as origination fees, appraisal fees, and credit report fees, among others.

It is important to review the Closing Disclosure carefully to ensure that all details about the loan costs and contributions are accurate and complete.

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A country reports the total expenditures on the fixed CPI basket for the past three years. The cost of the CPI basket in 2006 was $23,000, the cost of the CPI basket for the base period, 2007, was $23,805, and the cost of the CPI basket in 2008 was $24,500. The CPI for 2006 is
A) 100.0. B) 23.0. C) 96.6. D) 103.5. E) 106.5.

Answers

The CPI for 2006 is option C) 96.6

A country reports the total expenditures on the fixed CPI basket for the past three years. The cost of the CPI basket in 2006 was $23,000, the cost of the CPI basket for the base period, 2007, was $23,805, and the cost of the CPI basket in 2008 was $24,500. The CPI for 2006 is 96.6. Therefore, the correct option is C) 96.6. What is CPI? The Consumer Price Index (CPI) is a measure of the cost of living in a country. It is used to calculate the percentage change in the cost of a particular basket of products and services that are essential to an average household over time. The CPI is computed by tracking the changes in a set of products and services in a region over a given period of time, and it is calculated using the following formula:

Where: Expenditures of a particular basket in the current year are denoted by ECI Costs of the same basket in the base year are denoted by EBC What is a fixed CPI basket? The CPI basket, as previously mentioned, is a collection of goods and services that a typical household consumes. The basket's contents are adjusted every year to reflect changing consumer patterns, preferences, and incomes. A fixed CPI basket is a measure of the cost of goods and services that have been chosen and frozen for a set length of time. In other words, the contents of a fixed CPI basket are unchanging over a particular period of time.

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Please help with (d).

Answers

The 95% confidence interval for the change in hotel occupancy rates over the one-year period is 0.0135 to 0.0665. This means that we can be 95% confident that the true change in hotel occupancy rates falls within this range.

What is the implication of this?

Based on the results of the hypothesis test and the confidence interval estimate, we can conclude with 95% confidence that the proportion of hotel rooms occupied in the current year has increased by between 1.35% and 6.65% compared to the previous year.

This suggests that there has been a positive trend in hotel occupancy rates over the one-year period.

It is likely that area officials would be pleased with these results, as an increase in hotel occupancy rates can be a positive sign for the local economy. Higher occupancy rates can lead to increased revenue for hotels, as well as increased spending in the surrounding area by tourists and business travelers.

To determine the 95% confidence interval for the change in hotel occupancy rates over the one-year period, we can use the following formula:

( P1 - P2 ) ± z * sqrt [ P1(1 - P1) / n1 + P2(1 - P2) / n2 ]

where:

P1 is the proportion of rooms occupied in the current year (0.82)

P2 is the proportion of rooms occupied in the previous year (0.78)

n1 is the sample size for the current year (1,394)

n2 is the sample size for the previous year (1,404)

z is the z-score corresponding to a 95% confidence level (1.96)

Plugging in these values, we get:

( 0.82 - 0.78 ) ± 1.96 * sqrt [ (0.82 * 0.18 / 1,394) + (0.78 * 0.22 / 1,404) ]

= 0.04 ± 0.0265

= 0.0135 to 0.0665

Therefore, the 95% confidence interval for the change in hotel occupancy rates over the one-year period is 0.0135 to 0.0665. This means that we can be 95% confident that the true change in hotel occupancy rates falls within this range.

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The complete question in text format:

Current Year Previous Year Occupied Rooms 1,394 1,404 Total Rooms 1,700 1,800 a. Formulate the hypothesis test that can be used to determine whether there has been an increase in the proportion of rooms occupied over the one-year period. Let pi = population proportion of rooms occupied for current year P2 = population proportion of rooms occupied for previous year H. : P1 - P2 less than or equal to 0 H. : P1 P2 greater than o b. What is the estimated proportion of hotel rooms occupied each year (to 2 decimals)? Current year .82 Previous Year .78 c. Conduct a hypothesis test. What is the p-value (to 4 decimals)? Use Table 1 from Appendix B. p-value = .9495 Using a 0.05 level of significance, what is your conclusion? We can conclude that there has been an increase in the hotel occupancy rate. d. What is the 95% confidence interval estimate of the change in occupancy for the one-year period (to 4 decimals)? .0135 to .0665 Do you think area officials would be pleased with the results? with the occupancy statistics as the trend for the current year is an increase in hotel Officials would likely be pleased occupancy rates compared to last year.

Queit introduction on emotional intelligence

Answers

Emotional Intelligence: -

Emotional Intelligence is the capability of individuals to recognize their own emotions and those of others, discern between different feelings and label them appropriately, use emotional information to guide thinking and behavior, and manage emotions to adapt to environments or achieve one's goals.

Components of Emotional Intelligence: -

Self-AwarenessSelf-ManagementSocial SkillEmpathyMotivation

A manufacturer of industrial seafood processing equipment (scaler) wants you to develop an aggregate plan for the six quarters of the upcoming year and a half using the following data on demand and capacity, along with cost numbers/per unit. Demand for 6 quarters are as follows – Q1: 400, Q2: 850, Q3: 1,000, Q4: 450, Q5: 925, Q6: 1,100. Previous quarter's output was 500 units. Initial inventory is 250 units. Overtime capacity for the planning period is 200 units/quarter. The manufacture's subcontractor can supply 1000 units/quarter, if needed. Regular time cost is $7.50/unit. Overtime costs $4.00 extra/unit. The subcontracting cost is $13.75/unit. Carrying cost is $5.75/unit/quarter. To increase staffing it's $35/unit, and $50/unit to decrease staffing. Stock-out cost is $8.55 per unit. No back-ordering is allowed. a. Produce utilizing a strategy that varies the workforce based on the prior quarter. This will be Plan A. What is the cost of the plan? [ Select ] . Were any sales lost during the planning period? [ Select ] Note: Do not use the inventory right away; plan to just chase the prior quarter's demand. b. Produce utilizing a level strategy by producing at a rate of the 570 for the planning period. This will be Plan B. What is the cost of the plan? [ Select ] Was there a need to carry over inventory throughout the planning period? [ Select ] c. Produce utilizing a mixed strategy producing 350 units per quarter, then utilizing overtime and subcontracting, if needed. This will be Plan C. What is the cost of this plan? [ Select ] d. Based on cost, which plan should be selected? [ Select ]

Answers

A manufacturer of industrial seafood processing equipment (scaler)  Plan A, which adjusts the workforce in accordance with demand from the previous quarter, resulted in a cost of $287,578.

Have any sales been lost since the planning phase?

Costs associated with Plan A, which modifies the workforce in line with demand from the prior quarter, were $287,578 for a producer of scales used in industrial seafood processing. Sales were maintained throughout this planning phase. Plan B cost $292,778 and generates at a pace of 570 units each quarter using a level strategy. There was no necessity to maintain inventories on hand throughout the planning period. Plan C cost $291,400 and uses a mixed strategy to create 350 units every quarter while also working extra hard and subcontracting as necessary. On a financial level, Plan A is the most cost-effective option. Although Plan C is marginally less costly than Plan A, it is dependent on overtime and subcontracting.

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Which two of the following statements are true about Attribution reports?

Select All Correct Responses


A. App conversions and store visits are included in Attribution reports

B. App conversions and store visits are not included in Attribution reports

C. Attribution reports can help you estimate how changes to your attribution model might impact conversion reporting

D. Attribution reports can help you evaluate and optimize performance after you’ve changed your attribution model

Answers

B. App conversions and store visits are not included in Attribution reports of the following statements are true about Attribution reports.

What is revealed by an attribution report?

The paths customers follow to complete conversions are displayed in attribution reports, which also offer insights into how your various advertising campaigns interact to produce conversions. You may check, for instance, whether some keywords helped with conversions that subsequently came about as a result of other keywords.

Store visits and app conversions are excluded from Attribution reports. You can make an educated guess about how adjustments to your attribution model would affect conversion reporting using attribution reports. After changing your attribution model, attribution reports can aid in performance evaluation and optimization.

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QUESTION TWO. TAKE AWAY (FINANCIAL PLANNING AND FORECASTING). The management of Mirachael company ltd. wants to establish the amount of financial needs for the next two years. The balance sheet of the firm as at December 2017 is as follows: Net fixed assets stock debters cash Total assets Financed by: Ordinary shares Retained earnings 12% debt Trade creditors Accrued expenses Sh. '000' 124800 38400 28800 7200 199200 84,000 35200 20000 36000 24000 199200 Additional information: For the year ended 31 December 2017, sales amounted to 240,000.000. the firm projects that that sales will increase by 15%, this year 2018 and20 %next year 2019. The after tax profit on sales has been 11% but management is pessimistic about future operating cost and intends to use an after tax profit on sales rate of 8%p.a. the firm intends to maintain its dividend payout ratio of 80%. Assets are expected to vary directly with sales while trade creditors and accrued expenses form the spontaneous sources of financing. Any external financing needed will be effected through the use of commercial paper. Required: Determine the amount of external financial requirements for the next two years and the proforma balance sheet. (20marks)​

Answers

External financing needed for 2018 equals 311,584,000

External financing needed for 2019 equals 642,900,800

How do we determine the amount of external financial requirements and the proforma balance sheet?

To determine the amount of external financial requirements for the next two years and the proforma balance sheet, we need to follow these steps:

Step 1:

Calculate the projected sales for 2018 and 2019.

Projected sales for 2018 = 240,000,000 x 1.15 = 276,000,000

Projected sales for 2019 = 276,000,000 x 1.20 = 331,200,000

Step 2:

Calculate the after-tax profit on sales rate for 2018 and 2019.

After-tax profit on sales rate for 2018 = 8%

After-tax profit on sales rate for 2019 = 8%

Step 3:

Calculate the after-tax profit for 2018 and 2019.

After-tax profit for 2018 = 276,000,000 x 8% = 22,080,000

After-tax profit for 2019 = 331,200,000 x 8% = 26,496,000

Step 4:

Calculate the dividends for 2018 and 2019.

Dividends for 2018 = 22,080,000 x 80% = 17,664,000

Dividends for 2019 = 26,496,000 x 80% = 21,196,800

Step 5:

Calculate the net income for 2018 and 2019.

Net income for 2018 = 22,080,000 - 17,664,000 = 4,416,000

Net income for 2019 = 26,496,000 - 21,196,800 = 5,299,200

Step 6:

Calculate the total assets for 2018 and 2019.

Total assets for 2018 = 199,200,000 + (276,000,000 x 1) = 475,200,000

Total assets for 2019 = 475,200,000 + (331,200,000 x 1) = 806,400,000

Step 7: Calculate the spontaneous financing for 2018 and 2019.

Spontaneous financing for 2018 = (20,000,000 + 36,000,000) - (28,800,000 + 7,200,000) = 20,000,000

Spontaneous financing for 2019 = (20,000,000 + 36,000,000) - (28,800,000 + 7,200,000) = 20,000,000

Step 8: Calculate the external financing needed for 2018 and 2019.

External financing needed for 2018:

= 475,200,000 - 84,000,000 - 35,200,000 - 20,000,000 - 20,000,000 - 4,416,000

= 311,584,000

External financing needed for 2019:

= 806,400,000 - 84,000,000 - 35,200,000 - 20,000,000 - 20,000,000 - 5,299,200

= 642,900,800

Proforma balance sheet as at December 2018:

Fixed assets      124,800

Stock              38,400

Debtors              36,480

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Sandra Han owns a real estate marketing firm. She pays her employees a salary that is slightly under the industry standard. Consequently, employees often work for her to get experience but then leave to earn more money. What can Sandra do to retain employees besides raising salaries?

Answers

Few strategies are: 1. Offer benefits: In addition to salaries, offer benefits such as health insurance, retirement plans, paid time off, and flexible work arrangements. These benefits can make a big difference.

What impacts a positive work culture imparts on employees?

2. Create a positive work culture: A positive work culture can make employees feel valued and motivated to stay with the company. Encourage teamwork, recognize employees for their achievements, and foster a work environment that promotes open communication.

3. Provide opportunities for growth: Offer opportunities for employees to learn new skills, take on new challenges, and advance in their careers. Provide training, mentoring, and professional development opportunities.

4. Foster work-life balance: Encourage employees to take time off when needed and promote work-life balance. Offer flexible work arrangements such as remote work, part-time work, or job-sharing.

5. Conduct stay interviews: Conduct regular stay interviews with employees to understand their needs and concerns. Ask questions about what they enjoy about working for the company and what could be improved.

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Many factors can influence our career goals and plans. What is the BEST example of a personal factor that might influence our goals and plans?

A.
changes to the economy

B.
changes to laws governing the job

C.
worrying about advances in technology

D.
wanting to live in a new city

Answers

Answer: D. wanting to live in a new city

Explanation:

Wanting to live in a new city is the best example of a personal factor that might influence our career goals and plans. Personal factors are individual preferences, values, or circumstances that can shape our decisions about work and career paths. Examples of personal factors include family considerations, desired work-life balance, or personal interests. In contrast, options A, B, and C represent external factors that are generally beyond an individual's control.

Here is the Ethical Dilemma:

Bushville’s city manager, Thomas Smith, is facing a financial dilemma. The General Fund will not have enough revenues to cover the current year’s expenditures. After an all-night session, he reduced the expenditures by only 5 percent, which is not enough to balance the budget. His wife mentions to him that whenever they did not have enough money to meet their bills for a particular month, she merely borrowed money from the bank. Smith decides to borrow from the Pension Trust Fund. His intention is to repay the loan as soon as possible.

Discuss the ethical dilemma that Thomas Smith faces.

For this report, students are to:

summarize the ethical dilemma faced by Thomas Smith
name at least 3 stakeholders involved
list at least 3 alternatives to the ethical dilemma
choose one of these alternatives and give an explanation why this specific alternative was chosen over the others

Answers

The ethical dilemma faced by Thomas Smith pertains to financing. He is worried about obtaining funding through legal means that will not endanger his business.

Who are the stakeholders?

In the description, the main stakeholders are the business being managed by Thomas, the financial organization that he intends to borrow from, and the reputation of his immediate family.

Three alternatives to the ethical dilemma that Thomas is facing will include equity financing, business credit cards, and unsecured loans. Taking an unsecured loan instead of a secured loan is a better way to circumvent the risk of providing collateral and losing assets in a situation that the businessman is not yet ready to pay.

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Which performance evaluation is best to use for subjective measurements?
OA. Essay appraisal
B. Checklist scale
C. Work standards approach
O D. Graphic rating scale

Answers

Work standard approach

global corporation distributed property with an $658,500 fair market value and a $362,175 adjusted basis to one of its shareholders. the property was subject to a $199,196 mortgage, which the shareholder assumed. global has ample e & P to cover any distribution made during the year. What is the amount of the shareholder's dividend income on the distribution? What is the shareholder's basis in the property received?

Answers

1. Calculation of the amount of shareholders' dividend Income on the distribution are as follows:

Gross dividend income = Fair market of distributed property - Mortgage of property

=  $658,500 - $199,196 = $459,304

Thus, the amount of the shareholders' dividend income on the distribution was $459,304.

2. Calculations of shareholders' basis in one property received are as follows:

Basis in one property = Fair market value of the distributed property

=  $658,500

Thus, the shareholder's basis in the property received is  $658,500.

Even though Worldwide has sufficient income and benefits to disseminate profits it probably won't have sufficient money accessible to do as such. This way the organization is satisfying its commitments to its investor while not utilizing its cash reserves.

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is a broad statement of some desired endpoint. O a. consumer O b. contollable factor O c. Goal O d. Desire​

Answers

Goal is a broad statement of some desired endpoint.

What is a goal?

A goal is a vision of the future or desired outcome that an individual or group of people envisions, plans, and commits to achieve. Goals represent the choices and commitments you make to achieve something, to break a bad habit, to develop a beneficial habit, or to achieve more in different areas of your life.

Goals can be applied to different areas of our lives and can also be associated with time ranges. For example, life-related goals include personal development goals, career goals, education goals, health goals, family and relationship goals, spiritual goals, and social goals.

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Create appropriate graphs to visualize the distribution of house prices for each state (i.e.,
for Australian Capital Territory (ACT), South Australia (SA), Queensland (QLD), Western
Australia (WA), NSW (New South Wales), and Victoria (VIC)), and provide a brief
description of the shape of the house prices distribution for each state.

Answers

The most frequent plot form for graph distribution  is a histogram. It displays the frequency of values in data by categorizing them into equal-sized intervals or classes. (so-called bins).

What is the appropriate graph for distribution?

Scatter plots are the greatest way to depict dispersion in huge data sets. A scatter plot or scattergram chart highlights distribution patterns or shows the link between two variables. When there are numerous distinct data points and you want to show commonalities in the data set, use this graphic.

To create appropriate graphs to visualize the distribution of house prices for each state, we first need data on house prices for each state. Once we have the data, we can use various types of graphs to represent the distribution of house prices for each state. Here are some possible options:

Box and Whisker Plot:

A box and whisker plot shows the median, interquartile range, and outliers of a dataset. It's a great option for comparing the distribution of house prices across different states. Each box represents the middle 50% of the data, with the median indicated by a line in the box. The whiskers extend to the highest and lowest values within 1.5 times the interquartile range of the data.

Histogram:

A histogram shows the frequency distribution of a continuous variable, such as house prices. It's useful for seeing the shape of the distribution and identifying any potential outliers.

Kernel Density Plot:

A kernel density plot is a smooth estimate of the probability density function of a continuous variable. It's similar to a histogram, but instead of showing the frequency of data points within a given range, it shows the probability density of those points.

Here is an example of how we can create box and whisker plots for the distribution of house prices for each state:

Box and Whisker Plot of House Prices for Each State

From this graph, we can see that the distribution of house prices in Victoria and New South Wales is skewed to the right, indicating that there are more expensive houses in these states. In contrast, the distributions for Queensland and Western Australia are more symmetrical, with a similar number of expensive and inexpensive houses. The distributions for South Australia and Australian Capital Territory are also symmetrical, but with a higher median price compared to Queensland and Western Australia.

Here is an example of how we can create a kernel density plot for the distribution of house prices for each state:

Kernel Density Plot of House Prices for Each State

From this graph, we can see that the shape of the distribution of house prices for each state is similar to what we observed in the box and whisker plot. The distributions for Victoria and New South Wales are skewed to the right, while the distributions for Queensland and Western Australia are more symmetrical. The distributions for South Australia and Australian Capital Territory are also symmetrical, but with a higher median price compared to Queensland and Western Australia.

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Describe the use of imaginative text. Give an example to explain your answer?

Answers

Answer:

Imaginative texts are characterised by originality, freshness and insight. These texts include novels, traditional tales, poetry, stories, plays, fiction for young adults and children, including picture books and multimodal texts, for example, film.

Explanation:

heir primary purpose is to entertain through their imaginative use of literary elements.

d is an architect receiving disability income benefits who is not able to return to work full time but can work on a part time basis

Answers

The feature that allows D to continue receiving benefits is the Residual Benefit clause.

According to question, D is an architect getting disability income benefits who is unable to return to work full-time but is able to work part-time. Residual benefit clause may allow him to receive his benefits with this amount of work.

Based on the percentage of income actually lost as a result of the partial disability and taking into consideration the insured's capacity to work and generate some income, a residual amount benefit is determined.

Hence, the answer is Residual benefit clause.

What does the disability income protection entail?

In the event that an accident or sickness prevents a person from working and earning a regular income, disability income insurance can assist shield them from financial losses.

Short-term and long-term disability insurance is offered by employers, Social Security, or insurance firms.

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Help me with my business homework please

Answers

The Business Problems are given as follows.

Solution 1: Provide a full refund as per the act.Solution2: Apologize to the customer, issue a refund, and compensate for any lost photos. Fix the app to prevent future incidents.

What is the explanation for the above?

For solution 1: According to the law, if a customer's purchased product is found to be faulty within 6 months of purchase, the seller is required to offer a full refund. In this case, since the washing machine was not working properly even after being repaired, and it has been only 5 months since it was purchased, the seller should provide a full refund to the customer.

Potential impact to business is: Financial impact due to the cost of the refund and loss of potential future sales.


For solution 2: Explanation: The app has a serious bug that deletes photos instead of organizing them. The company must take responsibility for the mistake and make it right with the customer.

Impact on the business: Financial loss due to refund and compensation costs, damage to the company's reputation, potential loss of customers and sales.

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