jeremy just started a new job and completed his w-4 form. who should he submit it to?

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Answer 1

Jeremy just started a new job and completed his W-4 form. He should submit his W-4 form to his employer, who will then use the information to calculate how much federal income tax should be withheld from his paycheck every pay period.

There are some important things that Jeremy should keep in mind when filling out his W-4 form. For example, he should make sure to claim the correct number of allowances based on his situation. If he claims too many allowances, he may end up owing money at tax time. If he claims too few, he may be giving the government an interest-free loan by having too much money withheld from his paycheck.

In addition to federal income tax, Jeremy's employer may also withhold state and local taxes, as well as Social Security and Medicare taxes. Jeremy needs to understand  how his employer is calculating these withholdings so that he can make sure he is paying the correct amount in taxes throughout the year. If Jeremy's personal or financial situation changes during the year, he should update his W-4 form to reflect those changes.

For example, if he gets married, has a child, or buys a house, he may be eligible to claim additional allowances or tax credits on his W-4 form. In summary, Jeremy should submit his completed W-4 form to his employer so that his employer can calculate the correct amount of federal income tax to withhold from his paycheck every pay period.

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there was no beginning inventory in year 1. pungent's selling price and unit variable cost and total fixed cost were the same for both years. what is pungent's variable costing net operating income for year 2?

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The information provided is not sufficient to calculate Pungent's variable costing net operating income for year 2.

The variable costing net operating income for a company is calculated as its contribution margin minus its total variable expenses minus fixed expenses.

However, the given information only mentions that there was no beginning inventory in year 1 and that the selling price, unit variable cost, and total fixed cost were the same for both years. This information alone is not sufficient to calculate the contribution margin, total variable expenses, or fixed expenses for either year.

Additional information about the number of units sold, the variable cost per unit, and the fixed cost amount is required to calculate the variable costing net operating income for year 2.

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which of the following would be the most convincing evidence of a partnership? group of answer choices an agreement to pay a firm manager a percentage of the profits for her salary an agreement to share gross returns an agreement to share in the management of the business an agreement to share profits and losses

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An agreement to share the profits and losses would be the most convincing evidence of a partnership.

What is a partnership?

A partnership is a business structure in which two or more individuals or entities join together to carry out a business venture. Partnerships are a common form of organization for small and medium-sized businesses, particularly in professional services such as law, accounting, and consulting. In a partnership, the partners share the profits and losses of the business and contribute their expertise, labor, and capital to achieve the common goal. Partnerships can take various forms, such as general partnerships, limited partnerships, and limited liability partnerships, each with its own characteristics and legal implications. A partnership requires a partnership agreement that outlines the rights and obligations of each partner, the distribution of profits and losses, and the management and decision-making process of the business.

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you are a project leader directed to provide the leadership of your organization with a potential ideas(s) to increase productivity (select a specific organization that is applicable to you, if desired). you are planning how to proceed and would like to implement some of the elements of strategic thinking. you would like to eliminate some of the potential ideas to develop two or three viable solutions. what type of thinking would best facilitate this? group of answer choices critical thinking creative thinking egocentric tendencies systems thinking

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To proceed and would like to implement some of the elements of strategic thinking, the type of thinking that would best facilitate this is "critical thinking."

Critical thinking is a type of thinking that is objective, self-directed, and motivated by a need for knowledge and an interest in acquiring knowledge. Critical thinking can be described as a discipline that focuses on a certain set of mental skills and abilities, including observation, analysis, synthesis, interpretation, evaluation, inference, explanation, and self-regulation.

Critical thinking helps us solve problems by breaking down complex issues into smaller parts, analyzing each part in detail, and then determining how the parts work together. It helps us to develop hypotheses, to test these hypotheses, and to evaluate the evidence that supports them. It enables us to examine assumptions, to identify biases, and to recognize the limitations of our own thinking. In short, critical thinking is an essential tool for anyone who wants to be a successful problem solver.

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What about currency?
you do not need to enter the symbols for currency. for example, if you enter 14000000 into a numeric entry cell that deals with currency and then select out of the numeric entry field, it may appear as $14,000,000.00 or $14,000,000, depending on the type of value the question requires. you may need to enter decimals as well.
complete the following statement to see how currency works.
if you start out with $2.85 and find an additional $4.65 in your pocket, you will have a total of

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7.50 that how much you will have

why did mint invest the time and effort to publish a financial services blog almost two years before the launch of its service?

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Mint invested the time and effort to publish a financial services blog almost two years before the launch of its service to create an online presence that would attract potential users and build trust among them.

What is Mint?

Mint is a financial management software that allows users to manage their finances in one place by combining bank accounts, credit cards, and investment accounts. Mint's blog is one of the most widely followed in the finance and technology sectors, with a large number of subscribers and daily readers.

The main aim of Mint's blog is to build trust among potential users, provide them with valuable financial insights, and build a strong online presence that would attract new users to their service.

By publishing blog posts on personal finance, credit score, saving money, and other related topics, Mint is able to build a large community of followers who rely on their financial advice and recommendations.

This early investment in content marketing paid off when Mint launched its financial management software in 2007, as the company was able to attract a large number of users who trusted the brand and valued its expertise in personal finance.

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question content area if the budgeted factory overhead cost is $460,000, the budgeted direct labor hours are 80,000, and the actual direct labor hours are 6,700 for the month, the amount of factory overhead to be allocated is $38,525 (if the allocation is based on direct labor hours). true false

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The statement is false. To calculate the amount of factory overhead to be allocated based on direct labor hours, we need to use the predetermined overhead rate formula:

Predetermined overhead rate = Budgeted factory overhead cost / Budgeted direct labor hours

Predetermined overhead rate = $460,000 / 80,000 = $5.75 per direct labor hour

Once we have calculated the predetermined overhead rate, we can allocate the overhead to the actual direct labor hours incurred:

Factory overhead to be allocated = Predetermined overhead rate x Actual direct labor hours incurred

Factory overhead to be allocated = $5.75 x 6,700 = $38,525

Therefore, the amount of factory overhead to be allocated based on direct labor hours is indeed $38,525, as stated in the question. The statement is true.

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True or False:1. If nominal GDP increased during a year, then the output must have increased.2. If the output of each good or service doubles and all prices remain unchanged, nominal GDP doubles.

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1) False: An increase in nominal GDP does not always mean that output has increased.

2). True: If the output of each good or service doubles and all prices remain unchanged, nominal GDP will double.

Nominal GDP is calculated by multiplying the quantity of goods and services produced by their current market prices. Therefore, an increase in the price level can cause an increase in nominal GDP without an increase in output.

This is because nominal GDP is calculated by multiplying the quantity of goods and services produced by their current market prices. If the quantity produced doubles, the total quantity multiplied by prices will also double

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a recession is defined as a period in which: group of answer choices cost-push inflation is present. real domestic output falls. demand-pull inflation is present. nominal domestic output falls.

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A recession is defined as a period in: Real domestic output falls.

However, a recession is more commonly defined as a decline in the gross domestic product (GDP) for two or more consecutive quarters. A recession may also be characterized by a decline in employment levels, industrial production, and wholesale-retail sales.

The general economy experiences a recession during times of economic decline. Recessions can be caused by a variety of reasons such as loss of consumer confidence, monetary or fiscal policies, high inflation, the bursting of a stock or real estate bubble, international trade problems, or war and other disturbances.

A decline in real domestic output is often the result of a recession. During the recession, the economy experiences a slowdown in output and economic activity. A recession, also known as a contraction, is a period of time when the economic growth rate is negative, typically lasting for two consecutive quarters.

A decrease in real domestic output is one of the most important signs of a recession.

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among other disadvantages of the functional structure is this one group of answer choices a) career paths and professional development are limited. b) dual reporting relationships blur lines of authority. c) the ceo cannot coordinate and control the efforts of functional level employees. d) communication is difficult among organizational functions.

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Among other disadvantages of the functional structure is career paths and professional development being limited. This means that the organization's structure has limitations that can affect the career paths and development of employees. This can be frustrating to employees who seek upward mobility and promotions within the organization.

The functional structure is a traditional organizational structure that groups employees according to their functional areas. This structure is common in larger organizations, where departments are created to handle specific functions such as finance, human resources, or marketing. The following are some of the advantages and disadvantages of functional structure:

Advantages of the functional structure:
Specialization in functional areas helps to improve efficiency and effectiveness.
It encourages the development of specific technical expertise.
Clear lines of authority and responsibility are established.


Disadvantages of the functional structure:
Career paths and professional development are limited.
Communication is difficult among organizational functions.
There may be conflicts between functional areas due to different objectives and priorities.
Coordination and control can be difficult for the CEO.

Therefore, the correct option among the given choices is A) career paths and professional development are limited.

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what considerations should marketers take into account when determining which pricing tactic to use? (check all that apply.) multiple select question. how customers' intend to use the product how many competitors are offering similar products the value customers perceive the product to have the customers' ability to pay

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Marketers should take several considerations when determining which pricing tactic to use. The considerations are: Customers' ability to pay, how customers intend to use the product, how many competitors are offering similar products and the value customers perceive the product to have.

1. Customers' ability to pay: This is one of the most crucial considerations a marketer should take into account when determining which pricing tactic to use. A product may be incredibly beneficial to a customer, but they may not be able to afford it. In this case, the pricing strategy should be set to target those customers who can afford it.

2. How customers intend to use the product: A marketer should also consider how customers intend to use the product. Pricing strategies differ based on how the customer uses the product. For instance, if the product is intended for commercial use, a higher price may be charged compared to the same product for personal use.

3. How many competitors are offering similar products: Another factor that marketers should take into account is the number of competitors in the market who are offering similar products. In this case, the pricing strategy should be set to be competitive with those of the competitors.

4. The value customers perceive the product to have: The value customers perceive the product to have is also a critical consideration for marketers. In this case, the pricing strategy should match the perceived value of the product. If customers perceive the product to be of high value, then the price should reflect that value.

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vertical integration exists when a company produces its own inputs (forward integration) or owns its own source of output distribution (backward integration). group of answer choices true false

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The given statement 'vertical integration exists when a company produces its own inputs (forward integration) or owns its own source of output distribution (backward integration)' is true because by vertically integrating, a company can reduce costs, improve product quality, and increase profits.

Vertical integration exists when a company produces its own inputs, known as forward integration, or owns its own source of output distribution, known as backward integration. Vertical integration is a type of business strategy that seeks to increase efficiency, reduce costs, and gain greater control over the supply chain by either owning or controlling a company's upstream and downstream suppliers.

By vertically integrating, a company can reduce costs, improve product quality, and increase profits. The main benefit of vertical integration is that it can improve a company's control over the supply chain and reduce costs. For example, when a company vertically integrates, it can cut out the middleman and have more control over the production of inputs and the distribution of outputs.

Forward integration involves the company buying out its suppliers, while backward integration involves buying out its customers. By doing this, the company is able to reduce costs, gain greater control over the supply chain, and gain access to specialized technology and resources. By vertical integration, a company can reduce costs, improve product quality, and increase profits. It can also reduce competition, as it can be difficult for other companies to compete when a company has control over its upstream and downstream supply chains.

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which of the following is the result of a merged firm that maintains a low to moderate debt position? a. lower financing cost b. higher risk c. inevitable trade-offs that are associated with high debt d. maintenance of long-term competitive advantage in markets

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So here the right option is (a), Reduced financing costs arise from a combined corporation that retains a low to moderate debt position. Restructuring seems to be the process whereby a firm alters its collection of companies or even its financial structure.

Downscoping produces greater favorable outcomes in both the immediate and long run.

Depending on that same numerous long-term consequences, the Downsizing restructuring new technique is the least worth the extra money to undertake.

When one firm acquires a rival, supplier, distribution center, or business inside a closely similar sector so that a fundamental expertise may be exploited to achieve a competitive advantage, this displays an acquisition strategy that will allow market power.

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On January 1, 2021, Rhodes Co. owned 75% of the common stock of Brock Co. On that date, Brock's stockholders' equity accounts had the following balances:
Common stock ($6 par value)$300,000Additional paid-in capital 120,000Retained earnings 340,000Total stockholders' equity$760,000
The balance in Rhodes's Investment in Brock Co. account was $570,000, and the noncontrolling interest was $190,000. On January 1, 2021, Brock Co. sold 10,000 shares of previously unissued common stock for $12 per share. Rhodes did not acquire any of these shares.
What is the balance in Rhodes's Investment in Brock Co. account following the sale of the 10,000 shares of common stock?

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The new amount in Rhodes' Brock Co. investment account is $509,250. As a result, to reflect the reduction in ownership percentage, the current value of Rhodes' Investment into Brock Co. will likewise drop proportionately.

How is the balance in Rhodes' Investment calculated?

The total number of outstanding common shares after Brock Co. sells 10,000 shares of formerly unissued common stock would be 50,000 (because Rhodes Co. holds 75% of Brock Co., it currently owns 37,500 shares because of the preceding 40,000 shares available).

$120,000 will be earned from the selling of 10,000 shares ($12 per piece x 10,000 shares).

As none of these shares were acquired by Rhodes Co., its ownership stake with Brock Co. will drop from 75% into 67.5% (37,500).

The new balance in Rhodes' Investment at Brock Co. account is $509,250 ($570,000 multiplied 67.5%).

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a project that provides annual cash flows of $17,700 for ten years costs $83,000 today. what is the npv for the project if the required return is 9 percent?

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Let us calculate NPV the usage of the formula. Here, the cash inflow of Rs. 1,00,000 at the cease of the first 12 months is discounted at the price of 9% and the current fee is calculated as Rs. 91,743.

How do you calculate NPV with required fee of return?

What is the formulation for internet current value?

NPV = Cash float / (1 + i)^t – preliminary investment.

NPV = Today's value of the anticipated money flows − Today's price of invested cash.

ROI = (Total advantages – whole costs) / whole costs.

the internet current price for the given cash flows the usage of a cut price charge of 10% is equal to $0. This skill that with an initial investment of precisely $1,000,000, this series of cash flows will yield precisely 10%.

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the toyota production system is often depicted as a house. the foundation of tps consists of and .

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The Toyota Production System is often portrayed as a house. The foundations of the TPS are just-in-time production (JIT) and the Jidoka principle.

What are the foundations of the TPS?

The Just-in-Time (JIT) philosophy of TPS aims to minimize inventory and increase efficiency by only producing goods in response to demand. As a result, there is no unnecessary inventory and no need for large warehouses, allowing for more space and less cost. Inventory is also easier to manage because it is reduced to a minimum.

The Jidoka principle is the second foundation of the Toyota Production System. It includes developing machines and systems that detect errors immediately, resulting in automatic shutdowns to prevent defective goods from being manufactured. Jidoka enables machines to automatically stop production when they detect an abnormal condition, which prevents the manufacturing of bad parts or goods.

The principles of TPS and their implementation are well-known for their numerous benefits. Its principles are based on the idea of constant change,

which leads to the continuous improvement of production processes.

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even though each of the following funds involve a form of fiduciary responsibility, the fund that is not reported as a fiduciary fund for gaap reporting purposes is a (an)

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For GAAP (Generally Accepted Accounting Principles) reporting purposes, the Pension Trust Fund, Private-purpose Trust Fund, and Permanent Fund are reported as fiduciary funds, while the Investment Trust Fund is not reported as a fiduciary fund.

Pension Trust Funds are created to account for the assets that have been set aside to provide retirement benefits to employees. Private-purpose Trust Funds are created for a specific purpose, such as to provide scholarships, grants, or other types of support to individuals or organizations. Permanent Funds are created to account for funds that are intended to be held in perpetuity, with only the income generated by the fund being available for expenditure.

In all of these cases, the funds are held in a fiduciary capacity, meaning that the entity responsible for managing the funds has a legal obligation to manage them in the best interests of the beneficiaries. As such, these funds are reported as fiduciary funds in GAAP financial statements, which provide information on the assets, liabilities, and changes in net position for each fund.

On the other hand, an Investment Trust Fund is not reported as a fiduciary fund for GAAP reporting purposes because it is created to account for assets that are managed on behalf of external parties, but without the type of fiduciary responsibility that is associated with Pension Trust Funds, Private-purpose Trust Funds, and Permanent Funds. Investment Trust Funds are typically used to pool the assets of multiple external parties for investment purposes, such as mutual funds or collective investment trusts, and the entity managing the funds is not necessarily responsible for managing them in the best interests of the beneficiaries. As such, they are reported separately from fiduciary funds in GAAP financial statements.

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Full question:

Even though each of the following funds involve a form of fiduciary responsibility, the fund that is not reported as a fiduciary fund for GAAP reporting purposes is a(n):

Investment Trust Fund.

Permanent Fund.

Private-purpose Trust Fund.

Pension Trust Fund.

the irs does not have the authority to: a.summon third parties for taxpayer records. b.examine a taxpayer's books and records. c.place a lien on taxpayer property. d.summon taxpayers to make them appear before the irs. e.the irs has the authority to do all these.

Answers

The IRS does not have the authority to "summon third parties for taxpayer records". Option A is the correct answer.

The IRS (Internal Revenue Service) is a branch of the U.S. government responsible for collecting taxes and enforcing tax laws. The IRS has the power to review taxpayer records, request taxpayer records, impose fines for non-compliance with tax regulations, and so on.

The IRS has the authority to examine a taxpayer's books and records, place a lien on taxpayer property, and summon taxpayers to appear before the IRS. However, the IRS does not have the authority to summon third parties for taxpayer records.

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a company has six candidates who are running for four available positions on its board of directors. if the company is using cumulative voting, what's the maximum number of votes that a shareholder can cast for one candidate if she owns 500 shares?

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If the company is using cumulative voting, the maximum number of votes that the shareholder can cast for one candidate is 2,000.

Cumulative voting is a type of voting system that allows shareholders to cast all their votes for one candidate, rather than distributing their votes among multiple candidates.

If a shareholder owns 500 shares and the company is using cumulative voting, the maximum number of votes that the shareholder can cast for one candidate is calculated as follows:

Total number of votes = number of shares x number of positions to be filled

Total number of votes = 500 x 4

Total number of votes = 2,000

The shareholder can allocate all 2,000 votes to one candidate or split the votes among the candidates as desired.

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based on your answers to a) and b) above, what are the trade-offs management has to make between zero debt or $300,000 in debt? what are the benefits and disadvantages of taking on this debt?

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The trade-offs management has to make between zero debt or $300,000 in debt depends on the objectives of the company and their current financial standing. Taking on debt can be beneficial if the company expects higher returns from the debt than the interest costs, and the company can afford to make the debt payments.

Benefits of taking on the debt could include access to capital for expansion, increased buying power, or reducing the cost of capital if the company already has debt outstanding. However, there are disadvantages of taking on the debt as well.

Debt may reduce the company’s ability to access additional financing, reduce the ability to make dividend payments, and increase the risk of default on the loan payments. Additionally, debt financing may result in higher interest costs than equity financing, resulting in lower profits for the company.

In summary, taking on the $300,000 in debt could be beneficial if the company expects higher returns from the debt than the interest costs, and the company can afford to make the debt payments. However, there are also potential downsides to taking on the debt such as reduced access to additional financing, reduced dividend payments, higher interest costs, and increased risk of default on the loan payments.

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2. Which form details earned wages, together with required and optional
deductions?

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Answer:

no choices?sbsblksbklsjm

you are a project manager at a large telecommunications company. you have successfully completed the work on a large infrastructure network project. at the final team meeting, as part of professional and social responsibility, you should: seleccione una: a. thank members for their contribution b. reinforce to team members that, by being on the project, they gained knowledge and experience in project management c. have a party celebrating the successful completion of the project d. create letters of recommendation for team members for their personal files

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As a project manager at a large telecommunications company, upon successful completion of a large infrastructure network project, it is important to thank members for their contribution as part of professional and social responsibility.

What should a project manager do at the final team meeting after successfully completing a large infrastructure network project?

After completing a large infrastructure network project, a project manager should thank members for their contribution. As part of professional and social responsibility, it is vital to appreciate the contribution of every team member who participated in the project. The project manager can thank the team members verbally, and they can also send out thank-you notes to each team member.

The thank-you note should appreciate each member's effort in making the project successful, as well as their contribution. The project manager should also emphasize that by being on the project, the team members gained knowledge and experience in project management.  It is vital to let the team members know that their input helped in ensuring the success of the project, and they should be proud of their accomplishment. Therefore, the correct option is B.

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assuming a banking system with limited reserves, which of the following is most likely to occur if the central bank engages in open market operations to reduce inflation? responses a decrease in interest rates a decrease in interest rates a decrease in reserves in the banking system a decrease in reserves in the banking system a decrease in the government deficit a decrease in the government deficit an increase in the money supply an increase in the money supply an increase in exports

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Assuming a banking system with limited reserves, if the central bank engages in open market operations to reduce inflation, the most likely outcome will be an increase in the money supply.

The Federal Reserve in the United States uses open market operations to achieve its monetary policy goals. In this method, the central bank sells or purchases government bonds in the open market. Selling of government securities reduces the reserves of commercial banks, hence, increasing the interest rates. However, when the central bank buys government securities, it injects money into the economy.

This method is used to stimulate economic activity by reducing the interest rates and increase money supply. An increase in the money supply reduces interest rates, thus, making borrowing cheaper for individuals and businesses. It results in an increase in investment and consumption, which stimulate economic growth.

In contrast, when the central bank sells securities, it reduces the money supply, which increases the interest rates. This method is used to reduce inflation by reducing spending in the economy. Hence, when the central bank engages in open market operations to reduce inflation in a banking system with limited reserves, the most likely outcome will be an increase in the money supply.

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at one point, amex collaborated with retail giant costco to create an exclusive, co-branded credit card that offered unique benefits to cardholders. unfortunately, this project failed, further contributing to amex's poor performance. what type of collaboration was this? a. strategic alliance b. collaborative invention c. innovation through acquisition d. innovation through cooperative strategies

Answers

This type of collaboration is known as collaborative invention. They jointly conducted research and developed on this creation when Amex and retail behemoth Costco teamed up to produce an exclusive, co-branded credit card.

Therefore it is collaborative invention.

Therefore, option b. is correct.

What exactly do you mean by branding?

A brand is a good, service, or idea that is publicly set apart from similar ones so that it may be promoted and conveyed effectively. The process of building and promoting a brand's name, attributes, and personality is known as branding.

Primary goal of branding?

A brand is a promise a company makes to its customers. Establishing trust and fostering loyalty among your customers are the goals of a brand position in marketing.

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7. apple just issued a 30 year bond that pays a 3% annual coupon with a face value of $1,000. what is the amount of the semi-annual coupon? a. $1.50 b. $3.00 c. $15.00 d. $30.00

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The semi-annual coupon for Apple's 30-year bond with a face value of $1,000 and a 3% annual coupon is $15.00. The answer is option c.


The annual coupon rate of the bond is 3%.

It has a face value of $1,000.

As a result, the annual coupon payment is 3% of $1,000, or $30.

The semi-annual coupon amount is determined by dividing the annual coupon payment by two since it is paid twice a year.

Thus, the semi-annual coupon payment would be $15 ($30 divided by 2).

Therefore, the semi-annual coupon on a 30-year bond with a 3% annual coupon and a face value of $1,000 is $15.00. Option (c) is correct.

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sandra is asked to assist her neighbor in taking reservations and doing the property management for the neighbor's three vacation rentals. does sandra need an arizona real estate license?

Answers

Answer: yes

Explanation:

she is managing oroperties

zwick company bought 23,500 shares of the voting common stock of handy corporation in january 2024. in december, handy announced $203,600 net income for 2024 and declared and paid a cash dividend of $3.00 per share on all 207,500 shares of its outstanding common stock. zwick company's dividend revenue from handy corporation in december 2024 would be:

Answers

Zwick Company's dividend revenue from Handy Corporation in December 2024 would be $8,527.50.

To calculate Zwick Company's dividend revenue from Handy Corporation, we need to know how many shares Zwick Company owns and the dividend per share declared by Handy Corporation.

Zwick Company bought 23,500 shares of Handy Corporation's voting common stock. Therefore, Zwick Company owns 23,500 / 207,500 = 0.113 = 11.3% of Handy Corporation's outstanding common stock.

Handy Corporation declared a dividend of $3.00 per share on all 207,500 shares of its outstanding common stock. Since Zwick Company owns 11.3% of the outstanding common stock, it is entitled to receive a dividend on 11.3% of the shares.

Dividend revenue for Zwick Company = 0.113 x $3.00 x 23,500 = $8,527.50

Therefore, Zwick Company's dividend revenue from Handy Corporation in December 2024 would be $8,527.50.

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what are some of the needs and wants of most employers? what needs and wants might be specific to certain employers? what can you do to uncover those needs and wants?

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Employers generally need skilled, reliable, communicative, and team-oriented employees, but specific needs vary by industry, company culture, and job position, and can be uncovered through research and asking thoughtful questions during interviews.

Most employers are looking for employees who can contribute positively to their business. Employers typically have a set of needs and wants that they look for in their employees.

Generally, employers look for individuals who are skilled, reliable, and have good communication and teamwork abilities. Employers may also value qualities such as punctuality, attention to detail, and a positive attitude.

However, specific needs and wants may vary depending on the industry, company culture, or job position. For instance, an employer in the tech industry may require skills such as proficiency in programming languages, while an employer in the healthcare industry may value empathy and compassion in their employees.

To uncover an employer's specific needs and wants, it's important to carefully review the job description and do research on the company and its values. Additionally, it can be helpful to ask thoughtful questions during the interview process to gain a better understanding of the employer's expectations.

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which department is most likely to take issue with measuring the effectiveness of promotional programs?

Answers

The Marketing department is most likely to take issue with measuring the effectiveness of promotional programs. This is because the success of these programs can be difficult to quantify and may be judged differently depending on the goals of the company.

For example, the focus may be on increasing brand awareness, driving sales, or increasing customer loyalty.

The department that is most likely to take issue with measuring the effectiveness of promotional programs is the Sales department. Sales departments are a critical component of an organization's revenue generation engine. They're in charge of acquiring new customers, managing current customer accounts, and upselling customers. Sales department representatives are the organization's front-line salespeople who work to persuade customers to buy its products or services.

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how much money must be put into a bank account yielding 5.5% (compounded annually) in order to have $250 at the end of five years (round to nearest $1)? $179 $191 $237 $187

Answers

High-yield savings accounts stand out from regular savings bills in that they reward you with a higher hobby rate, allowing your cash to grow even faster as it sits in your account. The pastime price that these accounts offer is noted as APY, or annual proportion yield.

What does high-yield financial institution account mean?

A high yield savings account, also referred to as a excessive hobby account, is a type of savings account that affords better-than-average activity rates on deposits. Typically, excessive yield financial savings money owed pay extensively more than the countrywide common of a fashionable or common financial savings account.

You do not take on any danger depositing your money into a high-yield savings account that is FDIC-insured up to $250,000. Your cash is protected if something were to happen, such as a run on the bank. The cash sitting in your high-yield financial savings is handy if you ever want to tap into it.

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Sullivan Ranch Corporation has purchased a new tractor. The following information is given: S 150,000 10,000 Cost: Estimated Residual: 150000

Estimated Life in years 10000

Estimated Life in hours: 1200

Actual Hours

Year 1 360

Year 2 270

Year 3 350

Year 4 220

Prepare the Straight Line depreciation schedule by using the excel

Answers

This method allocates an equal amount of depreciation expense to each year of the asset's useful life.Year: 1 Beginning Book Value: 150,000Depreciation Expense: 37,500 (= 150,000 / 4)End Book Value: 112,500 (= 150,000 - 37,500).

Year: 2 Beginning Book Value: 112,500Depreciation Expense: 37,500End Book Value: 75,000 (= 112,500 - 37,500)Year: 3  Beginning Book Value: 75,000Depreciation Expense: 37,500End Book Value: 37,500 (= 75,000 - 37,500)Year: 4 Beginning Book Value: 37,500Depreciation Expense: 37,500End Book Value: 0 (= 37,500 - 37,500)First, you need to calculate the depreciable cost of the asset by subtracting the estimated residual value from the purchase cost. In this case, the depreciable cost would be $150,000 - $10,000 = $140,000.Next, you can calculate the annual depreciation expense by dividing the depreciable cost by the estimated life in years. In this case, the annual depreciation expense would be $140,000 / 10 years = $14,000 per year.Using this information, you can create a straight-line depreciation schedule for the tractor by listing the year, the beginning book value (which is the original cost), the annual depreciation expense, and the end book value (which is the beginning book value minus the annual depreciation expense).

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