Adam quits his job in Minnesota because he is tired of the snow, drives to Arizona and looks for work is frictional unemployment.
Chris is laid off from User Group, Inc., because demand for computers has fallen off in the current recession is cyclical unemployment. Dan has 20 years experience as a loom operator in a textile mill, but the number of mills is declining and he cannot find one that is hiring loom operators is structural unemployment. The day after classes end, most of the junior class at Central High go downtown to look for a summer job is frictional unemployment. Allen, a high school dropout, can find no openings for manual labor, and he is not qualified for any of the openings that do exist is structural unemployment. Sheri has just graduated from secretarial school with strong word-processing skills, but as she looks for work she discovers that almost every business in town is laying off clerical staff is cyclical unemployment.
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Consider a second hand car market where three types of cars are being sold: High quality (H), medium quality (M) and low quality (L). Sellers value an H at $2000, an M at $1200 and an L at $800, whereas buyers value an H at $1800, an M at $1600 and an L at $1400. As discussed in the "Akerloff's Lemons Market", sellers are able to distinguish between different quality cars but buyers are not and a buyer believes that in this market 40% of the cars is an H, 30% of the cars is an M and 30% of the cars is an L. a) Determine which type of cars will be sold at the efficient allocation. b) Determine which type of cars will be sold at the market equilibrium.
Answer:
a) Determine which type of cars will be sold at the efficient allocation.
All cars would be sold in a Pareto efficient allocation.
In a Pareto efficient market, resources are all allocated in teh most efficient possible way. This is the reason why this is just a theoretical concept that does not necessarily apply in real life.
b) Determine which type of cars will be sold at the market equilibrium.
Since consumers are only willing to pay up to $1,620 for a used car, only medium quality and low quality cars will be sold. The price of high quality used cars is higher than the equilibrium price.
Explanation:
the most a buyer would be willing to pay for a used car is ($1,800 x 40%) + ($1,600 x 30%) + ($1,400 x 30%) = $720 + $480 + $420 = $1,620
What is your primary source of investment funds?
A. Saving or personal income
B. Pension or retirement
C. Insurance payout
D. Inheritance
E. Gift
F. Sale of business or property
G. Something else
Answer:
A. Saving or personal income
Explanation:
multiple choice-- economics
A visit to your doctor's office might reveal another, or several, doctors maintaining separate practices in the same building. These doctors may have combined their efforts to form what kind of business?
Corporation
Partnership
Franchise
Sole proprietorship
Answer:
Partnership
Explanation:
A partnership can be defined as a type of business ownership in which two or more individuals come together to start up a business and share the profits made together.
There are two (2) main classes of partnerships and these includes;
1. General partner: it is a type of partnership in which two or more people come together and have an agreement to do business by sharing profits, assets, debts or financial and legal liabilities.
2. Limited partner: it is a type of partnership in which people come together and have an agreement to do business but the involved partners only contribute financially and solely responsible to the amount of money they invested.
In this scenario, there are several doctors maintaining separate practices such as dentistry, paediatric, gynaecology, etc., in the same building.
Thus, these doctors may have combined their efforts to form a partnership business because they all share in the successful operation of the business and assume liability for any business debt owed.
milk should ______ (keep) in a fridge.
stana, incorporated, has preferred stock outstanding that sells for $93.23 per share. if the required return is 3.51 percent, what is the annual dividend?
The annual dividend on the preferred stock of Stana, Incorporated is $3.27 per share.
The price of a stock is determined by the market demand and supply for the stock, and it reflects the market's expectation of the stock's future performance. The required return on a stock is the minimum rate of return that an investor expects to receive from investing in the stock, and it reflects the investor's assessment of the risk of the stock.
To calculate the annual dividend on the preferred stock of Stana, Incorporated, we can use the formula:
Annual dividend = Preferred stock price x Required return
Substituting the given values, we get:
Annual dividend = $93.23 x 0.0351 = $3.27 (rounded to the nearest cent)
Therefore, the annual dividend on the preferred stock of Stana, Incorporated is $3.27 per share.
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What percent is the gig economy is expected to grow to by 2020?
A. 25
B. 50
C. 60
D. 75
Answer: 50
Explanation: good luck
what is multi mirror function in shopping malls and shop
Big shoppin stores are inside a large complex and it is not possible to have so many employees to look over each and every counter in the complex individually . So owners have to find something by which they could look over a large place at once and in this way the mampower required would also be less. So, to attain this need ,they use convex mirrors to watch the activities of the customers . Convex mirror is used as it has a large field of view , hence it allow the shopkeeper to track all the activities inside the store at once and for all.
please make me brainlist
Arriving 20 minutes early to an interview _____. is too early because you will not be able to use your cell phone during that period. is perfect timing for both you and the interviewer will not be enough time to showcase your patience while waiting may be an inconvenience to the interviewer
In 2010, the population of the United States was approximately 310 milion with a 0.97% annual growth rate. At this rate, the population P(f) (in milicas) can be approximated by P(t)=310(1.0097)f, where t is the time in years since 2010 . Part 1 of 5 (a) Is the graph of P an lincreasing or decreasing exponential function? The groph of P is exponential function. Part: 1/5 Part 2 of 5 (b) Evaluate P(0) and interpret its meaning in the context of this problem. P(0)=
To evaluate P(0), we substitute f = 0 into the population function P(f) = 310(1.0097)^f:
P(0) = 310(1.0097)^0
Since any number raised to the power of 0 is equal to 1, we have:
P(0) = 310(1)
P(0) = 310
Therefore, P(0) is equal to 310 million.
Interpretation: P(0) represents the estimated population of the United States in the year 2010, which is the starting point of our time frame. Based on the given information, the population of the United States in 2010 was approximately 310 million.
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What should you, the worker, be aware of with regard to evacuation procedures at your workplace?
(select two answers)
(a) when you get back into the building
(b) evacuation plans
(c) what to do when the emergency has passed
(d) how long the emergencies will last
With regard to evacuation what one has to be aware of would be
evacuation planshow long the emergencies will lastWhat is meant by evacuation?This is the term that is used to refer to all that would have to be done in order to get all the occupants of a building out of it due to an emergency that is occurring in the building. The need for evacuation is often due to emergency that could cause a loss of life. An example of such incidence would during a fire outbreak.
Hence we can say that With regard to evacuation what one has to be aware of would be
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Upon submitting its corporate charter to the state, Lazer was granted permission to issue 6,000 shares of $0.30 par value common stock. Net income for the year for Lazer was $98,400. In addition, the following transactions took place during the year: January 2: Investors paid Lazer $7 each for 2,520 shares of common stock March 12: Lazer purchases 600 shares of its own common stock for $6.50 per share October 31: Lazer declared a 2-for-1 forward stock split How much will be reported on Lazer’s balance sheet as of December 31 as Additional Paid-in Capital? Select one: a. $16,884 b. $13,440 c. $17,640 d. $30,624
Upon submitting its corporate charter to the state, Lazer was granted permission to issue 6,000 shares of $0.30 par value common stock. Net income for the year for Lazer was $98,400. In addition, the following transactions took place during the year:
1. January 2: Investors paid Lazer $7 each for 2,520 shares of common stock.
2. March 12: Lazer purchases 600 shares of its own common stock for $6.50 per share.
3. October 31: Lazer declared a 2-for-1 forward stock split.
To calculate the additional paid-in capital on Lazer's balance sheet as of December 31, we need to consider the transactions and the impact they have on the equity section of the balance sheet.
First, let's calculate the initial paid-in capital from the sale of the common stock to investors:
2,520 shares * $7 per share = $17,640
Next, let's calculate the reduction in paid-in capital due to Lazer purchasing its own stock:
600 shares * $6.50 per share = $3,900
After the stock split, the number of shares will double, but the par value per share will halve. Therefore, the par value will remain the same, but the number of shares will increase to 2 * 6,000 = 12,000 shares.
To calculate the additional paid-in capital after the stock split, we need to subtract the initial paid-in capital and the reduction due to the stock repurchase from the net income:
$98,400 - $17,640 - $3,900 = $76,860
Therefore, the amount reported on Lazer's balance sheet as of December 31 as Additional Paid-in Capital will be $76,860.
Please note that none of the options provided match the calculated value of $76,860. The correct answer is not available among the options provided.
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The following selected accounts and normal balances existed at year-end. Make the four journal entries required to close the books: Accounts receivable $45,000, Prepaid insurance 4,500, Land 50,000, Accounts payable 39,000, Notes payable 55,000, Retained earnings 12,000, Dividends 2,000, Fees earned revenue 65,000, Selling expenses 34,500, Administrative expenses 12,750, Miscellaneous expense 1,250.
The required Journal Entries that are required to close the book for the selected four accounts at year-end include the following:
Journal Entries:
December 31,
Debit Fees earned revenue $65,000
Credit Income Summary $65,000
To close the Fees revenue to income summary.
Debit Income Summary $34,500
Credit Selling expenses $34,500
To close the selling expenses to income summary.
Debit Income Summary $12,750
Credit Administrative expenses $12,750
To close the administrative expenses to income summary.
Debit Income Summary $1,250
Credit Miscellaneous expense $1,250
To close the miscellaneous expenses to income summary.
Data Analysis:
1. Accounts to be closed to Income Summary are:
Fees earned revenue $65,000 Income Summary $65,000
Income Summary $34,500 Selling expenses $34,500
Income Summary $12,750 Administrative expenses $12,750
Income Summary $1,250 Miscellaneous expense $1,250
2. Assets and Liabilities accounts:
Accounts receivable $45,000
Prepaid insurance 4,500
Land 50,000
Accounts payable 39,000
Notes payable 55,000
Retained earnings 12,000
Closed to Retained earnings: Dividends 2,000
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equipment was acquired on january 1, 2024, for $15,000 with an estimated four-year life and $1,000 residual value. the company uses straight-line depreciation. which of the following entries would be used to record the sale of the equipment for $5,000 on december 31, 2026? multiple choice account title debit credit cash $ 5,000 equipment $ 3,500 gain $ 1,500 account title debit credit cash $ 5,000 accumulated depreciation $ 10,500 equipment $ 15,000 gain $ 500 account title debit credit cash $ 5,000 equipment $ 4,500 gain $ 500 account title debit credit cash $ 5,000 accumulated depreciation $ 7,000 loss $ 3,000 equipment $ 15,000
The correct entry to record the sale of the equipment for $5,000 on December 31, 2026, would be: Account title Debit Credit, Cash $5,000, Accumulated Depreciation $10,500, Equipment $15,000, Gain $500
To record the sale of the equipment, we need to account for the cash received, the accumulated depreciation, the original cost of the equipment, and any gain or loss on the sale.
Cash: Since the equipment is sold for $5,000, we debit the Cash account for $5,000 as it represents the amount received from the sale.
Accumulated Depreciation: Accumulated Depreciation represents the total depreciation expense recorded over the years. Since the equipment was purchased on January 1, 2024, and the sale occurs on December 31, 2026, three years of depreciation would have been recorded. The annual depreciation expense is calculated as (Cost - Residual Value) / Useful Life. In this case, it is ($15,000 - $1,000) / 4 = $3,500. Thus, the Accumulated Depreciation account is credited for $10,500 (3 years x $3,500).
Equipment: The Equipment account is debited for the original cost of the equipment, which is $15,000, to remove it from the books.
Gain: If the proceeds from the sale exceed the book value of the equipment, it results in a gain. In this case, the gain is $500 ($5,000 - $4,500). Therefore, the Gain account is credited for $500.
The appropriate entry to record the sale of the equipment for $5,000 on December 31, 2026, involves debiting Cash for $5,000, crediting Accumulated Depreciation for $10,500, debiting Equipment for $15,000, and crediting Gain for $500. This entry properly reflects the financial impact of the equipment sale.
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I need a new one please
Respond to the following in a minimum of 175 words:
The business cycle represents the short-term changes experienced in the economy due to changes in levels of economic activity.
Summarize the 4 different phases of the business cycle.
Offer real-life events that you’ve experienced or researched, as examples for 1 to 2 phases of your choice.
Share the impact that you, your company, or others around you experienced.
Based on that impact, what corrective action(s) should be taken?
The business cycle consists of four phases: expansion, peak, contraction, and trough, each with distinct impacts and corrective actions.
The business cycle is a pattern of fluctuations that occur in the economy over time, representing the short-term changes in economic activity. It consists of four distinct phases: expansion, peak, contraction, and trough.
1. Expansion: This phase represents a period of economic growth and increasing activity. During expansion, businesses experience rising sales, increased production, and higher employment rates. Consumer confidence is usually high, leading to increased spending and investment. An example of an expansion phase could be observed in the technology sector during the dot-com boom of the late 1990s. Many technology companies experienced rapid growth, attracting substantial investments and creating a significant number of jobs.
2. Peak: The peak phase marks the height of economic activity, where the economy reaches its maximum output and employment levels. However, it is also an indicator that a slowdown is approaching. An example of a peak phase can be seen in the housing market prior to the 2008 financial crisis. Housing prices were at their highest, and the market was saturated with speculation and risky lending practices.
3. Contraction: The contraction phase, also known as a recession, represents a period of economic decline. During this phase, there is a decrease in consumer spending, business investments, and overall economic activity. Unemployment rates rise, and businesses may start to cut back on production and lay off workers. An example of a contraction phase can be seen in the 2008 financial crisis. Many businesses faced significant losses, leading to widespread job cuts and a decline in consumer spending.
4. Trough: The trough phase is the lowest point of the business cycle, indicating the end of the contraction phase. It represents the bottom of the economic decline, and from this point, the economy begins to recover. An example of a trough phase is the aftermath of the 2008 financial crisis, where the global economy slowly started to stabilize and recover through various government interventions and stimulus packages.
The impact of these phases can be significant for individuals, companies, and the overall economy. During an expansion phase, companies may experience increased profits and opportunities for growth. However, during a contraction phase, businesses may face financial challenges and the need to downsize or restructure. It is crucial to take corrective actions during these phases to mitigate negative impacts. This may include diversifying revenue streams, managing costs and expenses efficiently, and maintaining a strong cash position to weather economic downturns. Additionally, governments and policymakers play a vital role in implementing measures such as fiscal stimulus, monetary policy adjustments, and regulatory reforms to support economic recovery and stability.
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Which should you finance first?
O your needs
O your wants
O your savings
O your investments
in my opinion, the last option. i would spell it out but it won’t let me lolz
What is a swot anaylasis
Answer:
a study undertaken by an organization to identify its internal strengths and weaknesses, as well as its external opportunities and threats.
Explanation:
mark brainliest
a company estimates that warranty expense will be 2% of sales. the company's sales for the current period are $146,000. the current period's entry to record the warranty expense is: multiple choice debit estimated warranty liability $2,920; credit cash $2,920. debit warranty expense $2,920; credit sales $2,920. no entry is recorded until the items are returned for warranty repairs. debit estimated warranty liability $7,960; credit warranty expense $7,960. debit warranty expense $2,920; credit estimated warranty liability $2,920.
Debit warranty expense is $5,380. the company estimated warranty liability of $5380.
Estimated Corporate Expenses means the sum of (i) corporate expenses incurred prior to the filing date of the Estimated Closing Balance Sheet and (ii) a reasonable estimate of corporate expenses incurred after that date.
Estimated cost is a projection of the cost that will be incurred to build a product or to build something. This amount is derived as part of the internal project capital budgeting process or as part of the analysis.
When you're dealing with the information presented in a clustered frequency table, you don't know all the values, so you can't calculate the actual average. Instead, we do our best to estimate the mean.
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perceptions of neglect
Perceptions of neglect refer to how individuals or groups view a situation or action as neglectful or neglecting.
What is neglect ?Neglect can result in the inadequate care or attention to vulnerable individuals. Cultural norms, personal experiences, and societal expectations are factors that influence perceptions of neglect considering specific situations.
Those who have suffered from neglect previously may be more sensitive to similar events they believe as such, while individuals without any prior experience would have a contrasting perspective towards it.
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hello im Michal the fox how may tails i have three,two or,four
Answer:
2
Explanation:
GRUBHUB PERKS GIVE YOU DEALS ON THE FOOD YOU LOVE
THE KIND OF DEALS THAT MAKE YOU B O O G I E
DO DO DO DO TU TU TU TU
DO DO TU TUG UT UTURUWEUG
DOVRIOGJGHIJRG
DO
DO
DO
GET THE FOOD YOU LOVE i cant even finish it
Answer:
Grubhub perks give you deals on the food you love.
The kind of deals that make you boogie.
[music]
Purple guy: *bites borger and dances*
Sushi guys: *appear and eat the sushi*
Sallad girl: *eats salad and stands up*
Milkshake girl: *does the splits and sluprs milkshake*
Everyone: *dances all at once*
camera moves to purple guy and shows him dancing
[music stops] camera changes to house and kid looks at purple guy
purple guy: points at kid
kid: says huh and blinks
[music starts again]
Kid: *dancing*
Get the food you love with perks *doorbell rings* from Grubhub!
Grub what you love
Explanation:
The major difference between the information-based model and the content-based model is the
Answer:
The major difference between the information-based model and the content-based model is the way they make recommendations.
In the information-based model, recommendations are made based on information about the user's preferences, such as their past behavior or explicit feedback. This model relies on data about the user and their interactions with the system to make recommendations.
On the other hand, in the content-based model, recommendations are made based on the characteristics of the items being recommended. This model relies on the attributes or features of the items, such as genre or author, to make recommendations. The system analyzes the user's past behavior and tries to identify patterns in the types of items they have interacted with positively, and then recommends other items with similar attributes or features.
Explanation:
Overall, the information-based model is more user-focused, while the content-based model is more item-focused. Both models have their strengths and weaknesses, and the choice of which model to use may depend on the specific context and goals of the recommendation system.
Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?
Answer: I hate Trump and would make him eat tortilla chip vertically :/
Explanation:
Which of the following changes will make the value of a stock go up, other things being held constant?Answer a. The required return decreases. b. The required return increases. c. In general, investors become more risk averse. d. The growth rate of dividends decreases
The value of a stock is likely to go up if the required return decreases or if investors become more risk averse.
The value of a stock is determined by various factors, including the required return and investor sentiment. When the required return on a stock decreases (option a), it means that investors are demanding a lower rate of return to hold that stock. This reduction in required return makes the stock more attractive, increasing its value.
Similarly, when investors become more risk averse (option c), they are more cautious and seek safer investment options. As a result, they may shift their investments towards less risky assets, including certain stocks that are perceived as less volatile. This increased demand for safer investments can drive up the value of those stocks.
On the other hand, an increase in the required return (option b) would decrease the attractiveness of the stock, potentially leading to a decrease in its value. Likewise, a decrease in the growth rate of dividends (option d) might reduce the future income potential associated with the stock, resulting in a potential decrease in its value.
Overall, changes in the required return and investor risk aversion can significantly impact the value of a stock, with a decrease in the required return or an increase in risk aversion generally causing the stock's value to go up.
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Nearly all entrepreneurs operate home-based businesses.
Answer:
yes they do
Explanation:
Answer:
yes they do
Explanation:
The ratio of the price of two goods on a graphed budget line is measured by its:.
There are lines in budget. The ratio of the price of two goods on a graphed budget line is measured by the slope of the budget.
What is a budget lineThis is regarded as a two-dimensional graph that shows the various choices one have between two goods given the money one have to spend. It is also known as budget constraint.
The ratio of the price of good X that is found on the horizontal axis to the price of good Y on the vertical axis is known as the slope of the budget.
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An automated ordering system will enable a retailer to reduce their ordering costs by 50%. Assuming demand and product unit cost stay the same, after implementation
a.Inventory will be more uncertain
b.The retailer economic order quantity will decrease
c.Lead time will increase
d.Retail labor cost will rise
An automated ordering system will enable a retailer to reduce their ordering costs by 50%. Assuming demand and product unit cost stay the same, after implementation The retailer economic order quantity will decrease. The correct answer is b.
An automated ordering system can help retailers to streamline their ordering process and reduce the time and resources required to place orders. This can lead to a decrease in ordering costs by up to 50%.
However, the other options listed are not likely to occur as a result of implementing an automated ordering system.
Inventory uncertainty is not necessarily tied to the ordering system and may be impacted by other factors such as changes in demand or supply chain disruptions.
Lead time is also not directly affected by the ordering system, but rather by the supplier's ability to deliver products in a timely manner.
Retail labor costs are not likely to rise as a result of implementing an automated ordering system as the system is designed to reduce manual labor requirements.
Overall, an automated ordering system can help retailers to reduce their ordering cost by 50%. After implementing the retailer economic order quantity will decrease.
Therefore option b is correct answer.
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Examine the table comparing auto collision insurance
deductibles and premiums for three drivers.
Why does driver 3 most likely pay a higher monthly premium than drivers 1 and 2?
The insurance company views driver 3 as a risk
because of accident history and age.
The insurance company believes that driver 3 is
less likely to pay bills on time.
Driver 3 voluntarily pays a higher premium in order
to have a lower deductible.
Driver 3 voluntarily pays a higher premium to
receive greater coverage.
Driver 3 most likely pay a higher monthly premium than drivers 1 and 2 because A. The insurance company views driver 3 as a risk
because of accident history and age.
Why will an individual pay a higher premium?It should be noted that a monthly premium will reflect the added risk of multiple drivers using a vehicle.
Also, teenagers or young people generally pay higher premiums because it's believed that there more prone to accident.
Therefore, driver 3 most likely pay a higher monthly premium than drivers 1 and 2 because the insurance company views driver 3 as a risk
because of accident history and age
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Answer: A
Explanation:
The insurance company views driver 3 as a risk because of accident history and age.
ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.
Answer:
Expansionary monetary policies
Explanation:
A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.
In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.
The economic survey 2018 suggest that the psychological biases
can be used in the realm of tax compliance. It is in favour of using
religious norms such “dying in debt is a sin” to improve tax
compliance.
Identify the related dimensions of business environment.
Answer
(a) Legal and social dimension
(b) Social, and economic dimension
(c) Technological and political dimension
(d) Political and economic dimension
Answer: (a) Legal and social dimension
Explanation:
The Legal dimension of the business environment deals with laws and regulations governing the business environment. Tax compliance will therefore fall under this dimension.
The social dimension includes social structures like culture, tradition and the like. Using religious norms will therefore fall under here as religion falls under social structures.