Answer:
In the short-run, inflation and unemployment are inversely related; as one quantity increases, the other decreases. In the long-run, there is no trade-off. In the 1960's, economists believed that the short-run Phillips curve was stable.
Explanation:
https://courses.lumenlearning.com/boundless-economics/chapter/the-relationship-between-inflation-and-unemployment/
ABC C.o just completed an IPO with an investment bank on a firm-commitment basis. The firm issues 3 million shares of common stock, and the underwriting fees were $2.83 per share. The offering price was $30.00 per share.
Answer: $150,000,000
Explanation:
Question is:
What were the total proceeds from the common stock sale?
Total proceeds refer to the total amount that the sale of the stock generated. This means that you should not account for the underwriting fees as of yet but just the amount that came in.
= Number of shares sold * price per share
= 3,000,000 * 30
= $150,000,000
According to the above material, there exist large differences between economic growth rate using traditional expenditure approach and the satellite night-light data. How do you evaluate the night-light data method? and can you identify several reasons why there exists such differences?
The use of satellite night-light data as a method to evaluate economic growth has both strengths and limitations. Reasons for Differences between Traditional Expenditure Approach and Night-light Data: Informal Economy, Data Limitations, Urbanization Bias and Structural Changes.
Here is an evaluation of the night-light data method and several reasons for the differences observed between the traditional expenditure approach and the night-light data:
Evaluation of the Night-light Data Method:
Objective and Timely: Satellite night-light data provides an objective and timely measure of economic activity. Wide Coverage: Night-light data can cover large geographical areas, including remote and inaccessible regions. Granularity: The data can be analyzed at a fine-grained level, allowing for detailed spatial analysis of economic patterns. This can help identify pockets of growth and disparities within regions.Reasons for Differences between Traditional Expenditure Approach and Night-light Data:
Informal Economy: The traditional expenditure approach relies on official economic data, which may not fully capture the informal sector. Data Limitations: Night-light data has its limitations. It primarily measures economic activity related to lighting, which may not capture other dimensions of economic growth such as services or knowledge-based industries. Urbanization Bias: Night-light data tends to be more representative of urban areas with higher population density and greater access to electricity. Structural Changes: The traditional expenditure approach focuses on consumption and investment, while night-light data primarily captures the energy consumption associated with lighting.For such more question on economic:
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Ming is visiting her company's headquarters in Germany, which has a highly assertive culture. She is likely to observe her coworkers
Answer:
D: using competitive language when evaluating ideas
Explanation:
Choices seem to be ...
A: using subtle, indirect language in meetings.
B: allowing silence to linger in meetings.
C: expressing respect for others but letting issues go unresolved.
D: using competitive language when evaluating ideas.
E: expressing themselves in controlled, measured ways.
__
"Assertive" meaning "showing a confident or forceful personality", we don't expect subtle, or controlled language; nor do we expect lingering silence or unresolved issues. We expect choice D to be most likely.
An employer's defense to an employment discrimination claim might include a simple demonstration that the employee's evidence is not true. This defense might include all of the following except
An employer's defense to an employment discrimination claim might include a simple demonstration that the employee's evidence is not true. This defense might include all of the following except "the employee is a known liar".
What is a defense in law?
A defendant may establish a defense in a civil case or criminal prosecution under common law or legislation in order to avoid civil responsibility or criminal guilt.
What is Evidence?
The evidence for a proposition is what backs up that assertion. It is commonly seen as proof that the supported statement is correct. The function of evidence and how it is conceived differs by discipline.
How can a lie be detected during a legal proceeding?
The polygraph is the most well-known tool for detecting deceit through psychophysiological means.
All of these strategies are designed to identify deceit by evaluating indications of changes in the body that are ordinarily undetectable by human inspection.
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Suppose you win the lottery and have two options: A. Take $1 million now. B. Take $1.2 million to be paid out as 300,000 now and then $300,000 a year for 3 years. Which is the better deal? Assume that the interest rate is 10%. Please show your work. (4 point)
Answer:
A. Take $1 million now.
Explanation:
A. If we take $1 million now the present value of the money is $1 million.
B. If we choose to take $1.2 million paid out over 3 years then present value will at 10% will be;
$300,000 + $300,000 / 1.2 + $300,000/ 1.44 + $300,000 / 1.728
$300,000 + $250,000 + $208,000+ $173,611 = $931,944
The present value of option B is less than present value of option A. We should select option A and take $1 million now.
What the term of reducing the price of an item in order to encourage sales
Answer: Promotional Pricing would reduce the price of an item in order to encourage sales.
Explanation:
What Is Promotional Pricing? Promotional pricing is a sales strategy in which brands temporarily reduce the price of a product or service to attract prospects and customers. By lowering the price for a short time, a brand artificially increases the value of a product or service by creating a sense of scarcity.
Hope this helps :)
Answer:
It is called Predatory pricing
Explanation:
Promotional pricing is when a sales strategy when brands temporarily reduce the price of a product so it attract prospects and customers. when they lower the price for a little time the brand artificially increases the value of a product.
You manage marketing for an online clothing company and and want to optimize your display campaigns before increasing their budgets. Which of the following actions should you take?
Add new assets multiple times per week.
Pause the campaign.
Replace all the assets at once.
Remove and replace low-performing assets
The correct response is d. Remove and replace low-performing assets. You should do something. Eliminate and replace ineffective assets.
An economic body or a corporation can own or control any resource as an asset. It is anything—tangible or intangible—that can be used to generate wealth. Assets are ownership values that can be transformed into currency (although cash itself is also considered an asset). A company's balance sheet displays the monetary value of the assets it possesses. It contains cash and other assets that are personal or corporate property. The two fundamental categories of assets are physical and intangible assets. Current assets and fixed assets are just two of the various categories into which tangible assets can be split. Cash, inventories, and accounts receivable are a few examples of current assets. Among fixed assets include land, buildings, and machinery. Non-physical resources and rights that have value to the company because they provide it a competitive edge in the market are known as intangible assets. A few examples of intangible assets are goodwill, copyrights, trademarks, patents, computer programs, and financial assets including stocks, bonds, and financial investments.
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The correct response is d. Remove and replace low-performing assets. You should do something. Eliminate and replace ineffective assets.
Which assets do you mean?An asset is a resource having economic worth that a person, organization, or nation owns or manages with the hope that it may someday be useful. A company's balance sheet lists its assets. They are divided into current, fixed, financial, and intangible categories.
What Kinds of Assets Exist?Personal assets can include your house, your property, your money, your jewelry, your artwork, your gold and silver, or even your checking account. Vehicles, structures, equipment, cash, and accounts receivable are all examples of possible business assets.
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Explain the differences between quality management and quality performance
While quality performance assesses the actual results and outcomes in terms of achieving quality standards and customer expectations, quality management focuses on the systematic management of quality processes and systems. To promote and ensure quality performance inside a company, quality management offers the structure and tools.
A company's, product's, or service's ability to continually performance properly is ensured through quality management. Planning for quality, ensuring for quality, controlling for quality, and improving for quality are its four key parts.
Quality management places equal emphasis on methods for achieving high product and service quality. As a result, quality management employs quality assurance and control of both processes and products to ensure more consistent quality. Quality management also includes quality control.
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Do you think it’s better to take out a loan to fund a business or seek out an investor?
Answer:is better to take out a loan
Explanation:
Which feature is a point of differentiation between products and services
Answer:
Products are tangible, offered by the companies to the customers in exchange for money.
Services are the intangible economic product that is provided by a person on the other person’s demand. It is an activity carried out for someone else.
Explanation:
The total cost of producing 15 tons of butter is $35000. If average variable cost is $530, then what is the firm's average fixed cost? (enter answer as just a number, no commas, dollar signs, or the like)
Answer:
$1803.33
Explanation:
average total cost = average variable cost + average fixed cost
average total cost = total cost / quantity = $35000 / 15 = $2,333.33
average fixed cost = $2,333.33 - $530 = $1803.33
what is the capitalism
Answer:
Capitalism is an economic system based on the private ownership of the means of production and their operation for profit. Central characteristics of capitalism include capital accumulation, competitive markets, a price system, private property and the recognition of property rights, voluntary exchange and wage labor.
Explanation:
Just a cheerful teen willing to help...
can I have free account please
Answer:
what kind of account?
i will give you don't worry
a study of long-distance phone calls made from general electric reveled the length of the calls, in minutes, follows the normal probability distribution. the mean length of time per call was 4.5 minutes and the standard deviation was 0.70 minutes. what is the probability that calls last between 4.0 and 6.0 minutes?
The probability that calls last between 4.0 and 6.0 minutes is approximately 0.7441, or 74.41%.
To find the probability that calls last between 4.0 and 6.0 minutes, we need to calculate the area under the normal curve between these two values.
First, we need to standardize the values using the Z-score formula: Z = (X - μ) / σ, where X is the value, μ is the mean, and σ is the standard deviation.
For 4.0 minutes:
Z1 = (4.0 - 4.5) / 0.70 = -0.71
For 6.0 minutes:
Z2 = (6.0 - 4.5) / 0.70 = 2.14
Next, we need to find the cumulative probabilities associated with these Z-scores using a standard normal distribution table or a statistical software.
The probability associated with Z1 is P(Z ≤ -0.71), and the probability associated with Z2 is P(Z ≤ 2.14).
Using a standard normal distribution table, we can find these probabilities:
P(Z ≤ -0.71) ≈ 0.2389
P(Z ≤ 2.14) ≈ 0.9830
To find the probability that calls last between 4.0 and 6.0 minutes, we subtract the lower probability from the higher probability:
P(4.0 ≤ X ≤ 6.0) = P(Z ≤ 2.14) - P(Z ≤ -0.71)
≈ 0.9830 - 0.2389
≈ 0.7441
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The 30-years, 5.5 percent bonds issued by Modern Kitchens pay interest semiannually, mature in four years, and have a $1000 face value. Currently, the bonds sell for $1 020.66. What is the yield to maturity?
4.92% is the yield to maturity. Thus, option A is correct.
What are bonds?Debt protection is called a bond. Bonds are issued by creditors to attract investors with capital ready to extend a loan to them during a specified specific time period
The given information will be:
face value of bond = $1000
The bond's selling price = $1 020.66
The formula for Yield to maturity will be:
Yield to maturity= (annual coupon payment+(face value-market value)/years to maturity)/(face value+ market value)/2)
= (55+(1000-1020.66)/4) / (2020.66/2)
= (49.835/1010.33)
= 4.92%.
Therefore, option A is the correct option.
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The question is incomplete, the complete question will be:
Multiple Choice
4.92%
2.68%
5.39%
4.41%
2.46%
Fiscal policy may end up being destabilizing to an economy because:___________
a. Various time lags associated with fiscal policy cause the policy changes to take effect too late to solve the problem it was supposed to solve.
b. There is never a long enough time lag.
c. The economy is almost always at full employment.
d. The President may have different goals than Congress.
Answer:
D. The economy is almost always at full employmeny.
Explanation:
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a disgruntled customer will tell how many people about their experience
Answer:
A disgruntled customer will tell 9 - 15 people about their experience.
Explanation:
According to a study carried out by the White House Office of Consumer Affairs, a dissatisfied consumer tells 9-15 people about their experience. However, with the advent of social media and the internet, this number can sky-rocket into thousands and possibly millions depending on how viral the complaint becomes.
This is the more reason why organizations should endeavor to provide good customer service so that their brand will not be dragged into the mud by disgruntled customers.
Roland Company began operations on December 1 and needs assistance in preparing December 31 financial statements, including its year-end adjustments. The Tableau dashboard is provided to assist in the work.
Dec-1 prepaid 24 month insurance policy(coverage starting immediately) for $24,000 cash.
Dec-7 purchased supplies for $2,000 cash.
Dec-13 agreed to do $10,000 worth of work for Telo over the next 30.payment is to be received when the work is completed on Jan12.
Dec-24 received $4,000 cash in advance to perform work for ABX over the next four weeks.
Jan-5 paid wages of $800 cash to workers.
Jan-12 received $10,000 cash from Telo for work performed over the last 30 days.
Additional Information as of December 31
Telo Job Completion at Year-End: Telo 60% Complete
ABX Job Completion at Year-End:ABX 25% Complete
Supplies Remaining at Year-End
Wages Earned By Workers but not yet Paid at Year-End
1. Record the prepayment of insurance on December 1 and the adjusting journal entry for prepaid insurance on December 31
Answer:
December 1:
Prepaid Insurance 24,000
Cash 24,000
December 31:
Insurance Expense x
Prepaid Insurance x
Calculation:
The insurance policy is for 24 months, or 2 years, and was prepaid on December 1. Thus, the amount expiring during the current year (one month) can be calculated as follows:
$24,000 / 24 months = $1,000 per month
$1,000 x 1 month (December) = $1,000
Adjusting entry:
Insurance Expense 1,000
Prepaid Insurance 1,000
The adjusting entry reduces the prepaid insurance account and records the portion of the insurance that has been used (or expired) during the current year as an expense.
Presented below are three transactions. Mark each transaction as affecting owner's investment (I), owner's drawings (D), revenue (R), expense (E), or not affecting owner's equity (NOE). ________(a) Received cash for services performed ________(b) Paid cash to purchase equipment ________(c) Paid employee salaries
Answer:
a. revenue (R), affecting owner's investment (I)
b. not affecting owner's equity (NOE)
c. expense (E) and affecting owner's investment (I)
Explanation:
Revenues and Expense form Profits which are included in the statement of changes in equity through the Retained Income line item, thus these two also affect owners investment.
Even though both investors earned a 7% rate of return, they still have to pay their management fees. You can find out an investor’s effective rate of return by subtracting the fee percentage from the rate of return percentage.
What is Alizeh’s effective rate of return?
What is Christina’s effective rate of return?
The total value of Alizeh’s mutual fund is $10,570.
What mutual fund means?A mutual fund is a collection of funds that is professionally managed by a Fund Manager. It is a trust that takes money from many participants who have similar investing goals and invests it in stocks, bonds, money market instruments, and/or other securities.How is it calculated?The given data is,
Investment in mutual fund = $10,000
Annual expense ratio = 1.3%
Rate of return on investment = 7%
Annual return on investment = $700 ($10,000 × 7%)
Annual fees for her actively managed mutual fund = $130 ($10,000× 1.3%) At the end of the year, the total value (after fees) of Alizeh's mutual fund:
Investment in mutual fund = $10,000
Annual return on investment = $700
Annual fees for mutual fund = ($130)
Total value =$10,570
The total value of Alizeh’s mutual fund is $10,570.
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The correct questions is Alizeh invests $10,000 in an actively managed mutual fund that has an annual expense ratio of 1.3%. The investment earns a 7% rate of return.
If the order is accepted, by how much will monthly profits increase or decrease? (The order would not change the company’s total fixed costs.) Show and label all computations using words and numbers to explain the steps please (final answer should be incremental profits)
If the Superior Company accepts the special order, monthly profits will increase by $2,500.
By how much will monthly profits increase or decrease if order is accepted?To determine the impact on monthly profits, we need to calculate the contribution margin per unit on the special order.
Contribution margin per unit = Selling price per unit - Variable costs per unit
= $15 - ($2.50 + $3.00 + $0.50 + $1.50)
= $7.50
The contribution margin ratio is 50% ($7.50 / $15).
The fixed costs are $4.25 + $2.00 = $6.25 per unit.
If the company accepts the special order, it will produce and sell an additional 2,000 units.
Total contribution margin from the special order:
= 2,000 units x $7.50 per unit
= $15,000
Since the order would not affect regular sales, the company's total fixed costs will remain the same. Therefore, the increase in monthly profits would be:
Increase in monthly profits = Total contribution margin from the special order - Incremental fixed costs
= $15,000 - ($6.25 x 2,000)
= $2,500.
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In what way do banks drive the United States economy?
A.)They provide loans that allow families and businesses to invest for the future.
B.)Their success or failure affects the availability of money.
C.)They set interest rates and payment policies.
D.)They determine who can invest in businesses.
Answer:
A.)They provide loans that allow families and businesses to invest for the future.
Explanation:
The Laffer curve models – as a function of a single – . In a progressive scheme, one has to look separately at the revenue from different segments of taxpayers, corresponding to different rates. The data in the table suggests that tax cuts in the early 1980s led to – revenue from lower-income taxpayers but – revenue from the highest-income taxpayers. This would mean that reductions in the – rate, at least, made fiscal sense.
Laffer curve models tax revenue as a function of a single tax rate.
Given the table above, it suggests that the tax cuts led to less revenue from the lower income groups ie there was a reduction in the taxes from the bottom 50%. But it led to more revenue from higher income group people ie the top 1%.
This implies that the reduction in the top marginal rate made atleast fiscal sense.
What is the laffer curve?The Laffer Curve is based on supply-side economist Arthur Laffer's theory. It was developed in 1974 to illustrate the relationship between tax rates and the amount of tax revenue collected by governments.
The curve is frequently used to demonstrate the point that lowering tax rates can result in increased total tax revenue.
The Laffer Curve is a tax theory that proposes an inverted-U-shaped relationship between tax rates and government revenue.
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The Fed threw a lot of money at the financial crisis in 2008 to unfreeze credit markets and encourage economic activity. As part of its effort to keep the interest rate low, the Fed purchased government bonds worth $300 billion between March and September 2009. By October, the Fed held $770 billion in government securities, nearly double its pre-crisis total. Before the crisis, the Fed held mainly government securities, which it used to control the quantity of money in the economy. Now government securities make up just 35% of the Fed's balance sheet.
Explain how the Fed uses its government securities to control the nominal interest rate
When the Fed purchases government securities, bank reserves ______ and bank deposits ______.
A. increase; increase
B. decrease; increase
C. decrease; decrease
D. increase; decrease
Answer:
D. increase; decrease
Explanation:
$2200; increased; 300
Travers Company is contemplating the acceptance of a special order has the following unit cost behavior, based on 10,000 units (the total capacity of their factory). Travers Company is presently manufacturing 7000 units in their factory. Direct Materials $7 Direct Labor $8 Variable Overhead $7 Fixed Overhead $6 Poppins Company wants to purchase 2,000 units at a special unit price of $35. The normal price per unit is $40. In addition, a special stamping machine will have to be purchased for $4,808 in order to stamp the company’s logo on the product. What is the amount of the incremental income (loss) from accepting the order? (your answer should be the total incremental profit or loss for ALL 2000 units, not just one unit)
Answer:
Effect on income= $21,192 increase
Explanation:
Because it is a special offer and there is unused capacity, we will take into consideration only the incremental fixed costs.
Direct Materials $7
Direct Labor $8
Variable Overhead $7
Incremental fixed costs= $4,808
To calculate the effect on income, we need to use the following formula:
Effect on income= total contribution margin - incremental fixed costs
Effect on income= 2,000*(35 - 7 - 8 - 7) - 4,808
Effect on income= $21,192 increase
Answer:
Incremental income = $21,192
Explanation:
A special order is a request from a customer at a proposed price lower than the standard price charged by the supplier.
The relevant cost for a decision to accept or reject a special order are :
I .Incremental revenue from the special order
2. incremental variable cost of the special order
3. Other specific cost associated with the other
Note that whether or not the special order is accepted, Popins Company would still incur the fixed overheads either way. Therefore , they are not relevant for the decision
Variable cost cost= Direct material + Direct labor + Variable overhead
= 7 +8+7= $22
Sales revenue from the special order $
($35 × 2,000) 70,000
Variable cost of the special order (22× 2,000) (44,000)
Cost of special stamping machine (4,808)
Incremental income 21,192
Incremental Income = $21,192
According to the video, what are some qualities Tellers need? Check all that apply.
a cheerful, outgoing personality
a dominant, confident presence independence
leadership skills
basic math skills
attention to detail
Answer:
a e f i did the assment
Explanation:
Answer:
the answer is:
a cheerful, outgoing personality
basic math skills
attention to detail
Explanation:
Keisha took the report her colleague had written, changed the author's name to her own, and presented it to the company's chief executive. Keisha's human resources director found out what she did and told Keisha she wanted to talk to her about an ethical violation she committed. What is the director most likely going to say to Keisha?
Question 1 options:
You shared a trade secret without permission.
You plagiarized someone else's work.
You used website analytics illegally.
You posted inappropriate comments.
The director most likely going to say to Keisha that you plagiarized someone else's work.
What is plagiarism?The false depiction of another person's words, ideas, or expressions as one's own unique work is known as plagiarism.
Although specific definitions differ depending on the institution, such depictions are typically viewed as a violation of journalistic ethics, academic integrity, and societal standards of learning, teaching, and research in many cultures.
Sanctions for it include fines, suspensions, expulsions from school or the workplace, jail time, and even hefty fines.
Although plagiarism is often not considered a crime in in of itself, like counterfeiting, it is still subject to legal sanctions for prejudices brought about by copyright violations, violations of moral rights, or torts. It is a significant ethical violation both in academia and in business.
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factors leading to the increased use of project management - select all that apply a) increased customer focus b) knowledge explosion c) compression of the product life cycle d) decreased customer focus
The increased use of project management was due to a number of factors. These include an increased customer focus that has led companies to view projects from the customer's perspective, and an explosion of knowledge that has increased the complexity of many projects.
In addition, compression of the product life cycle has increased the need to complete projects quickly and efficiently, while reduced customer focus has forced companies to focus on projects to remain competitive. By utilizing project management, companies are able to better understand customer needs, allocate resources more efficiently, and manage project timelines with greater precision. This has enabled them to create products and services that meet customer requirements and remain competitive in the market.
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in this figure, obtaining more books by giving up some movies is called a(n)__ ; whereas losing two books in order to gain 1 movie is referred to as .
Answer:
Explanation:
trade-off; an opportunity cost
in this figure, obtaining more books by giving up some movies is called a trade-off whereas losing two books in order to gain 1 movie is referred to as an opportunity cost.
What is trade?The word trade is defined as, the trade is the transfer of goods and services, as it transfers from one person to another person. as in business trades play an important role in it, By having trade better economic flow will be there.
The term opportunity cost refers to, in the terms of economics, the opportunity cost plays an important role in it, By having the opportunity cost. The overall benefits of the loss when we are choosing one option over another. can be described.
Therefore, The opportunity cost refers to, the benefits that were chosen not by an option.
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A local government is about to run a lottery but does not want to be involved in the payoff if a winner picks an annuity payoff. The government contracts with a trust to pay the lump-sum payout to the trust and have the trust (probably a local bank) pay the annual payments. The first winner of the lottery chooses the annuity and will receive $150,000 a year for the next 25 years. The local government will give the trust $2,000,000 to pay for this annuity. What investment rate must the trust earn to break even on this arrangement
If the first winner of the lottery chooses the annuity and will receive $150,000 a year for the next 25 years. The investment rate the trust must earn to break even on this arrangement is: 5.56%.
Investment rate earn to breakevenGiven data:
Initial deposit = $2,000,000
Annual payment = $150,000
Number of years = 25 years
Using this formula to find the interest rate on the annuity by solving for I:
PV=PMT×1−(1+I)−^N/I
Where:
Present value (PV) = -2,000,000
Number of years (N) = 25
Periodic payment (PMT) =-150,000
Future value=0
Interest rate=I/Y = ?
Hence,
$2,000,000=$150,000×1−(1+I)−^25/I
Using a financial calculator to find interest rate(I/Y ) by inputting the below data
N = 25
I/Y = ?
PV = 2,000,000
PMT = -150,000
FV = 0
Hence,
CPT I/Y = 5.56%
Therefore If the first winner of the lottery chooses the annuity and will receive $150,000 a year for the next 25 years. The investment rate the trust must earn to break even on this arrangement is: 5.56%.
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