Per capita real GDP is an economic measure that has been used for decades to determine a country’s standard of living. However, it has some limitations when used as the sole indicator of economic welfare. Firstly, it measures economic growth, not economic welfare.
It does not reflect distribution issues; hence, two nations may have similar per capita GDPs, but the income distribution may differ widely. It can also give a misleading impression of economic welfare in a country. For instance, a country can have a high per capita GDP and a low welfare level or vice versa.
Moreover, per capita GDP is based on monetary values, and it does not consider non-monetary factors such as environmental issues, quality of life, social welfare, and economic security. Per capita real GDP cannot reflect the inequality in income distribution and cannot gauge economic welfare. It is therefore limited in its capability to measure economic welfare as a stand-alone variable.
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TRUE OR FALSE 27) Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue.
Identifying the stakeholders—people who have a vested interest in the outcome of the decision—is the last step in analyzing an ethical issue. The statement is false.
Analyzing ethical problems is a systematic approach that examines moral decisions in any case or circumstance. It consists of a sequence of actions used to identify problems.
The majority of those affected by moral harm or any ethical imbalance are stakeholders. Stakeholders are individuals who have an ownership stake in the outcome of the decision. Acknowledging stakeholders is the first step in recognizing an ethical issue.
Therefore, the statement is False.
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Design Math Quiz
QUESTION 1 of 10: To get your design manufactured, you need to pay $4,000 in setup costs and $5 per item. Which of the following
represents the cost of having 1,000 items made?
a) 5+4,000 x 1,000
b) 4,000 + 5 x 1,000
c) 4,005
d) 5x1,000
Answer:
b) 4,000 + 5 x 1,000
Explanation:
The cost of 1000 items will be the total of
1). the set up cost
2). The per item cost multiplied by 1000 units
Therefore, the cost function will
=set up cost($4000 ) + cost of 1000 items( $5 x 1000)
=$4000 + $5 x 1000
When lost sleep is made up during the next opportunity for sleep, this is referred to as the?
When lost sleep is made up during the next opportunity for sleep, this is referred to as "sleep debt repayment."
Here are some strategies for repaying sleep debt:
Prioritize Regular Sleep: Establish a consistent sleep schedule and prioritize getting enough sleep each night. Aim for the recommended 7-9 hours of sleep for adults or the appropriate duration for your age group.
Allow for Extra Sleep Time: Initially, allocate additional time for sleep to make up for the accumulated sleep debt. For example, if you have been consistently getting 6 hours of sleep but need 8 hours, aim to sleep for 9-10 hours initially to repay the sleep debt.
Incremental Increase: Gradually increase your sleep duration by adding extra time to your regular sleep routine. Increase your nightly sleep duration by 15-30 minutes until you reach the recommended sleep duration for your age group.
Consistency is Key: Maintain a regular sleep schedule, including consistent bedtimes and wake-up times, even after repaying the sleep debt. This helps establish a healthy sleep routine and ensures ongoing sufficient sleep.
Create a Sleep-Conducive Environment: Make sure your sleep environment is comfortable, dark, quiet, and at a cool temperature to promote quality sleep.
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Greta has risk aversion of A=5 when applied to return on wealth over a one-year horizon. She is pondering two portfolios, the S\&P 500 and a hedge fund, as well as a number of one-year strategles. (All rates are annual and continuously compounded.) The S\&P 500 risk premlum is estimated at 10% per year, with a standard deviation of 16%. The hedge fund risk premium is estimated at 12% with a standard deviation of 31%. The returns on both of these portfolios in any particular year are uncorrelated with its own returns in other years. They are also uncorrelated with the returns of the other portfolio in other years. The hedge fund claims the correlation coefficient between the annual return on the S\&P 500 and the hedge fund return in the same year is zero, but Greta is not fully convinced by this claim. If the correlation coefficient between annual portfolio returns is actually 0.3, what is the covariance between the returns? (Round your answer to 3 decimal places.)
To calculate the covariance between the returns of the S&P 500 and the hedge fund, we can use the formula:
Covariance = Correlation coefficient × Standard deviation of S&P 500 × Standard deviation of hedge fund
Given:
Correlation coefficient = 0.3
Standard deviation of S&P 500 = 16%
Standard deviation of hedge fund = 31%
Substituting the values into the formula, we get:
Covariance = 0.3 × 16% × 31%
Calculating the value:
Covariance = 0.3 × 0.16 × 0.31 = 0.01488
Therefore, the covariance between the returns of the S&P 500 and the hedge fund is approximately 0.01488.
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6. A major benefit of socialism is the
Answer:
The major benefit of socialism is social equality, because income is taken from the wealthier people through taxes and redistributed to the poorer members of the population though government programs.
Explanation:
Which example is the best demonstration of initiative?
A. You don’t complain about the heavy workload you’ve been assigned.
b. You offer to take on some extra work when a coworker is out sick.
c. You agree to stay late to finish your work because you took a long lunch.
d. You always think carefully about a bad situation before proposing a solution.
Answer:
B
Explanation:
initiative isn't something we need to do but rather want to for someone or yourself, maybe to help.
Answer:
bbbbbbbbbbb
Explanation:
Which theory would support the idea that by increasing the efficiency of resource utilization in the global economy, international trade results in greater economic growth and provides economic benefits to all countries that participate in a global trading system?.
According to the principle of comparative advantage, two countries can still trade in a way that is advantageous to both even though one country can produce all items more cheaply than the other. This hypothesis states that relative effectiveness is important.
What is comparative advantage?In an economic model, producers who can produce a given good at a lower relative opportunity cost or autarky price—that is, at a lower relative marginal cost before trade—have a competitive advantage over rival producers. Comparative advantage refers to the economic reality of the benefits from trade for individuals, businesses, or nations that result from variations in their factor endowments or technological development. He showed that if two nations with the capacity to produce two different commodities enter into a free market, each nation will increase its overall consumption by exporting the good for which it has a comparative advantage while importing the other good, provided that there are differences in labour productivity between the two nations.
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a motivational speach before final exams
Explanation:
Honestly, you got this! Don't stress yourself too much! You are capable of AMAZING things! I am positive you will do great on this exam! Never stop working hard, but don't forget to reward yourself! You can do anything you set your mind to!
I don't know if this helped but GOOD LUCK!!
hi.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,.,,.,.,.,.,.,;]
Answer:
Hellllllllllllllllllllllllllllllllllllo
Explanation:
our self-talk consists of words pictures and emotions. as we imprint our affirmations we
Self-talk is your inner voice or the way you speak to yourself. Although you almost probably are doing it without realizing it, you almost certainly are. In order to produce an internal monologue throughout the day, this inner voice mixes conscious thoughts with ingrained beliefs and biases.
What are the four categories of self-talk?Your inner discourse is known as self-talk.
Personalizing. You own all of the guilt for yourself.
Magnifying.
Catastrophizing.
Polarizing.
What are the five tiers of one's own self-talk?Helm Stetter outlines the "Five Levels of Self-Talk" (Negative Acceptance, Recognition and Need to Change, Decision to Change, The Better You, and Universal Affirmation) and offers advice on how to navigate each level for significant life changes.
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Why should I prepare myself to be career-ready in multiple career clusters ? (3-4 sentences )
Answer:
Knowing the projected growth trends of your desired future career can help you map out a career trajectory
Find out who the big players are in your desired industry.
Interacting and networking with others can keep you in the loop when it comes to your future career.
Explanation:
(b) Adrien Corporation expects to recerve RM20,000 per year for 10 years and RM35,000 per year for the next 10 years. What is the present value of this cash flow given \( 12 \% \) discotmt rate? (5 ma
To calculate the present value of the cash flow, we need to discount each cash flow to its present value using the given discount rate of 12%. The present value of each cash flow can be calculated using the formula:
PV = CF / (1 + r)^n
Where:
PV = Present Value
CF = Cash Flow
r = Discount rate
n = Number of periods
Let's calculate the present value for each cash flow and then sum them up to find the total present value:
Present Value of RM20,000 per year for 10 years:
PV1 = 20,000 / (1 + 0.12)^1 + 20,000 / (1 + 0.12)^2 + ... + 20,000 / (1 + 0.12)^10
Present Value of RM35,000 per year for the next 10 years:
PV2 = 35,000 / (1 + 0.12)^1 + 35,000 / (1 + 0.12)^2 + ... + 35,000 / (1 + 0.12)^10
Now, let's calculate these values:
PV1 = 20,000 / (1 + 0.12)^1 + 20,000 / (1 + 0.12)^2 + ... + 20,000 / (1 + 0.12)^10
PV1 ≈ 20,000 / 1.12 + 20,000 / 1.2544 + ... + 20,000 / 3.1056
PV2 = 35,000 / (1 + 0.12)^1 + 35,000 / (1 + 0.12)^2 + ... + 35,000 / (1 + 0.12)^10
PV2 ≈ 35,000 / 1.12 + 35,000 / 1.2544 + ... + 35,000 / 3.1056
After calculating the above equations, we can sum PV1 and PV2 to find the total present value:
Total Present Value = PV1 + PV2
Calculating these values gives us the present value of the cash flow given a 12% discount rate.
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The disadvantages of a system when it works in isolation are: 1. It becomes difficult to collect and analyze the data needed for the functioning of any department. 2. It results in the loss of profits to the organization that could have been better spent in decision making. 3. Business executive or decision-maker cannot take good decisions with the isolated data.
Answer:
Option B, 1 & 2
Explanation:
The complete question is-
The disadvantages of a system when it works in isolation are:
1. It becomes difficult to collect and analyse data needed for the functioning of any department.
2. It results in the loss of profits to the organisation that could have been better spent in decision making.
3. Business executive or decision-maker cannot take good decisions with the isolated data.
a. 1 & 3
b. 1 & 2
c. 2 & 3
d. 1
Solution -
An isolation system also has work control system, training and competence, operating procedures and management. This system can work adequately only when these arrangement work adequately and this not possible without integration with the entire system.
It become difficult to collect isolated data, its assessment and making decision regarding the betterment of system.
Hence, Option B is correct
The disadvantages of an ERP system when it works in isolation are:
It becomes difficult to collect and analyze the data needed for the functioning of any department.It results in the loss of profits to the organization that could have been better spent in decision making.What is an ERP system?Enterprise Resource Planning (ERP) System refers to a system used by businesses to manage its activities such as manufacturing, supply, services, and other such activities. ERP is a link that connects each and every aspect of an enterprise.
When an ERP system works in isolation, it is difficult for the departments to collect and analyze data and hence affects its functioning.
Also, the organization may face losses as the data required may not be readily available to a department and hence the decisions cannot be taken effectively.
Therefore the correct options are 1 and 2.
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polar sports, inc. 1. which factors should mr. weir consider in deciding whether to adopt level production
The financial and business concerns of adopting level production must be examined by Mr. Weir.
In order to maximise shareholder value in a for-profit company, Mr. Weir needs first determine whether level production can boost net income. The pro forma financials demonstrate that Polar Sports will be more successful. Under level output, Polar Sports will generate $406,000 more in net profits. The $1,080,000 decrease in COGS offset by increases in operating costs, interest paid, and taxes as well as a decline in interest generated results in a difference in net income overall. If Mr. Weir decides Polar Sports may be more successful, he must take into account the dangers of switching to level manufacturing. More funding will be required for level production, according to the pro forma financial statements.
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What is the interest owed on a loan of $100 at 10% for 3 months?
Answer:
$2.50
Explanation:
The information is somewhat incomplete. It does not state whether simple or compound interest which could make a difference
I am assuming simple interest
The formula for simple interest is
I = Prt
where I is interest
P is amount of loan
r is annual rate of interest expressed as a decimal
t = number of years
We are given
P = $100
r = 10$ = 10/100 = 0.10
t = 3 months = 3/12 year = 1/4 th of a year
I = 100 x 0.10 x 1/4 = $2.50
Nordstrom recently launched a new website, www.NordstromSilverScreen, which features fashion information and music videos. It also includes interactive features that allow you to dress a mannequin and play around in an interactive mixing room, where you can create your own music remix while mixing and matching outfits. Nordstrom Silverscreen is an example of :__________
Answer: Experience Gives Nordstrom Customers Interactive Video, Fashion, Music and remix of the song by mixing and matching clothes on a mannequin.
Explanation:
En tus propias palabras, establece la diferencia entre responsabilidad social y ética empresarial
La ética empresarial comprende los valores y principios de la empresa, mientras que la responsabilidad social es el compromiso de cumplir de manera congruente con el propósito de la empresa.
¿Qué es la ética empresarial?La ética empresarial señala todos aquellos valores, conjunto de principios y normas que orientan el desenvolvimiento de una empresa en el ámbito de las acciones.
¿Qué es la responsabilidad social?La responsabilidad social es el compromiso, convenio y disposición que poseen los individuos que forman parte de una empresa de favorecer voluntaria y positivamente al mejoramiento de la sociedad.
Diferencia entre responsabilidad social y ética empresarialLa ética empresarial define la forma en que una empresa opera.Una empresa es socialmente responsable cuando se asume el compromiso voluntario con la sociedad, y aplica tanto a nivel interno como externo de la empresa.Por tanto, podemos concluir que la ética empresarial se maneja por ideales y valores, mientras que la responsabilidad social se relaciona con el compromiso de llevar a cabo sus operaciones de una forma ética.
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apache junction company is evaluating a capital expenditure proposal that requires an initial investment of $44,190, has predicted cash inflows of $9,000 per year for 13 years, and has no salvage value.
The Apache Junction Company is evaluating a capital expenditure proposal that requires an initial investment of $44,190, has predicted cash inflows of $9,000 per year for 13 years, and has no salvage value.
To evaluate the capital expenditure proposal, we need to calculate the net present value (NPV) and the payback period. Net Present Value (NPV): NPV is a financial metric used to determine the profitability of an investment by comparing the present value of expected cash inflows to the initial investment. To calculate the NPV, we use the formula
NPV = (Cash inflows - Initial investment) /
(1 + Discount rate) ^
Year In this case, the cash inflows are $9,000 per year for 13 years, and the initial investment is $44,190. However, we are not given the discount rate, so we cannot calculate the exact NPV without this information.
The payback period is the time it takes for the initial investment to be recovered through the expected cash inflows. To calculate the payback period, we divide the initial investment by the annual cash inflow:
Payback period = Initial investment /
Cash inflows per year In this case, the payback period would be:
Payback period = $44,190 /
$9,000 per year = approximately 4.91 years Based on the information provided, we can conclude that the payback period for this capital expenditure proposal is approximately 4.91 years. However, without the discount rate, we cannot determine the exact net present value.
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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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Explain Market Segmentation
In marketing, market segmentation is the process of dividing a broad consumer or business market, normally consisting of existing and potential customers, into sub-groups of consumers based on some type of shared characteristics.
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28. J&J Enterprises wants to issue sixty 20-year, $1,000 zero-coupon bonds. If each bond is to yield 7%, how much will J&J receive (ignoring issuance costs) when the bonds are first sold? A) $11,212 B) $12,393 C) $15,505 D) $18,880 E) $20,000
If each bond is to yield 7%, J&J will receive C) $15,505. when the bonds are first sold
To calculate the amount J&J will receive when the bonds are first sold, we need to use the formula for present value of a bond:
\(Present value = face value / (1 + yield)^years\)
In this case, the face value is $1,000, the yield is 7%, and the years is 20. However, since these are zero-coupon bonds, there are no interest payments, so we don't need to worry about any annuity calculations.
\(Present value = $1,000 / (1 + 0.07)^20\)
\(Present value = $1,000 / 3.869\)
\(Present value = $258.36\)
Now we can multiply this present value by the number of bonds being issued to get the total amount J&J will receive:
Total amount = $258.36 x 60
Total amount = $15,501.60
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when the manufacturer directs the promotional mix at ultimate consumers to encourage them to ask the retailer for a product, and the retailer then orders it from a wholesaler, it is known as
Pull strategy is the term for it.
What is Pull strategy?
The term "pull strategy" is a marketing tactic where you draw customers to you. In place of pressuring clients to buy your goods or services, pull strategy uses information-sharing strategies to attract customers. The majority of these clients start to promote your company.
What is an advantage of a pull strategy?
Higher service standards, cheaper carrying costs, lower inventory levels, and fewer markdowns are benefits of a pull strategy. But probably most importantly, the pull strategy allows for SKU and store differences and enables supply chains to adjust to demand more quickly.
Hence Pull strategy is a correct answer.
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One of the main objectives of any company should be to let the target market know of its existence.
True or False
_____________ are a form of financial instrument through which corporations and governments borrow money from financial investors and promise to repay with interest.
Answer:
Bonds
Explanation:
Bonds are financial instruments that are used to obtain funding from the bond holders. It is a debt security that is issued by a government or corporation to investors.
When investors buy bonds the funds are used by governments for its operations and various projects. Interest is paid on the bonds.
Bonds can be municipal bonds or corporate bonds.
Unlike shares bonds does not grant the holder an equity or ownership stake in the company, rather it grants a creditor stake.
When will the Mini Toolbar appear?
when you type text
when you press the Delete key
when you select text
when you first open a file
Answer:
It is C on edge 2021
Explanation:
Answer:
(c) when you select text
Explanation:
The tool bar appears when you select text to provideoptions depending on what you would like to do with the text.
help pleaseeeeeeeeeeeee
Answer:
Income
Explanation:
A budget shows a plan of how one will spend their income. It is, therefore, a plan of expenditure. A budget shows total expected income on one side and projected expenditure on the other side. The budget is balanced when income and expenses are equal.
in the short run, a profit-maximizing firm should operate even when it is losing money, so long as the market –
In the short run, a profit-maximizing firm should operate even when it is losing money, so long as the market price is higher than the average variable cost (AVC) of production.
This is because the firm can still cover its variable costs and contribute towards its fixed costs. By continuing to operate, the firm can also maintain its market share and avoid potential long-term losses from shutting down and then having to re-enter the market later on.
However, if the market price falls below the firm's AVC, it should shut down in the short run to minimize its losses.
Hence, the right answer is the price is higher than the average variable cost (AVC) of production.
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Why do some auto insurance customers want medical coverage for their
policies?
A. To help find the best hospital to care for people they injured in a
car accident
B. To keep from having to make a co-pay in case of a minor injury
after an accident
C. To avoid having to pay for hospital bills resulting from an accident
they cause
D. To prevent uninsured motorists from suing them for injuries they
cause
9514 1404 393
Answer:
C. To avoid having to pay for hospital bills resulting from an accident they cause
Explanation:
The purpose of any sort of insurance is to limit or eliminate the policy-holder's liability. Medical insurance in an auto policy pays for medical bills the policy-holder might otherwise be liable for as a consequence of an auto accident.
capacity planning that involves hiring, layoffs, some new tooling, minor equipment purchases, and subcontracting is considered as which one of the following planning horizons?
The planning horizon that involves the hiring, layoffs, some new tooling, minor equipment purchases, and subcontracting is considered as short-term planning horizon.
What is planning?Planning is the process of setting goals, determining actions needed to achieve those goals, and creating a timeline to ensure their successful completion. It involves identifying and analyzing the resources, constraints and risks involved, and determining the best course of action. Planning is a crucial step in ensuring the success of any project, event, or personal goal. It helps prioritize tasks, reduce stress, and improve the likelihood of success. Effective planning requires careful consideration of available resources, clear communication, and a willingness to adjust plans as necessary. Planning also helps track progress and measure success. It is an essential tool for managing time, achieving goals, and making informed decisions.
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Jory wants to create a diagram to compare and contrast the qualifications of the three Energy pathways. Which qualifications could she put in the section common to all three pathways?
physical stamina, willingness to work long hours, teamwork, stress-management skills
physical stamina, color vision, stress-management skills, knowledge of geography
color vision, willingness to work long hours, teamwork, customer-service skills
knowledge of geography, customer-service skills, teamwork, stress-management skills
Answer:
th answer is A. physical stamina, willingness to work long hours, teamwork, stress-management skills
Explanation:
The qualifications that are required to create a diagram to compare and contrast the three Energy pathways are the physical stamina, willingness to work long hours, teamwork, stress-management skills.
What are the Energy pathways?The paths that energy sources take to get from a producer to a consumer are known as energy pathways. These ways are an influential part of energy security, yet they can be disrupted.
In the given case, Physical stamina, desire to work long hours, collaboration, and stress-management skills are all requirements for creating a graphic to compare and contrast the three Energy paths.
Therefore, option A is correct.
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