1. The multiplier effect: A) reduces the MPC. B) magnifies small changes in autonomous spending into larger changes in output and income. C) promotes stability of the general price level. D) lessens upswings and downswings in business activity Use the following to answer questions 2-3: The following schedule contains data for a private closed economy. All figures are in billions. Use these data in answering the next question(s). GDP $140 180 220 S150 180 210 240 270 300 2. Refer to the above data. If gross investment is S10 at all levels of GDP, the equilibrium GDP will be: A) $300 B) $260. C) $220. D) $180. 3. Refer to the above data. Given the levels of investment already specified, the addition of govenmental expenditures of $20 at each level of GDP will result in an equilibrium GDP of A) $300. B) $220 C) $200. D) S180. 4. A politically conservative economist who favors smaller government would recommend: A) tax cuts during recession and reductions in government spending during inflation. B) tax increases during recession and tax cuts during inflation C) tax cuts during recession and tax increases during inflation. D) increases in govemment spending during recession and tax increases during inflation.

Answers

Answer 1

1. The multiplier effect  magnifies small changes in autonomous spending into larger changes in output and income. The correct option (b). 2.  The equilibrium GDP will be $220. The correct option is (c). 3. The addition of govenmental expenditures of $20 at each level of GDP will result in an equilibrium GDP of $200. The correct option is (c). 4. A politically conservative economist who favors smaller government would recommend tax cuts during recession and reductions in government spending during inflation.The correct otion is (a). Here is the detail explanation of each question:

1. The multiplier effect  magnifies small changes in autonomous spending into larger changes in output and income  and it  occurs because an initial change in spending leads to further rounds of spending as the money circulates throughout the economy. 2. To find the equilibrium GDP, look for the level of GDP where the sum of saving (S) and gross investment (10) is equal. In this case, the equilibrium GDP is found at $220 billion. At this level of GDP, S is $210 billion, and when added to the gross investment of $10 billion, the total is $220 billion (GDP). Therefore, the answer is  $220.


3. With the addition of government expenditures of $20 at each level of GDP, the new equilibrium GDP can be found by adding the government expenditure to the gross investment and finding the level of GDP where the sum of saving (S) and the new total investment is equal. In this case, the new total investment is $30 billion (10 + 20). The equilibrium GDP is now found at $240 billion. At this level of GDP, S is $240 billion, and when added to the new total investment of $30 billion, the total is $270 billion (GDP). Therefore, the answer is  $200. 4. A politically conservative economist who favors smaller government would recommend  tax cuts during recession and reductions in government spending during inflation. This is because tax cuts during a recession can stimulate consumer spending and boost economic growth, while reductions in government spending during inflation can help slow down the economy and control price increases.

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Related Questions

Jeremy is working on a spreadsheet. Which part of the information processing cycle will justify Jeremy's use of the spreadsheet and give the final output?
A. processing
B. input
C. output
D. storage
E. data entry​

Answers

Answer:

A

Explanation:

if its wrong than forsure d

Answer:

its b

Explanation:

im taking the test on plato

Is the demand curve shallow or steep? What does this mean about the elasticity of the demand
for memberships? (5 points)

Is the demand curve shallow or steep? What does this mean about the elasticity of the demandfor memberships?

Answers

Answer:

The demand curve is shallow, which means the elasticity of the demand for memberships is inelastic.

Explanation:

Among goods with more elastic demand, and for those with lower demand, the demand curve becomes shallower (closer to horizontal) and steefer (closer to vertical).

Hopefully this helps!


Opportunity Cost
in order to
v something else.
Opportunity cost is what must be
Opportunity cost forces consume
lucers to make
received
given up
replaced

Answers

I don’t fully understand that in order to help you.

Econ please helppp :(((((

Econ please helppp :(((((

Answers

Answer:

Pure competition

Explanation:

Pure competition refers to an ideal market with very many suppliers selling an identical product. Because the sellers are many, none of them can influence the price. Pure competition is also the perfect competition.  Other characteristics of perfect competition include.

easy to enter and exit the market since there are no trade barriersAll sellers sell a homogeneous productall sellers are price takersThere are many buyers.Buyers have sufficient knowledge of prices and suppliers.

one of the processing departments at qwest company had beginning work in process inventory of $17,000 and ending work in process inventory of $13,000 in august. during the month, $178,000 of costs were added to production. in the department's cost reconciliation report for august, the total cost to be accounted for would be:

Answers

The total cost to be accounted for in the department's cost reconciliation report for August is $192,000. This is calculated by adding the beginning work in process inventory and the costs added to production, and then subtracting the ending work in process inventory.

The total cost to be accounted for in the department's cost reconciliation report for August would be $192,000.
To calculate the total cost to be accounted for, we need to add the beginning work in process inventory ($17,000) to the costs added to production ($178,000). This gives us a total of $195,000.

However, we also need to consider the ending work in process inventory ($13,000) as it represents the costs that were not completed and transferred out of the department. Therefore, we subtract the ending work in process inventory from the total to get the final answer of $192,000. The total cost to be accounted for in the department's cost reconciliation report for August is $192,000. This is calculated by adding the beginning work in process inventory and the costs added to production, and then subtracting the ending work in process inventory.

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Revenue: $23,464,220 Room Nights: 143,285 Provide a one-page memo to me outlining the answers to the following.... Perform the Following Calculations: 1. Calculate the conversion rate. (The conversion rate is usually calculated as the percentage of sessions that result in a conversion. Here, we will calculate the percentage of hotel searches that result in a conversion.) 2. Calculate the three step-to-step micro-conversions. (For example, what percentage of people advance from the Rates \& Availability page to the Review Itinerary page?) 3. Calculate the average number of nights per booking. 4. Calculate the average revenue per booking. 5. Calculate the average revenue per night. 6. If you could increase traffic by 10%, how much would revenue increase (assuming the new traffic was of the same character as the current traffic: same conversion rate, same average nights per booking, etc.)? How many more confirmations would result? 7. If you could increase the percentage of those who reviewed the itinerary from 15.65% to 20%, how would the conversion rate be affected? 8. You believe that if you offered a 10% discount on all bookings, the conversion rate would increase to 3.5%. Would this increase or decrease revenue? 9. Would this be a profitable action if the gross margin on bookings (before the 10% discount) is 50% ? 10. Which of the three steps in the conversion funnel do you believe should be improved? Think carefully about the hotel booking process and where Marriott Hotels seems to be performing poorly. Even though the first step has the lowest rate, this might just be the nature of hotel searches (meaning lots of people do searches out of curiosity or advanced planning without any intention of booking).

Answers

Memorandum

Date: [Date]To: [Your Name]

From: [Your Name]Subject: Analysis of Conversion Metrics and Revenue Impact

1. Conversion Rate:

  Conversion Rate = (Number of Conversions / Number of Hotel Searches) * 100   [Perform the calculation using the given data.]

2. Three Step-to-Step Micro-conversions:

  - Step 1: Rates & Availability to Review Itinerary Conversion Rate   - Step 2: [Next Step] to [Following Step] Conversion Rate

  - Step 3: [Following Step] to [Final Step] Conversion Rate   [Calculate the conversion rates for each step using the available data.]

3. Average Number of Nights per Booking:

  Average Number of Nights per Booking = Total Room Nights / Number of Bookings   [Perform the calculation using the given data.]

4. Average Revenue per Booking:

  Average Revenue per Booking = Total Revenue / Number of Bookings   [Perform the calculation using the given data.]

5. Average Revenue per Night:

  Average Revenue per Night = Total Revenue / Total Room Nights   [Perform the calculation using the given data.]

6. Revenue Increase with 10% Traffic Increase:

  Calculate the new traffic:   New Traffic = Current Traffic + (Current Traffic * 10%)

  Calculate the new revenue:   New Revenue = Current Revenue + (Current Revenue * 10%)

  Increase in Confirmations = New Revenue / Average Revenue per Booking   [Perform the calculations using the given data.]

7. Impact of Increasing the Review Itinerary Conversion Rate:   Calculate the new conversion rate:

  New Conversion Rate = (Current Conversion Rate * 100) / 15.65 * 20   [Perform the calculation using the given data.]

8. Impact of Offering a 10% Discount on Bookings:

  Calculate the new conversion rate:   New Conversion Rate = 3.5%

  Calculate the new revenue:   New Revenue = (Current Revenue * New Conversion Rate) / Current Conversion Rate

  [Perform the calculations using the given data.]

9. Profitability of Offering a 10% Discount:   Calculate the new gross margin on bookings:

  New Gross Margin = 50% - 10% (discount )   Compare the new gross margin with the current gross margin to determine profitability.

10. Identification of Conversion Funnel Improvement:

   Analyze the conversion rates and drop-off points in the booking process to identify areas of improvement. Consider user behavior, potential barriers, and industry standards to make informed recommendations for enhancing the conversion funnel.

Please let me know if you need any further analysis or assistance with the provided calculations.

Best regards,[Your Name]

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How much money is this legitimately worth???

How much money is this legitimately worth???

Answers

Answer:

$300,000

Explanation:

A farmer expects irrigation system will increase real operating receipts by $32,000 per year but will also increase real operating expenses by $8,000. Suppose that the inflation rate is 5% and the marginal tax rate is 20%.


(i) What is the nominal net return at the end of year 3?


a. $29,172 b. $22,800


c. $27,783 d. $24,000


(ii) Calculate the nominal after-tax net return at the end of year 4.


a. $28,800 b. $27,360


c. $34,560 d. $23,338

Answers

Answer:

(i) Option (c) $27,783 (ii) $23,338 option (d)

Explanation:

Given that:

Real receipts = 32,000

Real expenses =$8,000

Inflation rate =5%

Marginal tax rate = 20%

(1) Now,

The  receipts (nominal)for year 3 is  = Real receipts ( 1 + Inflation rate ^)3

Nominal Expenditure for year 3 = Real Expenditure ( 1 + Inflation rate )^3

The  receipts (nominal)for year 3 = Real receipts ( 1 + Inflation rate )^3

= $ 32,000 ( 1.05 ^)3

= $ 32,000 ( 1.1576 )

= $ 37,044

Thus,

The receipts  (nominal)for year 3 = Real receipts ( 1 + Inflation rate )^3

= $ 8000 ( 1.05 )3

= $ 8000 ( 1.1576)

= $ 9261

The nominal net return = Nominal receipts - Nominal Expenditure

= $ 37,044 - $ 9,261

= $ 27,783

(ii) We find the nominal after-tax net return at the end of year 4

Thus,

Nominal receipts for year 4 = Real receipts ( 1 + Inflation rate )4

= $ 32,000 ( 1.05 )4

= $ 32,000 ( 1.2155 )

= $ 38,896

Now,

Nominal receipts for year 4 = Real receipts ( 1 + Inflation rate )^4

= $ 8000 ( 1.05 )^4

= $ 8000 ( 1.2155)

= $ 9724

So,

Nominal net return = Nominal receipts - Nominal Expenditure

= $ 38,896 - $ 9,724

= $ 29,712

After Tax net return = Nominal net return ( 1 - tax rate )

= $ 29,712 ( 1 - 0.2)

= $ 29,712 (0.8)

= $ 23,338

a producer of fine chocolates believes that the sales of two varieties of truffles differ significantly during the holiday season. the first variety is milk chocolate while the second is milk chocolate filled with mint. it is reasonable to assume that truffle sales are normally distributed with unknown but equal population variances. two independent samples of 18 observations each are collected for the holiday period. a sample mean of 12 million milk chocolate truffles sold with a sample standard deviation of 2.5 million. a sample mean of 13.5 million truffles filled with mint sold with a sample standard deviation of 2.3 million. use milk chocolate as population 1 and mint chocolate as population 2. which of the following are the appropriate hypotheses to determine if the average sales of the two varieties of truffles differ significantly during the holiday season?

Answers

A producer of fine chocolates believes that the sales of two varieties of truffles differ significantly during the holiday season. the first variety is milk chocolate while the second is milk chocolate filled with mint. it is reasonable to assume that truffle sales are normally distributed with unknown but equal population variances. two independent samples of 18 observations each are collected for the holiday period. a sample mean of 12 million milk chocolate truffles sold with a sample standard deviation of 2.5 million. a sample mean of 13.5 million truffles filled with mint sold with a sample standard deviation of 2.3 million. use milk chocolate as population 1 and mint chocolate as population 2. which of the following are the appropriate hypotheses to determine if the average sales of the two varieties of truffles differ significantly during the holiday season?

A standard deviation (or σ) is a degree of the way dispersed the information is when it comes to the imply. Low general deviation means statistics are clustered around the mean, and high popular deviation shows statistics are more unfold out.

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a producer of fine chocolates believes that the sales of two varieties of truffles differ significantly
a producer of fine chocolates believes that the sales of two varieties of truffles differ significantly
a producer of fine chocolates believes that the sales of two varieties of truffles differ significantly

Suppose a Canadian family vacations in the U.S. for a week, doing the usual vacation activities. The family takes no purchases back to Canada with them. The U.S. has exports as a result of this vacation.
(a) True
(b) False

Answers

The statement is true, the U.S. has exports as a result of this vacation.

When a Canadian family vacations in the U.S., they spend money on various activities and services such as hotels, restaurants, tourist attractions, transportation, and more. All these activities and services are part of the U.S. economy and contribute to the gross domestic product (GDP) of the country. Therefore, the money spent by the Canadian family becomes a part of the U.S. economy.Since the family takes no purchases back to Canada, the U.S. does not have any physical goods to export to Canada. However, the U.S. does have exports in the form of services. When the Canadian family spends money on hotels, restaurants, and other services, they are essentially importing these services from the U.S. Therefore, the U.S. has exports of services as a result of this vacation.When the Canadian family vacations in the U.S., they spend money on various goods and services, such as accommodation, food, transportation, and entertainment. These expenditures contribute to the U.S. economy and are considered as exports, even though the family doesn't bring any physical goods back to Canada. This is because the services they consume in the U.S. are part of the country's exports in terms of the balance of payments.

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Use these graphics to answer the question.

An association of medical researchers examined exercise trends among adults.







pls help need an answer fast


Which ratio shows the relationship between the total percent of people who exercised in 2014 to the percent of adults ages 18–24 who exercised in 2016?

47:42
58:45
48:59
48:50

Use these graphics to answer the question.An association of medical researchers examined exercise trends

Answers

The ratio that represents the relationship between the total percent of people who did exercise in 2014 compared to the the percent of adults ages 18–24 who exercised in 2016 is 48:59.

What is a ratio?

A ratio is the comparison of two figures, this can be done with the past data, or can be done with the budgeted or any competitor. In the example given the data is compared with the past data, base year is 2014 and the current year is 2016.

The ratio that is calculated represents that the total percentage of people were 48% in 2014 and the adults in 2016 as a total represents a percentage of 59% and therefore the ratio is 48:59.

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______ Is a market in which a large number of suppliers compete with each other to satisfy the needs and wants of a large numbers of consumers at a competitive price.???

Answers

Answer : Monopolistic competition

Answer:

Monopolistic Competition

Explanation:

In a monopolistic competitive market, there are large numbers of sellers who do not sell identical products instead they sell differential products. They compete with each other at a competitive price. The products could be differentiated in many ways including quality, style, location and even brand name. Since they compete at a competitive price, if there is a substantial rise in the price of any of the products, the buyers could quickly shift from one product to another. The most crucial factor behind product differentiation is because of geographical factors. Under a monopolistic competitive market, the sellers do not have any influence over customer loyalty and limited control over the price.

What are some ways you deal with stress at school or at home? How could you use those techniques in the workplace? PLZZZZZ!!!!

Answers

1. Take a break when needed
2. Reward yourself when you are finshed
3. Spend time with friends and family when you have free time
4. Get 8 hours of sleep a night
5. Always eat breakfast and don’t skip any meals.
6. Meditate
7. Get up and stretch your legs if you have a desk job
8. Deep breathing
9. Play relaxing music
10. Reduce your caffeine intake is a big one


Hope this helps :D

Some ways to deal with stress at school or at home is as follows:

1. Stop when you need to.

2. After finishing, treat yourself.

3. When you have free time, spend it with your loved ones.

4. Sleep for eight hours each night.

5. Never miss a meal and never skip breakfast.

6. Reflection

7. If you have a desk job, stand up and stretch your legs.

How to reduce stress at work?

The APA poll revealed that individuals who often experience tension or stress at work are more than three times as likely to indicate they plan to look for employment elsewhere in the upcoming year (71% vs. 20%) than employees who don't experience such stress.

Employees who have some degree of autonomy over their work schedules tend to be happier than those who are subject to stricter work-hour regulations. Most employees value having flexible work hours because it allows them to escape traffic, exercise in the morning, or walk their pets before dusk. Allow staff to work from home if the job can be done remotely, or use a hybrid approach if it can.

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What are the examples of quantitative research questions?

Answers

A few illustrations of quantitative queries:

(1) How many texts do you exchange each day?

(2) How often do you send texts while driving?

(3) How frequently do you send texts while working?

Quantitative survey questions are simpler to measure and simpler for respondents to respond to. Comparatively, qualitative questions are more ambiguous and challenging to quantify. Additionally, they are more challenging for survey respondents to respond to, and answering too many of them can make respondents fatigued.

Although you should use qualitative questions sparingly, they are excellent for the exploratory stage of a research study or to explore deeper into a topic.

Here are a few illustrations of quantitative queries:

(1) How many texts do you exchange each day?

(2) How often do you send texts while driving?

(3) How frequently do you send texts while working?

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What are the three basic levels of food service employees?
A
Beginning, intermediate, and advanced
B
Entry, skilled, and supervisory
с
Novice, trainee, and professional
D
Assistant, apprentice, and master

Answers

Answer:

entry,skilled, and supervisory

Explanation:

these job categories are entry level

The three basic levels of food service employees are: B

Entry, skilled, and supervisory.

The Entry-level is the lowest level, requiring no little education or training.  Those at this level mainly engage in serving the customers, cleaning dishes, and undertaking some other menial jobs within the food-service chain.

Above the entry-level is the skilled-level.  Skilled-level employees include chefs, bakers, and other culinary specialists, who require some years of training and education to be certified as qualified professionals.

The last in the basic level of food service employees are those who supervise both the entry-level and skilled-level personnel.  At this level, supervisors require managerial attributes, soft skills, and leadership to maintain the relationships between the lower-level employees and the senior (strategic) managers.

Thus, there are three basic levels of food service employees starting with entry, skilled, and supervisory levels.

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A stigmatized property is one: (a) Where physical damage makes it undesirable to buyers (b) That a historical society owns and maintains (c) Where a particular event has affected the desirability of the property (d) None of these are correct

Answers

Answer:

(C) Where a particular event has affected the desirability of the property

Explanation:

A stigmatized property is one that has been psychologically impacted by an event that occurred on the property or one that has been suspected to have occurred on that property. Such a property is now "stigmatized" because such an event will have a drastic effect on multiple values and aspects of the property.

a key characteristic of a competitive market is that

Answers

Answer:

There are many buyers and sellers in the market. Each company makes a similar product

(please give brainliest)

A key feature of a competitive market is the presence of numerous buyers and sellers, and each company produces a comparable product.

What is the competitive market?

A perfect market, is also referred to as a competitive market, is defined in economics by several idealizing conditions, collectively known as perfect competition, or atomistic competition. It creates jobs and gives people a choice of employers and work environments.

A healthy market competition is critical to the functioning of the US economy. When firms compete for customers, it leads to lower prices, higher quality goods and services, greater variety, and more innovation.

Therefore, The presence of numerous buyers and sellers is a key feature of a competitive market, and each company produces a comparable product.

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Coach Sieb Has a treadmill desk. Walking on the treadmill will break down her triglyceride Levels 90% faster what is the percent that it breaks down while sitting

Answers

Answer:

0%

Explanation:

Base on the scenario been described in the question, where we saw coach Seib has 90% faster breaking her triglyceride Levels while working, when sitting, she has a 0% of breaking her triglyceride Levels because no movement, there will be no breakdown in the triglyceride Levels

ABC Company issued a bond with face value for $1000, paid annual 10% coupon and 3 years to maturity, what is the value of ABC bonds today if the required rate of return is 12%.

Answers

Answer:

The value of Bond = $951.963

Explanation:

The value of the bond is the present value(PV) of the future cash receipts expected from the bond. The value is equal to present values of interest payment plus the redemption value (RV) discounted at the yield rate

Value of Bond = PV of interest + PV of RV

Th e PV of interest payment

A ×(1- (1+r)^(-n))/r

Interest payment = 10%× 1000 = 100

PV = 100× (1- 1.12^(-3))/0.1 =  240.183126

PV of redemption value

PV = RV× (1+r)^(-n)

PV = 1000× 1.12^(-3) = 711.7802

The value of bond =   240.18 +  711.78= 951.963

The value of Bond = $951.963

Equity method (compute the shares of net income in sub.) (Chapter 3) On January 1, Year 1, Dallas, Inc. acquired 80% of Style Inc.'s outstanding common stock for $120,000. On that date, the carrying amounts of Style's assets and liabilities approximated their fair values. During year 1, Style paid $10,000 cash dividends to its stockholders. Summarized balance sheet information for the 2 companies follows: What amount should Dallas report as its share of the earnings from subsidiary, in its year 1 income statement? Show your work?

Answers

The final answer is the amount of Style Inc.'s net income multiplied by 80%, or $8,000

The amount Dallas, Inc. should report as its share of the earnings from the subsidiary in its year 1 income statement can be calculated by using the equity method.

Under the equity method, the investor's investment in the subsidiary is increased by its share of the subsidiary's net income and reduced by its share of the subsidiary's dividends paid.

For Dallas, Inc., the initial investment was $120,000. During year 1, Style Inc. paid out $10,000 in cash dividends to its stockholders. Since Dallas, Inc. owns 80% of Style Inc.'s outstanding common stock, their share of the dividend would be 80% of $10,000, or $8,000.

This amount would be subtracted from the initial investment of $120,000 to arrive at a revised investment of $112,000.

Next, we can determine Dallas, Inc.'s share of the earnings from Style Inc. by multiplying the net income by 80%. So, the amount Dallas, Inc. should report as its share of the earnings from the subsidiary in its year 1 income statement would be 80% of the net income of Style Inc.

Therefore, the answer is the amount of Style Inc.'s net income multiplied by 80%, or $8,000.

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What could be the career fallout for someone who is unwilling or unable to train to become a better communicator? Can workers today be successful if their writing is and remains poor? (L.O. 1)

Answers

What could be the career fallout for someone who is unwilling or unable to train to become a better communicator is: The workers cannot be successful if their writing is and remains poor.

What is communication?

Communication can be defined as the ability to interact with others either face to face or orally.

Effective or proper communication as well as effective writing skill are paramount for someone that want to excel or succeed in their career.

Example an applicant that does not have writing and communication skill can likely  fall behind in their careers as they will  not promoted due to the appropriate skills they lack.

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Assets:
Land $114,000
Long-term Investment in Stock $36,000
Notes Receivable (due in 3years) $26,000
Accounta receivable $24,000
Cash $26,000
Prepaid expenses $10,800
Supplies $10,200
Inventory $55,000
Intangible Assets $15,000
Trucks $46,000 Accumulated depreciation $12,000
Liabilities and Equity
Accounts payable $62,000
Wages payable $21,000
Interest payable $24,000
Notes payable (due in 9 years) $34,000
Mortgage payable (due in 20 years) $84,000
J. Carter, Capital $126,000
Tableau DA 4-1: Quick Study, Classifying balance sheet items LO C1 [similar to QS 4-12] The CEO of Jisko requests our help in preparing year-end financial reports. The CEO explains that they are having difficulty classifying accounts. The Tableau dashboard shows December 31 year-end data from the company's accounting system. 1. Identify the company's current assets and their amounts. 2. Identify the company's current liabilities and their amounts. 3. Calculate the total amount reported for plant assets on the balance sheet. Complete this question by entering your answers in the tabs below. Identify the company's current assets and their amounts.

Answers

Based on the information provided, the company's current assets and their respective amounts are as follows:

Cash: $26,000

Accounts Receivable: $24,000

Prepaid Expenses: $10,800

Supplies: $10,200

Inventory: $55,000

The total current assets can be calculated by adding up the amounts of these individual assets:

Total Current Assets = Cash + Accounts Receivable + Prepaid Expenses + Supplies + Inventory

Total Current Assets = $26,000 + $24,000 + $10,800 + $10,200 + $55,000 = $126,000

Therefore, the company's total current assets amount to $126,000.

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Which of the following is not a life role category?
O Risk Taker
O Worker
O Family Member
O Learner

Answers

Risk Taker is not a life role category.

A life role is a set of expectations, behaviors and attitudes that a society assigns to a person based on their gender, age, social status, race or other factors. For example, in many cultures women are expected to be loving, nurturing and care-givers, while men are expected to be strong, provider-types.

Life roles help to define how we see ourselves and how we are seen by others. They can be a source of satisfaction and fulfilment, but they can also be a source of stress and frustration if they do not fit with our own personal aspirations and identity.

Hence, the correct option is "First".

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ariffs
________ are taxes on imported goods, designed to give domestic competitors an advantage in the marketplace by making foreign competitors' goods more expensive than their own products.

Answers

Tariffs are taxes on imported goods, designed to give domestic competitors an advantage in the marketplace by making foreign competitors' goods more expensive than their own products. They are used as a tool to protect domestic industries and prevent foreign companies from taking over a domestic market.

The tariff is a tax levied on imported goods, which can raise the price of the imported item. Tariffs can make it more difficult for foreign companies to sell their goods in a particular market by making them more expensive than domestic products.

Tariffs are used to protect domestic industries from foreign competition and to increase government revenues. They are often implemented in order to protect the interests of domestic industries, but can also be used for political purposes such as retaliating against other countries for their trade policies.

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what are two examples of techniques that can be used in a diversity workshop to educate employees about the value of building a more inclusive workforce?

Answers

Two examples of techniques that can be used in a diversity workshop to educate employees about the value of building a more inclusive workforce are interactive discussions and experiential activities.

Interactive discussions are an effective technique in diversity workshops to engage employees in open conversations about diversity, inclusion, and the benefits of building an inclusive workforce. Facilitators can create a safe space for participants to share their perspectives, ask questions, and challenge biases. These discussions can help employees understand different experiences, perspectives, and the positive impact of diversity on creativity, innovation, and problem-solving.

Experiential activities provide hands-on experiences that allow employees to immerse themselves in diverse scenarios. For example, role-playing exercises, case studies, or simulations can be used to simulate real-life situations and challenge employees' assumptions and biases. These activities enable participants to gain empathy, understanding, and insight into the experiences of individuals from different backgrounds. By actively participating in these activities, employees can reflect on their own biases and learn the value of embracing diversity and inclusion in the workplace.

Both interactive discussions and experiential activities provide engaging and practical approaches to educate employees about the value of building a more inclusive workforce. These techniques foster a deeper understanding of diversity and inclusion concepts, encourage personal growth, and help create a culture that values and celebrates differences.

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Concose Park Department is considering a new capital investment. The following information is available on the investment: The cost of the machine will be $330,000. The annual cost savings if the new machine is acquired will be $85,000. The machine will have a 5-year life, at which time the terminal disposal value is expected to be $32,000. Concose Park Department is assuming no tax consequences. If Concose Park Department has a required rate of return of 11%, what is the present value of the project?

Answers

The present value of the project is $30,158.93.

Calculate the net cash flows for each year:

Year 1: Cost savings - Cost of the machine = $85,000 - $330,000 = -$245,000

Year 2: Cost savings = $85,000

Year 3: Cost savings = $85,000

Year 4: Cost savings = $85,000

Year 5: Cost savings + Terminal disposal value = $85,000 + $32,000 = $117,000

PV = Cash Flow / (1 + Required Rate of Return\()^n\)

Where n is the number of years from the present.

Calculating the present value for each cash flow:

PV Year 1 = -$245,000 / (1 + 0.11\()^1\) = -$220,720.72

PV Year 2 = $85,000 / (1 + 0.11\()^2\)= $70,370.37

PV Year 3 = $85,000 / (1 + 0.11\()^3\) = $59,330.95

PV Year 4 = $85,000 / (1 + 0.11\()^4\) = $49,858.41

PV Year 5 = $117,000 / (1 + 0.11\()^5\) = $71,318.92

Present Value = PV Year 1 + PV Year 2 + PV Year 3 + PV Year 4 + PV Year 5

Present Value = -$220,720.72 + $70,370.37 + $59,330.95 + $49,858.41 + $71,318.92

Present Value = $30,158.93

Cash flows refer to the movement of money into and out of a business or individual's financial accounts over a specific period. It represents the actual cash generated or spent during that time frame and is a crucial indicator of financial health. Cash flows are classified into three main categories: operating, investing, and financing activities.

Operating cash flows pertain to the core business activities, such as sales, expenses, and taxes. Positive operating cash flows indicate that a company's operations are generating more cash than it is using. Investing cash flows involve the buying or selling of long-term assets, such as property, equipment, or investments. Positive investing cash flows suggest that a company is making profitable investments or selling assets at a gain.

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Once you turn 18, if you choose one of the 4 options for accessing credit, how will you be sure you use that credit responsibly?

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Answer:

What's the four options?

Everything you buy with your credit card will cost more because of the interest you pay. By paying off your entire balance each month, you demonstrate to lenders that you are a trustworthy borrower. Your credit score will suffer if you frequently make late payments or completely skip payments.

What accessing credit, use that credit responsibly?

Credit is intended to enhance our financial security. When handled wisely, credit can give us the opportunity to buy the items we need and want right away in situations when cash is not always an option.

Responsible behavior is undoubtedly greatly influenced by external factors, but it is also greatly influenced by social cognition and emotion. Examples include continuing to make payments on schedule, paying down debt, and taking care of past-due bills.

Therefore, Responsible behavior requires internal desire and direction, not only conformity with the law as a result of external supervision, rewards, and penalties.

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In a swot analysis, strong competition, reduced product demand, and a maturing product life cycle are examples of external __________.

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In a swot analysis, strong competition, reduced product demand, and a maturing product life cycle are examples of external THREATS.In a swot analysis, strengths and weaknesses refer to internal factors of a business, while opportunities and threats refer to external factors.

Strong competition, reduced product demand, and a maturing product life cycle are all external factors that can pose threats to a company's performance and success strong competition can lead to market share erosion and pricing pressures, making it challenging for a company to maintain its competitive advantage.

Reduced product demand indicates a decline in customer interest or changing market preferences, which can negatively impact sales and revenue. A maturing product life cycle implies that the product has reached its peak or saturation point in the market, making it difficult to sustain growth and profitability.

Recognizing and analyzing external threats is crucial for businesses to identify potential challenges and develop strategies to mitigate their impact. By addressing these threats effectively, companies can adapt and position themselves for continued success in the dynamic business environment.

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determine her payments and the total interest she will pay if she starts making payments 6 months after graduation.

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Given that the principal amount of the loan taken out by a student is $21,000 and the annual interest rate is 4.5%. She plans to repay the loan in equal monthly payments over a period of 10 years.

Determine her payments and the total interest she will pay if she starts making payments 6 months after graduation.Main answer:The interest rate, i = 4.5%/12 = 0.375%Let n be the number of monthly payments made by the student.n = 10 years * 12 = 120 monthsThe loan's future value FV = 0$ as it will be fully paid off in 120 months.The present value PV = $21,000.Starting 6 months after graduation, the student will make 114 monthly payments.Payment, PMT = $244.23.Total payment, P = 114 * 244.23 = $27,825.22.

The total interest payable = total payment - the principal amount of the loan = $27,825.22 - $21,000 = $6,825.22Explanation:The formula to find the value of payments for a loan that will be paid off in n months is as follows:PV = PMT * [1 - (1 + i)^-n]/iRearranging the formula, we havePMT = PV * i/(1 - (1 + i)^-n)Substituting the given values, we get PMT = $244.23. We can use the same formula to find the total payment P by multiplying the PMT by the number of months n. Hence, P = PMT * n = $27,825.22. The total interest payable is the difference between the total payment P and the principal amount of the loan, which is $6,825.22.

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Which elements of retail strategy would be most important for a company that has just decided to construct a brick-and-mortar storefront

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The elements of retail strategy which would be most important for a company that has just decided to construct a brick-and-mortar storefront is the:

Place

According to the given question, we are asked to state the elements of retail strategy which would be most important for a company that has just decided to construct a brick-and-mortar storefront.

As a result of this, we can see that the retail strategy which is the most important for the company is to make use of Place because the brick and mortar storefront has to do with the physical presence of a business and would be important for visibility of the store.

Therefore, the correct answer is Price

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