Assume that the consumption schedule for a private open economy is such that consumption C=50+0.9Y. Assume further that planned investment I g

. government spending G, and net exports X n

are independent of the level of real GDP and constant at I g

=30,G=0, and X n

=10. Recall also that, in equilibrium, the real output produced (h) is equal to aggregate expenditures: Y=C+Ig +G+X n

Instructions: Round your answers to the nearest whole number. a. Calculate the equilibrium level of income or real GDP for this economy. $ b. What happens to equilibrium Y if Ig changes to 10 ? $ What does this outcome reveal about the size of the multiplier? Multiplier =

Answers

Answer 1

The equilibrium level of income or real GDP for this private open economy is $200. If Ig changes to 10, the equilibrium Y would decrease to $190. This outcome reveals that the size of the multiplier is 2.

The given consumption schedule is C = 50 + 0.9Y, where C represents consumption and Y represents real GDP. The planned investment (Ig), government spending (G), and net exports (Xn) are assumed to be constant at Ig = 30, G = 0, and Xn = 10. In equilibrium, the real output produced (Y) is equal to aggregate expenditures, which can be calculated as Y = C + Ig + G + Xn. By substituting the given values, we have Y = 50 + 0.9Y + 30 + 0 + 10. Simplifying the equation, we find Y = 200 as the equilibrium level of income or real GDP for this economy. To determine the effect of a change in Ig, we can consider the multiplier. The multiplier represents the change in equilibrium income resulting from a change in autonomous expenditure. In this case, if Ig changes to 10, the equilibrium Y would decrease to 190. This means that a decrease in autonomous investment by 20 leads to a decrease in the equilibrium income by 10. Therefore, the size of the multiplier is 2 (20/10), indicating that a change in autonomous expenditure has twice the impact on equilibrium income.

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Related Questions

⚠︎IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!⚠︎

ok have a good day ❀

Answers

Answer:

tank us.

Explanation:

IF SOMEONE SHARES A LINK DO NOT GO TO IT! IT WILL DOWNLOAD A VIRUS!ok have a good day

Utilitarianism's fundamental approach is that decisions are established based on previous consequences and result from past actions
True False

Answers

The statement "Utilitarianism's fundamental approach is that decisions are established based on previous consequences and result from past actions" is False.

Utilitarianism is an ethical theory that holds that the morality of an action should be determined by its ability to promote the greatest happiness for the greatest number of people. Utilitarianism is a consequentialist theory, which means that it judges the morality of an action based on its consequences or outcomes. The utilitarian approach to decision-making is forward-looking, rather than backward-looking. It focuses on the future consequences of a decision rather than on the past consequences of previous actions. In other words, utilitarianism considers the potential outcomes of an action and selects the action that will produce the greatest overall benefit to society.

Therefore, the correct statement regarding utilitarianism's fundamental approach is that decisions are established based on future consequences and result from present actions, rather than being based on previous consequences and past actions.

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the money represents the

the money represents the

Answers

Answer:

maximum

Explanation:

A one dollar increase in the monetary base causes the money supply to increase by more than one dollar. This increase in the money supply is the money multiplier.

The money multiplier represents the maximum extent to which the money supply is affected by any change in the amount of deposits

a broker developed a website to advertise the broker's office with the brokerage's name, location, and phone number. what additional information does the broker need to include?

Answers

Since the broker already add the brokerage's name, location, and phone number on the website to advertise the broker's office; then no need for any additional disclosures. The correct answer is option D.

What is a broker?

A broker is an individual or firm that acts as an intermediary between a buyer and a seller; or between an investor and a securities exchange, who buys and sells goods or assets for others. A broker can also refer to the role of a firm when it acts as an agent for a customer and charges the customer a commission for its services.

There are 3 types of brokers, those are: Online brokers, a new form of digital investment which interacts with the customer on the internet; Discount brokers, a stockbroker who performs buy and sell orders at a reduced commission rate; and Full-service brokers.

Although part of your question is missing, you might be referring to this full question: A broker developed a website to advertise the broker's office with the brokerage's name, location, and phone number. What additional information does the broker need to include?

A. Name and address of the home office and the states in which the brokerage holds licenses

B. License number of the brokerage and list of current active licensees

C. Names of active licensees, addresses, and phone numbers

D. No need for any additional disclosures

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how evade taxes pls tell me how to evade taxes i am only nine years old and need not pay taxes cause i hate taxes, taxes are for nerds

Answers

Answer:

you simply cease to do your legal documentation

Explanation

you dont have taxes until u have a job

Which defines room and board? (1 point)
O housing and meals that are often provided at additional cost
O a school that provides training in a specific skill or trade
O an educational institution or establishment, in particular one providing higher education
O monetary support that is used to help pay educational costs

Answers

In contrast to a variety of non formal and informal methods of socialization, education is the field that is concerned with the methods of teaching and learning in schools or environments that resemble schools.

What differentiates knowledge from education?

Knowledge and education are not the same thing. Knowledge is what you know, while education is how you learn it. The facts and information you can remember and use is called knowledge. Education is how we learn new things.

Equity and equality in education, what do you mean?

A system of equality treats everyone the same without giving any consideration to their requirements or needs. As a result, equity is a situation in which every person, regardless of their individual differences, receives the same rights and opportunities.

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Answer:

O housing and meals that are often provided at additional cost

Explanation:

“Room” in Room and Board, meaning

The “room” part can be taken literally it’s basically your college bedroom

and Board refers to the meal plan meaning somewhere that supplies food.

Boom easy answer

Owners' equity is the same thing as
A. gross profit
O B. gross loss
C. net liabilities
O D. net assets

Answers

The answer is D

I’m always right trust me


Now that you understand what investments are, you will search for three image examples that represent investments. You may choose to select images that represent the key concepts of investments, or examples of different types of
investments. In a short paragraph, explain why each of your selected images is an appropriate representation. Be sure
to follow proper image use and citation guidelines; click here for a quick review on these guidelines. In a second
paragraph, discuss the sources of each of your images and why they are reputable.

Answers

There are three main types of investments: Ownership, Lending, or cash. Ownership investments are the most volatile and profitable class of investment. Such as owning stock meaning owning a portion of a company. It may be a minuscule stake, but it's ownership. More broadly speaking, all traded securities, from futures to currency swaps, are ownership investments. Investors purchase them in order to share in the profits, or because they will increase in value, or both. Lending money is a category of investing. The risks generally are lower than for many investments and, consequently, the rewards are relatively modest. A bond issued by a company or a government will pay a set amount of interest over a set period of time. The only real risk is that the company or government will go bankrupt, in which case the bondholder may get little or none of the investment back. A regular savings account is an investment. The investor is essentially lending money to the bank. The bank will pay interest to the account holder and will earn its profit by loaning out the rest of the money to businesses at a higher rate of interest. These are investments are "as good as cash," which means that they can be converted back to cash easily and quickly. Money market funds are more liquid than other investments, meaning you can write checks out of money market accounts just as you would with a checking account. Although, once you start writing checks on it you've erased much of its value as an investment.

The team reviews problems that occurred over the course of the project to see which ones _____.

Answers

The main answer to your question is "which ones need to be addressed and resolved."

Explanation: When the team reviews problems that occurred over the course of the project, their goal is to identify which ones require attention and resolution. This process allows the team to learn from their mistakes and make improvements for future projects. It is important to address and resolve problems to ensure the success of the project and to maintain a positive relationship with stakeholders.

Explanation: By identifying the problems that need to be addressed and resolved, the team can create a plan to mitigate the issues and prevent them from occurring again. This may involve allocating resources, adjusting timelines, or communicating with stakeholders. The review process is a crucial step in project management as it allows the team to reflect on their work and make improvements for future projects.
Hi! Your main answer is: The team reviews problems that occurred over the course of the project to see which ones "need to be addressed."

Explanation: In this context, the team is looking back at the issues that arose during the project. They are trying to determine which problems are important and require attention or resolution. This process helps the team learn from their experiences and improve future projects.

Do hazardous agents in the workplace affect only the workers inside that workplace?

Answers

No, hazardous agents in the workplace can affect not only the workers inside that workplace but also those outside of it, including neighboring communities and the environment.

Hazardous agents in the workplace can cause short-term and long-term health effects for workers, such as respiratory problems, skin irritation, and cancer. However, these agents can also escape the workplace and affect nearby communities through air or water pollution, and even contaminate soil and food.

For example, toxic chemicals used in manufacturing processes can leak into nearby water sources, affecting aquatic life and potentially exposing nearby residents to dangerous chemicals.

Therefore, it's important to take steps to prevent and mitigate the release of hazardous agents in the workplace to protect not only workers but also the surrounding environment and communities.

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Identify the factors that impact the social responsibility policies implemented by businesses.

Answers

The result identified factors that influenced CSR practices as competition, employees demand, government policy, organizational culture, and customer demand (β = 0.547,0.34, 0.044, 0.017and 0.008) respectively.

Factors Responsible for the Realization of Social

Responsibility | Business ManagementMarket Forces: Market forces play an important role in making a businessman responsible to social obligations. ... Government Intervention: ... Emergence of Professional Managers: ... Growth of Trade Unions: ... Public Scrutiny:

What are the levels of buying decisions for business purchases?.

Answers

Answer:

Below:

Explanation:

The five stages of the business buying-decision process are awareness, specification, requests for proposals, evaluation and, finally, placing the order.

Hope it helps....

It's Muska... :)

Presented below are selected transactions of Palmer Company. Palmer sells in large quantities to other companies and also sells its product in a small retail outlet. March 1 3 9 Sold merchandise on account to Grey Company for $6,000, terms 2/10, n/30. Grey Company returned merchandise worth $600 to Palmer. Palmer collected the amount due from Grey Company from the March 1 sale. Palmer sold merchandise for $10,000 in its retail outlet. The customers used their Palmer credit card. Palmer added 1% monthly interest to the customers' credit card balance. Palmer collected $3,050 from credit card customers. What is the balance from credit card transactions in Accounts Receivable after the April 10 transaction?

Answers

Palmer Company had credit card sales of $10,000 in its retail outlet, and 1% monthly interest was added to the customers' credit card balance. Therefore, the total balance from credit card transactions would be $10,100 ($10,000 + 1% of $10,000) before any payments were made.

On April 10, Palmer collected $3,050 from credit card customers, so the remaining balance from credit card transactions in Accounts Receivable would be $7,050 ($10,100 - $3,050). It is important for Palmer to keep track of its credit card transactions and ensure that customers are paying their balances on time to avoid any potential losses or bad debt. Overall, the selected transactions show how Palmer Company manages its sales and accounts receivable, both from large quantity sales to other companies and small retail outlet sales with credit card transactions.

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Outline a specific strategy to implement stating how you will prevent this from
happening in the future.

Answers

I will get smarter from the stuff i have learned

Samantha, a high school teacher, wants to spend more time with her children
and is looking for a part-time job in her field. What would be a good career
alternative for her?
A. Tutor
B. Administrative assistant
C. Pet groomer
D. Restaurant manager
No link please

Answers

Tutors spend time with children so I think she should be a tutor

under federal tax laws what is the tax treatment for an employer providing $50 000 of a contributory

Answers

Under federal tax laws, the tax treatment for an employer providing $50,000 of a contributory group term life plan is that the premiums paid by the employer are considered tax-deductible expenses for the employer, while the premiums paid by employees are considered taxable income for the employees.

What is a contributory group term life plan?

Contributory group term life insurance is a type of insurance policy that is generally offered by employers to their employees as part of their benefits package. Employees who want to participate in the program must pay a portion of the premium, and the employer covers the rest.

The amount of coverage provided by the plan is usually a multiple of the employee's salary. Group term life insurance plans are a popular type of employee benefit because they provide basic coverage at an affordable cost, and they are relatively easy to administer.

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Complete Question:

Under federal tax laws, what is the tax treatment for an employer providing $50,000 of a contributory group term life plan to all its eligible employees?

conflicts between two mutually exclusive projects occasionally occur, where the npv method ranks one project higher but the irr method puts the other one first. in theory, such conflicts should be resolved in favor of the project with the higher npv. t or f

Answers

Theoretically, these disputes ought to be settled in favor of the project with the larger NPV. The given statement is True. 

Define an NPV.

A set of cash flows is said to have a net present value or net present worth if they occur at diverse times. The present value of a cash flow depends on how long it will be before it occurs. Another element is the discount rate. The temporal value of money is considered by NPV.

Using the internal rate of return is one method of calculating the rate of return on an investment. The formula is "internal" because it does not account for external factors like the risk-free rate, inflation, the cost of capital, or financial risk. Applications of the method can be either ex-post or ex-ante.

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What are the disadvantages of a closed economy?

Answers

A closed economy is an economic system in which trade with other countries is restricted or prohibited. This means that the country is self-sufficient and relies solely on domestic production to meet its needs.

There are several disadvantages to a closed economy:

   Limited access to resources: A closed economy may not have access to all the resources it needs to produce goods and services. This can lead to shortages or higher costs for certain goods.

  Limited access to technology: A closed economy may not have access to the latest technology and innovations that are developed in other countries. This can make it difficult for the country to remain competitive and may limit its economic growth.

  Limited market size: A closed economy has a smaller market for its goods and services, which can limit the potential for economic growth and development.

  Lack of specialization: A closed economy may not have the opportunity to specialize in certain industries or sectors, which can lead to inefficiencies and a lack of competitiveness.

   Lack of diversification: A closed economy may be more vulnerable to economic shocks and fluctuations, as it does not have the diversification of a more open economy.

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Annoying isn't it. When people purposely answer your question when they know it's completely useless. Kinda like how I specifically told people NOT to answer the questions I asked because I was doing an experiment, and every time I did that, two people purposely answered my question when they were told not to.

People are d. i. c. k. s.

Answers

Answer:

wow

Explanation:

I'm gonna type a random answer

What types of planning can be done to improve a nation’s economy?
A nation can undergo ____ planning or ___ planning in order to improve its economy.

Answers

Answer:

A nation can undergo long-term planning or constructive planning in order to improve its economy. Long-term planning involves setting goals and implementing policies that will have an impact over a period of several years. This type of planning may involve investments in education, infrastructure, and research and development, among other areas. Constructive planning involves implementing policies that encourage economic growth and development, such as reducing barriers to trade, promoting entrepreneurship and innovation, and investing in key industries. These types of planning can help a nation to create jobs, increase productivity, and improve living standards for its citizens. THANK YOU

why might it be difficult to measure success using market share?

Answers

Answer: Certified answer

Explanation: Measuring success using market share may be difficult for several reasons. One reason is that market share does not take into account the profitability of a business. A company may have a high market share but still have low profitability due to high costs or low margins. On the other hand, a company with a low market share may be highly profitable due to low costs and high margins.

Another reason why market share may not be a reliable measure of success is that it does not consider the size of the market itself. A company may have a high market share in a small market but still have lower revenues and profits than a company with a smaller market share in a larger market.

Moreover, market share may not account for other important factors such as customer satisfaction, brand reputation, and innovation. A company with a high market share may be losing customers due to poor customer service or a negative brand reputation, which could lead to a decline in future sales.

Finally, market share can be affected by external factors such as changes in the market or economic conditions, which can make it difficult to maintain or increase market share even if a company is performing well in other areas.

Therefore, while market share can be a useful indicator of a company's competitive position, it should not be the only measure used to assess success.

Answer:

Measuring success using market share can be difficult for several reasons:

Market growth: Even if a company's market share remains the same or increases, it does not necessarily mean the company is successful. This is because the overall market might be growing, and other companies may be gaining market share at a faster rate. So, even though a company's market share might increase, its actual sales and revenue might be decreasing.

Market saturation: In mature markets, it may be challenging for a company to increase its market share significantly. This is because the market is already saturated, and there is limited room for growth. In this case, measuring success based solely on market share may not be an accurate representation of a company's success.

Fragmented markets: In fragmented markets with many small competitors, market share might not be an accurate measure of success. This is because a company's market share might be small, but it could still be profitable and successful.

Different market segments: A company might have a large market share in one segment of the market but be relatively insignificant in another segment. In this case, measuring success based on overall market share might not provide an accurate picture of the company's success in specific segments.

Price competition: A company might increase its market share by lowering prices, but this strategy might not be sustainable in the long term. In this case, measuring success based on market share might not be an accurate reflection of the company's profitability or overall success.

Therefore, while market share is an essential metric for companies, it should not be the sole measure of success. Other factors such as profitability, customer satisfaction, and brand reputation should also be taken into account when measuring success.

Which conditions contribute to engine deposits ?

Answers

Answer: oxidation

combustion byproduct

road dust and dirt

moisture and acid.

Explanation:

One of the main cause of engine deposit is when one drives in areas whereby there are usually high temperature. In such scenarios, the excessive heat can lead to breakdown in the oil which results into engine deposits.

Other causes of engine deposit are oxidation, dust and dirts, the byproducts gotten from combustion etc.

Calvin deposits $400 in a savings account that accrues 5% interest compounded monthly. after c years, calvin has $658.80. makayla deposits $300 in a different savings account that accrues 6% interest compounded quarterly. after m years, makayla has $613.04. what is the approximate difference in the number of years that calvin and makayla have their money invested? makayla invests her money 1 year longer. makayla invests her money 2 years longer. calvin invests his money 1 year longer. calvin invests his money 2 years longer.

Answers

According to equation, the approximate difference between Calvin and Makayla's number of years of money invested is 2 years.

What is compound interest?

Compound interest is refers to an amount implemented on the principal amount along wit the accumulated interest with a fixed rate of interest for a time period.

Solution:-

Given Information:

Calvin deposits= $400Interest rate=5%final amount Calvin =$658.80

Here, Compound interest= A=P (1+r/t)t

Monthly compound interest,

658.8=400(1+5/12*100)12c

658.8/400=(1205/1200)12c

c=10 years

Now Makayla deposits $300 in a different savings account that accrues 6% interest compounded quarterly. The final amount she gets is $613.4 in m years. Thus,

613.4=300(1+6/12*100)12m

613.4/300=(1206/1200)12m

c=12 years.

Thus, the approximate difference in the number of years that Calvin and Makayla have their money invested is 2 years.

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Answer:

B. Makayla invests her money 2 years longer.

Explanation:

                           

Checking accounts are good for the money you'll want to access for ordinary daily purchases and monthly bills. True or False

Answers

Answer:

I believe this statement is true.

What did you learn from writing the assignments in this course
and why do you think I made
them so different from the lecture material (No, it is not to mess
with you)? (20 Marks)

Answers

In writing the assignments in this course, I have learned the importance of critical thinking, independent research, and effective communication skills. I believe the assignments were made different from the lecture material to encourage students to engage with the material in a more active and independent way.

Through analyzing and synthesizing information from various sources, I have been able to deepen my understanding of the course material and apply it to real-world situations. Additionally, the assignments have allowed me to hone my writing skills and improve my ability to clearly and concisely convey my ideas.

By requiring us to do our own research and draw our own conclusions, we are forced to think critically and develop our own ideas rather than simply regurgitating information from the lectures.

This approach not only deepens our understanding of the material, but also prepares us for real-world situations where we will need to think independently and solve problems on our own. Furthermore, the assignments also help us to develop important skills such as time management, organization, and effective communication.

By giving us a variety of different types of assignments, we are able to practice these skills in different contexts and become more well-rounded and effective learners. Overall, I believe that the assignments in this course are an essential component of our learning experience and have helped me to develop a range of important skills and competencies.

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aggressive marketing strategies such as substantial upfront marketing and point-of-sales promotion techniques:

Answers

Aggressive marketing strategies such as substantial upfront marketing and point-of-sales promotion techniques are likely to impact both the demand curve and the supply curve for fast food hamburgers in the United States.

Impact on the Demand Curve:

Aggressive marketing strategies can lead to an increase in consumer awareness, brand visibility, and product desirability. This can result in a shift of the demand curve for fast food hamburgers to the right. With effective marketing campaigns, more consumers may be attracted to fast food chains, leading to an increase in the quantity demanded at each price level.

Impact on the Supply Curve:

Substantial upfront marketing investments and point-of-sales promotion techniques can also impact the supply curve for fast food hamburgers. By generating increased demand through aggressive marketing, fast food chains may need to adjust their production levels to meet the higher demand. This could result in a shift of the supply curve to the right, indicating an increase in the quantity supplied at each price level.

It's important to note that the magnitude and duration of the shifts in the supply and demand curves would depend on several factors such as the effectiveness of the marketing strategies, consumer response, competition, and market conditions. Additionally, aggressive marketing strategies may involve additional costs for the fast food chains, which could influence pricing decisions and overall profitability.

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Answer the above Questions ​

Answer the above Questions

Answers

Explanation:

1. In left attachment

2. • Join stock company : A joint-stock company is a business owned by its investors, with each investor owning a share based on the amount of stock purchased. Joint-stock companies are created in order to finance endeavors that are too expensive for an individual or even a government to fund.

→ Partnership firm: A partnership is an association of two or more persons to carry on, as co-owners, a business and to share its profits and losses. ... It is the ideal form of organisation for the enterprise requiring moderate amount of capital and diversified managerial talent.

» Difference is in Right attachment
Answer the above Questions
Answer the above Questions

Answer:

hii(≧▽≦)

army...............

true or false: the profit margin is the financial gain from a sale after the costs of providing the sold product have been deducted.

Answers

The profit margin is the financial gain from a sale after the costs of providing the sold product have been deducted. Thus, the statement is true.

What is the profit margin?

Profit margin is the portion of sales that a company keeps after all costs are subtracted. It essentially displays the percentage of each dollar of sales that is kept as profit. A 15% profit margin, for instance, means that a company keeps $0.15 from every dollar of sales produced.

Comparing the firm's operations to those of a best-in-class company, maybe in a different industry, is another way to increase your profit margin. This comparison could point out several operational tweaks that could be done to raise profit margins.

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which target market the Beetle’s makers and promoters were aiming at.

Answers

The target market for the new Beetle are people between 18-34 years old as well as baby boomers.

Who encouraged the Volkswagen Beetle's development?

A review of a German success story in this article. The Volkswagen Beetle was created by two individuals, Adolf Hitler and Ferdinand Porsche, and it was a massive undertaking.

Therefore, the Segmentation of the New Beetle People who are "psychologically young," individualistic, self-assured, and nonconformist should be the New Beetle's target market.

According to research, prospective New Beetle drivers exhibited traits including self-assurance, independence, and a desire to command attention. They enjoyed driving and valued German engineering and spirited designs.

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What is measured by current assets minus current liabilities?.

Answers

Answer:

working capital

Explanation:

Mark me Brainliest please

Other Questions
30 yo F presents with alternatingconstipation and diarrhea and abdominalpain that is relieved by defecation. Shehas no nausea, vomiting, weight loss, orblood in her stool. What the diagnose? IWI Auto Parts Corporation located in Michigan manufactures auto accessories including floor mats and liners and car covers IWI'S predetermined variable overhead rate is based on direct labor-hours, In the most recent month. 130.000 products were shipped using 4.700 direct labor hours Iwi incurred a total of S13,630 in variable overhead costs According to the corporation's standards, 0,03 direct labor-hours are required to fulfill an order for one product and the variable overhead rate is $295 per direct labor-hour Required: 1. What is the standard labor-hours allowed (SH) to ship 130,000 products to customers? 2. What is the standard variable overhead cost allowed (SHSR) to ship 130.000 products to customers? 3. What is the variable overhead spending variance? 4. What is the variable overhead rate variance and the variable overhead efficiency variance? (For requirements 3 and 4, indicate the effect of each variance by selecting "F" for favorable. "U" for unfavorable, and "None" for no effect fi.e., zero variance). Input all amounts as positive values. Do not round Intermediate calculations.) Standard quantity of labor hours allowed 2 Standard variable overhead cost allowed 3 Variable overhead spending variance 4. Variable overhead rate variance Variable overhead efficiency variance what is an equation of the line that passes through the point (-3,-7) and is parallel to the line 3x-y=5 Eradicating or getting rid of the situation that is causing the problem is known as ______ problems. a race car is traveling in a uniform circular motion around a race track what happends to the radial aceleration of the car if the velocity is dobled and the radio od the circel is half What is the purpose of constructing a confidence interval? how would you classify the laptop product line for yellow? select an option from the choices below and click submit. question mark star cash cow dog Joaquim and Patrick want to save money on their energy bills. Which one of the following would NOT result in a reduction in energy costs?Please choose the correct answer from the following choices, and then select the submit answer button.Answer choicesswitching all their compact fluorescent bulbs to incandescent bulbsbuying an Energy Star-rated clothes dryerinstalling a tankless water heateradd insulation in the roof space th over 20 million people, is the world's third-largest urban area. Los Angeles Guatemala City Mexico City New York City According to the book, the type of journalism, driven by citizen forums, that goes beyond telling the news to embrace a broader mission of improving the quality of public life is known as: Pls help me!!!Which are the characteristics of an analytical argument?A. It includes formal and scientific-sounding language. B. It is highly effective in appealing to readers' emotions. C. It is based on evidence from the text and other reliable sources.D. It picks apart quoted passages from the literary text. A nurse is providing teaching about expected gestational changes to a client wat Which of the following statements by the client indicates a need for further teaching stational changes to a client who is at 12 weeks of gestation. A. "I will reduce my stress level." B. "I will tell my doctor before using home remedies for nausea." C. "I will monitor my weight gain during the remaining months." D. "I will use only nonprescription medications while pregnant." On January 1, Year 1, G and L form a limited partnership to acquire and operate a rental apartment building. L, the limited partner, contributes $90 and G, the general partner, $10. The partnership obtains a nonrecourse loan from an unrelated financial institution for $900 and purchases a building (on leased land) for $1,000. The loan is secured by the building. The loan requires interest to be paid currently, but does not call for any principal payment for 5 years. The building is depreciable over 10 years at the rate of $100 per year. The partnership agreement contains the following provisions: 1. The agreement satisfies the alternate test for economic effect under 1.704-1(b)(2)(ii)(d), i.e., it contains the requisite provisions for capital account maintenance and distribution of liquidation proceeds. Although G has a deficit makeup obligation L does not, but the agreement includes a "QIO" provision. 2. The agreement includes a "minimum gain chargeback" provision that complies with 1.704-2(f). 3. All income and loss, other than nonrecourse deductions, are allocated 90% to L and 10% to G until the first time that the partnership recognizes income and gain that exceed losses sustained in prior years. Thereafter, all income, gain and loss are allocated 50% to G and 50% to L. 4. Nonrecourse deductions are allocated 80% to L and 20% to G. 5. Non-liquidating cash distributions are divided 10% to G and 90% to L until they have each recovered their initial capital contributions (i.e., $10 to G and $90 to L). Thereafter, all non-liquidating cash distributions are to be shared 50%-50%. For the taxable Years 1, 2 and 3, the partnership has rental income of $70, operating expenses of $10, interest expense of $60, and a cost recovery deduction of $100, for a net loss of $100. 18 Questions: (a) Is the 80/20 split of nonrecourse deductions permissible? How much flexibility do G and L have to allocate partnership nonrecourse deductions? Specifically, which of the following would be permissible? G L (i) 50% 50% (ii) 10% 90% (iii) 1% 99% (b) Assume that on January 1, Year 4 the partnership defaults on the mortgage and transfers the building (then worth $600) to the lender by deed in lieu of foreclosure, and liquidates. What are the appropriate tax allocations and cash distributions to G and L for Years 1 through 4? (c) What if, instead, on January 1 Year 4, the partnership sells the building for $1,100 and liquidates. What are the appropriate tax allocations and distributions to G and L? (d) What if, instead, in Year 3, the partnership borrows an additional $100, using the building as security, and distributes the cash to the partners in the ratio of 10/90, in accordance with the partnership agreement. What is the aggregate partnership minimum gain at the end of the year, and what is each partners share of PMG? If the partnership then sells the building on January 1, Year 4, what are the appropriate allocations and distributions? For purposes of parts (e) and (f), assume that the partners share nonrecourse deductions in the same proportions that they share all other income and deductions, i.e., 90% to L and 10% to G until the first time that the partnership recognizes income and gain that exceed losses sustained in prior years, thereafter,50/50. (e) What if in part (c) instead of selling the building in Year 4, the partnership continues to operate throughout Year 4, during which it earns gross income of $700, prior to taking into account depreciation for Year 4. It then sells the building on January 1, Year 5 and liquidates. What are the appropriate allocations and distributions? (f) Suppose that in part (c) on January 1, Year 3, G and L contribute cash to the partnership in the amounts of $20 and $180, respectively, and the partnership uses these contributions to reduce the balance of the mortgage from $900 to $700. What tax consequences occur in Year 3 as a result of these transactions? (g) What difference would it make in part (a) if G had guaranteed the original $900 loan to the lender? What is meant by the economic problem? write the missing number = 1/2 of 18please help me !!!! How many months will it take to Pay off a 5525 loan with monthly payments of $15 at the end of each month if the interest rate is 18% compounded quarterly? A) 45 B) 50 c) 48 D) None of the mentioned Can someone please help??? I cant figure this out. Pleaseeee Define these terms. Drag the terms on the left to the appropriate blanks on the right to complete the sentences. ResetHelp monad dyads crossing over chiasmata tetrads sister chromatids bivalents synapsis 1. is the point-by-point pairing of homologous chromosomes during prophase of meiosis I. Classify thegiven numbers are rationalcon orational (2-5] The kingdoms of north India could not defend themselves against the Turko-Afghan invasion. Write any two reasons.