During the spring and summer of 2016, when gasoline prices were rising quickly, politicians in several countries proposed and a moratorium on some or all gasoline taxes to help consumers. In the Uniter States, one of Republican candidate for president, proposed suspending the federal gasoline tax of $0.4 for the summer, when demand tends to be high. An active candidate for the Democratic nomination for president, also pushed the plan. How would these short-run policies have affected the prices on consumers if the price had been enacted?

Answers

Answer 1

Answer:

consumers would find it cheaper to buy gasoline

Explanation:

In the short run a tax cut or tax suspension as we have In this question is able to increase demand because it increases peoples disposable income. This tax cut of $0.4 would remove burden on gasoline consumers. By removing the tax on gasoline the price of gasoline would become lower and consumers would find it easier and cheaper to purchase


Related Questions

Type the correct answer in the box. Spell all words correctly. Ben’s company makes caps. He has priced all the caps at $9, $49 and $99, depending on their type and quality. Which pricing strategy has Ben made use of? Ben’s company makes caps. He has priced all the caps at $9, $49 and $99, depending on their type and quality. Ben has made use of the _______ pricing strategy.

Answers

Answer:

psychological

Explanation:

It could also be product line but i'm pretty sure its psychological.

   

Answer:

Product line

Explanation:

WILL MARK BRAINLIEST HELP!

Which option is typically only used when utilizing self joins?
display name
alias
relationship
primary key

Answers

Answer: Relationship

Explanation: Got it right on edge

1. Determine the estimated cost of the inventory of Celebrity Tan Co. on August 31 by the retail method, presenting details of the computations. For those boxes in which you must enter subtracted or negative numbers use a minus sign.
to retail price:

2a. Estimate the cost of the inventory of Ranchworks Co. on November 30 by the gross profit method, presenting details of the computations. For those boxes in which you must enter subtracted or negative numbers use a minus sign.

3. Assume that Ranchworks Co. took a physical inventory on November 30 and discovered that $369,750 of inventory was on hand. What was the estimated loss of inventory due to theft or damage during March through November?

1. Determine the estimated cost of the inventory of Celebrity Tan Co. on August 31 by the retail method,

Answers

1)We require the following details in order to calculate Celebrity Tan Co.'s expected cost of inventory on August 31 using the retail method:Beginning retail inventory is the value of the stock as of August 1.Retail net sales: total sales throughout the time.The proportion relating inventory costs to selling prices is known as the cost-to-retail ratio.

2) Using the gross profit approach, we require the following details to calculate Ranchworks Co.'s inventory cost on November 30:Start of inventory: Inventory's worth as of November 1st.Total period sales, or net sales. Gross profit ratio: The proportion of gross profit to net sales.

3)The following information is required in order to estimate the loss of inventory from theft or damage from March through November: the value of stock as of March 1 is the starting inventory. Inventory acquired throughout the time, totaled as purchases.Cost of goods sold: The cost of the inventory that was sold during the time period. Inventory value as of November 30th, referred to as the ending inventory.

The items and supplies that a company keeps on hand with the intention of reselling, producing, or using them are referred to as inventory (in American English) or stock.

The main focus of the discipline of inventory management is determining the location and form of stored products.

stock Prior to the regular and scheduled course of production and material stock

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1. Some businesspeople believe that elimination agents and wholesalers reduce their operating expenses. Discuss the opportunity costs associated with eliminating intermediaries.

Answers

1. While eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.

Eliminating intermediaries such as elimination agents and wholesalers reduce operating expenses, but it also has associated opportunity costs that businesses need to consider. One of the primary costs is the loss of the expertise and value-added services that intermediaries offer to businesses and customers. Eliminating intermediaries may result in businesses taking on additional responsibilities and expenses such as marketing, distribution, and logistics.

This may result in the need for additional staff and resources to ensure that products reach customers on time. Furthermore, eliminating intermediaries may also result in reduced customer access to products, as intermediaries are often responsible for finding new markets and customer segments. In this case, businesses may need to invest additional resources to market and promote their products to reach new customers.

In conclusion, while eliminating intermediaries may result in reduced operating expenses, businesses need to weigh these savings against the associated opportunity costs. These costs may include the loss of expertise and value-added services, additional responsibilities and expenses, and reduced customer access to products.

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Financial Statements
99
7. The following is the list of balances extracted from the books of Anda Trading as at
30 November 20X2.
RM
100
9,000
12,840
26,500
14,000
50,000
Particulars
Petty cash
Cash at bank
Accounts receivable
Inventory as at 1 December 20X1
Motor vehicles
Plant and machinery
Long-term investments
Freehold premises
Accounts payable
10% Mortgage on freehold premises
Capital on 1 December 20X1
Purchases
Wages and salaries
Rates and taxes
Interest on mortgage
10,000
147,500
16,500
34,000
219,840
128,900
General expenses
Carriage outwards
Insurance premium
Drawings
Carriage inwards
Advertising expenses
Sales
70,300
1,000
1,700
2,000
21,000
3,000
7,400
600
14,000
250,000
1,000
Sales returns
Purchases returns
500
Discount received
600
Discount allowed
800
Allowance for doubtful debt
200
Inventory on hand as at 30 November 20X2 was RM30,000.
You are required to prepare the statement of profit or loss for the year ended
30 November 20X2 and a statement of financial position as at that date.

Answers

Answer:

RM

Explanation:

because they are forming the books of Anda Trandig.

why do you think p2p apps have become so popular?

Answers

P2P payment apps are popular in the U.S. because they make the exchange of money easy. Nearly half (46%) of smartphone owners say they regularly use peer-to-peer payment apps. These apps offer convenience and flexibility when it comes to making payments.

Given the following information for Atlas Travel, prepare a bank reconciliation statement for December 31. Atlas Travel partial cash ledger (t-account) amounts for December transactions "Cash Debits/ Deposits" "Cash Credits/ Payments" $3,725 $9 530 750 980 93 353 134 2,040 960 210 2,250 Atlas Travel had a cash balance of $7,242 on December 31 Atlas Travel received the following bank Statement for December: Best Bank Bank Statement for December Beginning December 1, Balance $4,020 Deposits and other additions: 12/1 $635 EFT 12/5 3,725 12/10 530 12/15 980 12/18 353 12/31 1,800 BC 8,023 Checks and other deductions: 12/8 452 NSF 12/15 (check number 1416) 9 12/19 350 EFT 12/22 (check number 1417) 750 12/29 (check number 1418) 93 EFT is electronic funds transfer 12/31 (check number 1419) 314 BC is bank collection 12/31 45 SC 2,013 NSF is non sufficient funds December 31 Balance $10,030 SC is service charge Additional Data: The EFT deposit was a receipt of rent revenue. The EFT deduction was payment of insurance expense. The NSF check was received from a customer The $1800 bank collection was a note receivable The correct amount of check 1419 is $314. Atlas Travel mistakenly recorded the check for $134 Requirements: 1 Prepare the bank reconciliation. Atlas Travel Bank Reconciliation December 31, 20## Best Bank Balance, Dec. 31 Atlas Travel Balance Dec 31

Answers

Atlas Travel Bank Reconciliation

December 31, 20##

Best Bank Balance, Dec. 31 $10,030

Atlas Travel Balance, Dec. 31 $7,242

Outstanding Checks:

Check Number 1416 $9

Check Number 1417 $750

Check Number 1418 $93

Check Number 1419 $314 (Corrected amount)

Add:

EFT Deposit $635

Bank Collection $1,800

Subtract:

NSF Check $452

EFT Deduction $210

Service Charge $45

Adjusted Atlas Travel Balance, Dec. 31 $8,281

Start with the Best Bank Balance from the bank statement: $10,030.

Compare it with the Atlas Travel Balance from the cash ledger: $7,242.

Identify any outstanding checks (checks issued but not yet cleared by the bank):

Check Number 1416: $9

Check Number 1417: $750

Check Number 1418: $93

Check Number 1419: $314 (Corrected amount)

Add any deposits or credits that have not yet been recorded in the cash ledger:

EFT Deposit: $635

Bank Collection: $1,800

Subtract any deductions or payments that have not yet been recorded in the cash ledger:

NSF Check: $452

EFT Deduction: $210

Service Charge: $45

Calculate the adjusted Atlas Travel Balance by adding the outstanding checks, subtracting the deductions, and adding the deposits: $8,281.

Therefore, after reconciling the bank statement with the cash ledger, the adjusted Atlas Travel Balance on December 31 is $8,281.

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The demand for money in the economy depends on the: ____________

a. rate of inflation.
b. rate of interest.
c. level of overall transactions.
d. number of employed people.
e. number and availability of ATM machines.

Answers

Answer:

a

Explanation:

because it is it

A bank is preparing a financial asset for trading in the over-the-counter market. It most nearly sounds as though they are _____. securitizing securitizing collateralizing a loan collateralizing a loan creating a derivative creating a derivative offsetting negative risk

Answers

A bank is preparing a financial asset for trading in the over-the-counter market. It most nearly sounds as though they are a derivative offsetting negative risk. The correct option is D.

What are over-the-counter financial instruments?

OTC securities are those that are not listed on a national securities exchange. The majority of these securities are traded on Alternative Trading Systems (ATSs), which are quotation mediums that may include electronic interdealer quotation systems that show quotes from broker-dealers for many OTC securities.

In over-the-counter markets, trading is done electronically rather than in a physical location. An auction market system is very dissimilar from this. Dealers serve as market makers in OTC markets by quoting prices at which they will buy and sell securities, currencies, or other financial products.

Thus, the ideal selection is option D.

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Suppose the following information is available for Callaway Golf Company for the years 2022 and 2021. (Dollars are in thousands, except share information.)
Net sales
Net income (loss)
Total assets
2022
$ 1.110.000
83.310
855.338
2021
$ 1.116.000
62.713
838.078
Share information
Shares outstanding at year-end
Preferred dividends
68.500.000
0
70.350.000
There were 77,210,000 shares outstanding at the end of 2020.
(a)
What was the company's earnings per share for each year? (Round answers to 2 decimal places, e.g. 15.25.)

Answers

The company's earnings per share for 2021 and 2022 are $0.81 and $1.20 respectively.

What does earnings per share means?

Earnings per share (EPS) is calculated by dividing a company's profit by the number of outstanding shares of common stock. The resulting number is used to determine a company's profitability. It is common for a company to report earnings per share (EPS) that have been adjusted for unusual items and potential share dilution.

For 2021

The formula for earnings per share is:

= (Net Income - Preferred dividends) ÷ Weighted average number of shares

Where the weighted average number of shares:

= (Beginning share + Ending shares ) ÷ 2

= (77,210,000 + 77,210,000) ÷ 2

= $77,210,000

Earnings per share = $62,713,000 ÷ 77,210,000

= 0.812239347

= $0.81

For 2022

The weighted average number of shares = (Beginning share + Ending shares ) ÷ 2

= (70.350.000+ 68.500.000) ÷ 2

= $69,425,000

Earnings per share = #83,310,000 ÷ 69,425,000

= $1.20

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If a nation's economy is based primarily on businesses that produce goods rather than services, what would you expect to be true about the goods you buy?
A. Imported goods may cost less than domestic goods.
B. Domestic goods may not have the same quality as imported goods.
C. Imported goods may cost more than domestic goods.
D. Domestic goods may be less expensive in foreign markets.

Answers

You expect to be true about goods you buy is imported goods may cost more than the domestic goods.

What are imported goods?

Imported goods are products and services that are brought into a country from another country for the purpose of trade or consumption. These goods can include raw materials, finished goods, machinery, technology, and even skilled labor. The importation of goods is a critical aspect of international trade, as it enables countries to access products and services that may not be available locally or that may be available at a lower cost. In addition, imported goods often provide consumers with greater choice and variety, which can help to stimulate demand and competition in local markets. However, the importation of goods can also have negative effects on local industries and jobs, as imported goods may be cheaper and more competitive than locally-produced goods.

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Wholemark is an Internet order business that sells one popular New Year greeting card once a year. The cost of the paper on which the card is printed is $0.40 per card, and the cost of printing is $0.10 per card. The company receives $3.75 per card sold. Since the cards have the current year printed on them, unsold cards have no salvage value. Their customers are from the four areas: Los Angeles, Santa Monica, Hollywood, and Pasadena. Based on past data, the number of customers from each of the four regions is normally distributed with mean 2,300 and standard deviation 200. (Assume these four are independent.)
What is the optimal production quantity for the card?

Answers

Answer:

≈ 9644 quantity of card

Explanation:

given data:

n = 4 regions/areas

mean demand = 2300

standard deviation = 200

cost of card (c) = $0.5

selling price (p) = $3.75

salvage value of card ( v ) = $ 0

The optimal production quantity for the card can be calculated using this formula below

= u + z (0.8667  ) * б

= 9200  +  1.110926 * 400

≈ 9644 quantity of card

First we have to find u

u = n * mean demand

 = 4 * 2300 = 9200

next we find the value of Z

Z = ( \(\frac{p-c}{p-v}\) )

   = ( 3.75 - 0.5 ) / 3.75   = 0.8667

Z( 0.8667 ) = 1.110926 ( using  excel formula : NORMSINV (0.8667 )

next we find б

б = 200\(\sqrt{n}\) = 400

What can impact the competitive nature of an industry through the ability to raise prices or affect the quality of inbound goods and services:_______.a) suppliers,b) buyers,c) new entrants,d) substitute products,e) retailers.

Answers

The supplier should affect the competitive nature of the industry via the capability for increasing the prices or the quality should be impacted.

The following should not impact the nature of an industry in a competitive way:

Buyers.New entrants.Substitute products.Retailers

Therefore we can conclude that the supplier should affect the competitive nature of the industry via the capability for increasing the prices or the quality should be impacted.

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D
Lee Associates borrowed $60,000. The company plans to set up a sinking fund that
will pay back the loan at the end of 12 years. Assuming a rate of 8% compöunded
semiannually, the amount to be paid into the fund each period is):

Answers

Answer: $ 153698.2499

Explanation:

60000(1+0.08/2)^24=153798.2499

if china has china business is china china or just china
who will wim trump or bid en³³³³³³³³³³³³³³³³³³³³³³³³∉∉∉∉∉∉∉∉∉∉∉

Answers

Answer:bid

Explanation:

Answer:

biden is a china puppet aka he is being controlled by china

Explanation:

John has two hours before having to go to his part-time job. He is deciding between studying for a math exam and taking a nap. If John chooses to take a nap, the opportunity cost of his
decision is
a. the rest he is getting
b. the score he will eam on the math exam
c. the wages from his part-time job
d. all of the above

Answers

Answer:

D: All of the above

Explanation:

All of the above due to all of these things being affected by this decision

Action research is an effective strategy to address teams who may not be functioning well. What might this
involve?
Select an answer:
Leadership meets to select model sites, collect information on successful learning plans, and write and implement a
plan from these model sites.
A consultant meets with managers to determine the main areas of concern, then jointly develops and reviews
improvement plans over time.
A management team consisting of the leaders of each key organizational group meets to develop and implement a
detailed learning plan for each group.
All employees within the organization are formed into new groups, each meet to develop a learning plan for a different
topic.

Answers

Action research is an effective strategy to address teams who may not be functioning well because it involves a collaborative, reflective, and problem-solving approach that aims to improve team performance and dynamics. In this process, a consultant typically meets with managers to determine the main areas of concern, and then jointly develops and reviews improvement plans over time (Option B).


During the action research process, the consultant and managers work together to identify specific issues affecting the team's performance, such as communication barriers, lack of clear roles and responsibilities, or interpersonal conflicts. Based on these identified areas, they develop an action plan with specific goals and strategies to address the issues.
The action plan might include strategies such as training sessions, team-building activities, or the implementation of new processes to improve communication and collaboration within the team. Throughout the implementation of the action plan, the consultant and managers continually assess the progress and effectiveness of the strategies, making adjustments as needed to ensure that the desired outcomes are achieved.
In summary, action research is an effective strategy for addressing poorly functioning teams as it involves a collaborative, reflective, and problem-solving approach to improve team performance. The process typically involves a consultant working with managers to identify areas of concern, develop an action plan, and review and adjust the plan over time to achieve the desired outcomes. So, the correct option is B.

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Considering current world economic climate, the future exchange rates are uncertain. How would you analyse/anticipate the change in exchange rates? Write a brief proposal to mitigate impact of possible exchange rate fluctuations

Answers

Answer:

In order to analyse and anticipate the change in exchange rates, I would use a combination of technical and fundamental analysis. Technical analysis involves studying charts and trends to identify patterns that can be used to predict future price movements. Fundamental analysis involves looking at economic indicators such as GDP growth, inflation, unemployment, and interest rates to gain an understanding of the underlying economic conditions that can affect exchange rates.

In order to mitigate the impact of possible exchange rate fluctuations, I would suggest implementing a strategy of hedging. Hedging involves taking out a position in a currency or financial instrument that is opposite to the current position in order to reduce the risk of losses due to exchange rate fluctuations. This can be done through the use of forward contracts, options, and futures. Additionally, I would suggest diversifying investments across multiple currencies to reduce the risk of losses due to exchange rate fluctuations.

Finally, I would suggest monitoring exchange rate movements closely and adjusting the hedging strategy accordingly in order to ensure that the hedging strategy is effective in mitigating the impact of exchange rate fluctuations.

Explanation:

2. Why are some loans labeled predatory loans? Explain.

Answers

Answer: Predatory lending occurs when a mortgage broker or lender persuades a borrower to enter into a mortgage loan that has unreasonably high interest rates and fees and does not serve the borrower's best interest. These loans often lock borrowers into unfair loan terms and cause severe financial hardship or default.

Explanation:

The Combined graph shows a dotted line that represents the combined production possibilities for the two countries. How must each country allocate its labor so that the red point, showing total production, is on the bend of this combined production possibilities function? Malaysia must allocate % of its labor to lumber production. Canada must allocate % of its labor to lumber production.

Answers

Malaysia must allocate -1.65 % of its labor to lumber production while Canada must allocate -1.3 % of its labor to lumber production. This is because Malaysia can produce lumber at a lower opportunity cost and each country's production possibilities curve is linear.

What is a production possibilities curve?

It refers to the economic model that shows the maximum combinations of goods and services or any two categories of goods that can be produced from a fixed amount of resources.

The model of Production Possibilities Curve are used to show the tradeoffs associated with allocating resources between the production of two goods. It can be used to illustrate the concepts of scarcity, opportunity cost, efficiency, inefficiency, economic growth, contractions as well.

In conclusion, the importance of production possibilities curve is that it helped demonstrate the maximum possible output of goods given a set amount of resources.

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what is the community guidelines for Brainly?

Answers

Answer:

No bulling, no copying from websites, keep personal info private, and you have to be honest

If you wanan know more look up "bra.inly comm.unity gu.idelin.es"

Explanation:

Hope this helped!! :) (ignore the periods)

factors leading to the increased use of project management - select all that apply a) increased customer focus b) knowledge explosion c) compression of the product life cycle d) decreased customer focus

Answers

The increased use of project management was due to a number of factors. These include an increased customer focus that has led companies to view projects from the customer's perspective, and an explosion of knowledge that has increased the complexity of many projects.

In addition, compression of the product life cycle has increased the need to complete projects quickly and efficiently, while reduced customer focus has forced companies to focus on projects to remain competitive. By utilizing project management, companies are able to better understand customer needs, allocate resources more efficiently, and manage project timelines with greater precision. This has enabled them to create products and services that meet customer requirements and remain competitive in the market.

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If the multiplier in an economy is 3, a $30 billion increase in net exports will

Answers

If the multiplier in an economy is 3, a $30 billion increase in net exports will increase GDP by $90 billion.

Using this formula

Increase in GDP=Economy multiplier ×Increase in net exports

Where:

Economy multiplier=3

Increase in net exports=$30 billion

Let plug in the formula

Increase in GDP=3×$30 billion

Increase in GDP=$90 billion

Inconclusion If the multiplier in an economy is 3, a $30 billion increase in net exports will increase Gross domestic product (GDP) by $90 billion.

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The Grand Palace hotel has been in operation for over 10 years now. The hotel provides premium services to all its high-profile guests. The clients are extremely happy with the hotel services and quite a few of its guests have become regular visitors. This loyalty toward the hotel is an example of . Ritzo is a famous branded watch manufacturing company. It produces separate sets of watches for men and women, keeping in mind their preferences. This kind of segmentation is an example of .

Answers

The kind of segmentation that is described here is what is refered to as brand loyalty.

What is the segmentation here?

The loyalty of guests towards the Grand Palace hotel is an example of brand loyalty. Brand loyalty refers to the strong attachment that customers have to a particular brand or product, often resulting in repeat purchases and a willingness to pay a premium price for the brand.

The segmentation of watches into separate sets for men and women by Ritzo is an example of market segmentation. Market segmentation is the process of dividing a market into smaller groups of consumers with similar needs or characteristics, in order to better understand and meet their needs. By segmenting their market and creating separate products for different groups of consumers, Ritzo is able to better tailor its offerings to the specific needs and preferences of its customers.

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Given the following information for Atlas Travel, prepare a bank reconciliation statement for December 31.
Atlas Travel partial cash ledger (t-account) amounts for December transactions

"Cash Debits/
Deposits" "Cash Credits/
Payments"
$3,725 $9
530 750
980 93
353 134
2,040 960
210
2,250
Atlas Travel had a cash balance of $7,242 on December 31
Atlas Travel received the following bank Statement for December:

Best Bank
Bank Statement for December

Beginning December 1, Balance $4,020
Deposits and other additions:

12/1 $635 EFT
12/5 3,725
12/10 530
12/15 980
12/18 353
12/31 1,800 BC 8,023

Checks and other deductions:
12/8 452 NSF
12/15 (check number 1416) 9
12/19 350 EFT
12/22 (check number 1417) 750
12/29 (check number 1418) 93 EFT is electronic funds transfer
12/31 (check number 1419) 314 BC is bank collection
12/31 45 SC 2,013 NSF is non sufficient funds
December 31 Balance $10,030 SC is service charge

Additional Data:
The EFT deposit was a receipt of rent revenue. The EFT deduction was payment of insurance expense.
The NSF check was received from a customer
The $1800 bank collection was a note receivable
The correct amount of check 1419 is $314. Atlas Travel mistakenly recorded the check for $134


Requirements:
1 Prepare the bank reconciliation.
Atlas Travel
Bank Reconciliation
December 31, 20##
Best Bank Balance, Dec. 31 Atlas Travel Balance Dec 31
Add: Add:



Less: Less:




Adjusted bank balance Adjusted company balance


2 Prepare the two journal entries.
Journal
Date Accounts Post. Ref Debit Credit
Dec. 31


Dec. 31

Answers

A bank reconciliation statement is a report that explains the discrepancies between the bank balance in a company's financial records and the balance recorded in the bank's records. These discrepancies arise as a result of errors in a company's accounting system or banking processes.

Below is the given information for Atlas Travel to prepare a bank reconciliation statement for December 31st:Balance per bank statement $3,670Outstanding checks 2,450Deposits in transit 1,350Interest earned on account 20Bank service charge 25Balance per company's books 2,565

The reconciliation statement is presented below:Atlas Travel Bank Reconciliation Statement for December 31st Balance as per bank statement $3,670 Outstanding checks (2,450)Adjusted bank balance $1,220Add deposits in transit 1,350Adjusted balance $2,570

Deduct bank service charges (25)Add interest earned 20Adjusted book balance $2,565The adjusted bank balance is $1,220, obtained by deducting the outstanding checks from the balance as per the bank statement.The adjusted balance is $2,570, obtained by adding the deposits in transit to the adjusted bank balance.

The adjusted book balance is $2,565, obtained by adding the interest earned and deducting the bank service charges from the balance per company's books.

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You are on a business trip from Portugal to the United States for 90 days, and you have a per diem expense account of 400 euros, no receipts required. This per diem is advanced to you before the trip (36,000 euros). You deposit it into your checking account and use your Portuguese (euro) credit card to cover your costs while in the United States. After the first two weeks of your trip, the dollar weakens against the euro by 15 percent. What ethical dilemma might this currency fluctuation present for you? How will you handle it?

Answers

Points points points points

The ethical problem is whether to save the extra Euro for personal use and not disclose it to the firm because no receipt is necessary, spend the whole sum of 400 Euros by engaging in other activities, or just return the money.

The activity should be motivated by intent and will adhere to the deontological perspective.

According to this approach, the action should be to spend Euros while on a business trip to obtain additional valuable information for the organization, such as understanding local market conditions, discussions with channel partners, and other activities that go beyond the scope of the business trip within the budget of 400 Euros.

Following that, any Euro saved should be returned to the organization together with a declaration of the dollar's depreciation and any further information obtained.

It will assist the organization in growing and setting a positive ethical example for the personnel, and it will take the utilitarian perspective into account.

Here,

Due to the weakening of the dollar, a less number of euros will be used to buy the same basket of goods and services.

The number of euros required after 2 weeks (after depreciation in dollars) = 400 x .85 = 340 Euros per day

Therefore, the ethical dilemma is whether to spend the entire 400 Euros on other activities, refund the money, or preserve the additional Euro for personal use while keeping it a secret from the company because there is no need for a receipt.

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The competitive threat that outsiders will enter a market is weaker when

Answers

The competitive threat that outsiders will enter a market is weaker when the incumbents enjoy substantial cost advantages.

The competitive threat that outsiders will enter a market refers to the possibility that new firms will enter a market to compete against existing firms. It is the degree of competition in a market that is determined by the ability of other companies to enter the same market and offer similar goods or services at a lower cost.

There are certain factors that determine the competitive threat of outsiders, these are:Ease of Entry: When the cost of entering a market is low, the threat of new entrants is high and vice versa.Brand loyalty: In markets where consumers are more loyal to the existing brands, the competitive threat of new entrants is weaker.

Patents: In markets where incumbents hold many patents, the competitive threat of new entrants is weaker.Cost advantage: The competitive threat of outsiders is weaker when incumbents enjoy substantial cost advantages.Cost advantage is the answer to your question.

The competitive threat that outsiders will enter a market is weaker when incumbents enjoy substantial cost advantages.

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How often should you email your email list?

Answers

As long you feel the need!

If you liked this please give me the brainliest.

DEPENDS ON YOUR NEED

SO ACCORDING TO ME, IT DEPENDS UPON YOUR NEEDS IF YOU NEED TO U CAN EMAIL AROUND ONCE PER DAY BUT IF IT'S NOT THAT IMPORTANT YOU CAN JUST DO IT ACCORDING TO YOUR WISH IT CAN BE ONCE OR TWICE, OR THRICE A WEEK.

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Strong _______ skills influence hiring decisions and job performance, while at the same time promoting good relations in your personal life.

Answers

Strong communication skills influence hiring decisions and job performance, while at the same time promoting good relations in your personal life

Hi, i need help for this assignment from "Essentials of Investments", can you help me? I have to deliver by midnight!! URGENT

Hi, i need help for this assignment from "Essentials of Investments", can you help me? I have to deliver

Answers

60% of the client's investment should be in the risky portfolio and 40% should be in T-bills.

What is the portfolio?

a. To find the proportion y, we can use the following formula:

0.17 = y(0.18) + (1-y)(0.055)

where y is the proportion of the investment in the risky portfolio.

Simplifying and solving for y, we get:

y = (0.17 - 0.055) / (0.18 - 0.055) = 0.60 or 60%

Therefore, 60% of the client's investment should be in the risky portfolio and 40% should be in T-bills.

b. To find the investment proportions in each security, we can multiply the overall investment proportions by the proportion invested in the risky portfolio.

Investment in T-bills: 40%

Investment in Stock A: 0.32 x 0.60 = 0.192 or 19.2%

Investment in Stock B: 0.36 x 0.60 = 0.216 or 21.6%

Investment in Stock C: 0.32 x 0.60 = 0.192 or 19.2%

Therefore, the client's investment proportions in the three stocks and in T-bills are:

T-Bills: 40%Stock A: 19.2%Stock B: 21.6%Stock C: 19.2%

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Assume that you manage a risky portfolio with an expected rate of return of 18% and a standard deviation of 34%. The T-bill rate is 5.5%.

Your risky portfolio includes the following investments in the given proportions:

Stock A 32%

Stock B  36 %

Stock C 32%

Your client decides to invest in your risky portfolio a proportion (y) of his total investment budget with the remainder in a T-bill money market fund so that his overall portfolio will have an expected rate of return of 17%.

Required:

a. What is the proportion y? (Round your answer to 1 decimal place.)

Proportion y      ---------------%

b. What are your client's investment proportions in your three stocks and in T-bills? (Round your intermediate calculations and final answers to 2 decimal places.)

Security            Investment Proportions

T-Bills    --- ----%

Stock A-----------%

Stock B-----------%

Stock C--------%

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