Excluding household and underground production leads to an underestimation of the true size of the economy.
This is because, a large amount of economic activities takes place outside the official sector, which leads to a reduction in the measured size of the economy. The household sector is the group of people that live together and share expenditure, income, and production within a household unit.
Because these activities are usually done without cash, they are difficult to measure. The underground or shadow economy, on the other hand, consists of all unreported and illegal transactions, such as smuggling, prostitution, and drug trafficking, which are not included in the official GDP calculations.
To know more about underestimation visit:-
https://brainly.com/question/32814729
#SPJ11
Which of the following does a life insurance policy summary normally include?
A) The policy's cash value
B) Agent's report
C) Policyowner's MIB report
D) Stated beneficiary
Answer:A
Explanation:The policy’s cash value
Which is the highest need of a human as perceived by Maslow’s hierarchy of needs?
A. belongingness
B. self-actualization
C. safety
D. basic needs
According to Maslow's hierarchy of needs, the highest need of a human is self-actualization.
Self-actualization is the need to reach one's full potential and to become the best version of oneself. It is the need to be creative, to understand oneself, and to understand the world around us. It is the need for self-fulfillment and self-expression.
Self-actualization is the highest level of Maslow's hierarchy of needs because it is only when all the lower-level needs, such as basic needs, safety, belongingness, and esteem, have been met that an individual can truly focus on self-actualization. Without these lower-level needs being met, an individual will not have the resources or emotional stability to focus on self-actualization.
To know more about Maslow's hierarchy of needs,
https://brainly.com/question/14396838
1, xyz company cost function for the next four month is cost =500000+5Q A, find the BE dollar volume of sale is the selling price is birr 6/unit B, what would be the company cost is it decides to shutdown operation for the next four month
Answer:
Break Even point Q = 500000
Shut Down Point P < 5
Explanation:
Break Even point is where Total Revenue = Total Cost.
Total cost = 500000 + 5Q, price = 6 (Given) , Total revenue = Price x quantity
So, TR = TC implies : 500000 + 5Q = 6Q → 500000 = 6Q - 5Q
Q = 500000
Shut Down Point is where firm's Price is < its Average Variable Cost .
AVC is the variable cost on per unit output, is found out by average of variable component of cost function. C = 500000 + 5Q implies variable cost = 5Q , so AVC = 5Q / Q = 5
So, the firm would shut down if its price would go below AVC , ie if P < 5
Karl opens a savings account with $2500. He deposits $1500 every year into the account that has a 0.75% interest rate, compounded monthly. If he doesn't withdraw any money, what will the account balance be in 10 years?
Answer:
Total FV= $29,335.25
Explanation:
First, we need to calculate the future value of the initial investment ($2,500) using the following formula:
FV= PV*(1 + i)^n
PV= $2,500
i= 0.0075
n=10*12= 120 months
FV= 2,500*(1.0075^120)
FV= $6,128.39
Now, the future value of the $1,500 annual deposit:
FV= {A*[(1+i)^n-1]}/i
A= annual deposit
We need to determine the effective annual rate:
Effective annual rate= (1.0075^12) - 1= 0.0938
FV= {1,500*[(1.0938^10) - 1]} / 0.0938
FV= $23,206.86
Total FV= $29,335.25
Initiative means letting your boss define your tasks. true or false
The statement is false because initiative involves taking responsibility for one's own work and actively seeking out opportunities to contribute to the success of the organization.
Initiative is the ability to take action without being prompted or directed to do so. It involves recognizing opportunities for improvement or growth and taking proactive steps to make things happen. This means being self-directed, motivated, and willing to take risks in order to achieve a desired outcome.
When an employee shows initiative, they are demonstrating a willingness to take ownership of their work and actively seek out opportunities to contribute to the success of the organization. They are not simply waiting for someone else to tell them what to do or waiting for instructions to be given.
Learn more about initiative https://brainly.com/question/30270055
#SPJ11
An investor purchased 50 shares of stock in a company for $1,600. One year later, the investor sold all 50 shares for $1,500. What is the investor's rate of return?
A. -6.3%
C.-6.7%
B. 6.7%
D. 6.3%
The investor's rate of return is -6.30%, indicating a loss of 6.30% on the investment.
How to solveTo calculate the rate of return, we need to determine the total gain or loss and divide it by the original investment.
The total gain or loss is the difference between the selling price and the purchase price.
Purchase price = 50 shares x $32 per share = $1,600
Selling price = 50 shares x $30 per share = $1,500
Total loss = $1,500 - $1,600 = -$100
The negative sign indicates that the investor has incurred a loss.
Rate of return = (total gain or loss / original investment) x 100%
Rate of return = (-$100 / $1,600) x 100%
Rate of return = -6.30%
Therefore, the investor's rate of return is -6.30%, indicating a loss of 6.30% on the investment.
Read more about shares here:
https://brainly.com/question/28452798
#SPJ1
When an equity method should be adopted for accounting for an inter-corporate investment?Explain with a ..pothetical example
The equity method should be adopted for accounting for an inter-corporate investment when the investing company has significant influence over the investee company, usually evidenced by ownership of 20% to 50% of the voting stock.
The equity method is used when an investing company has significant influence over an investee company, but not full control. This typically occurs when the investing company owns 20% to 50% of the voting stock of the investee. Under the equity method, the investing company records its share of the investee's earnings or losses as an adjustment to the investment account. This allows the investing company to reflect its proportionate ownership in the investee's financial results. For example, Company A owns 30% of Company B's voting stock. Company A would adopt the equity method to account for its investment in Company B. It would record its share of Company B's earnings or losses in its own financial statements based on its ownership percentage.
Learn more about equity method here:
https://brainly.com/question/30500983
#SPJ11
Which of the following is not a step in the marketing research process?
O a. Estimate sales
O b. Interpret the information
O c. Make a preliminary investigation
O d. Gather factual information
The correct answer is option (a) Estimate sales.
The practice of assessing the viability of a new good or service through interviews with prospective customers is known as market research. With the aid of this technique, businesses and organizations may identify their target market, gather and record customer feedback, and arrive at well-informed conclusions.
In a marketing research process, it includes only the steps involving the study of the market and interpreting information based on that.
In the given question, a market research process always includes the steps like gathering factual information, making a preliminary investigation and interpreting the information that was achieved through the market study. But, in a market research process, there is no work of sale estimation. Sales estimation is an end process and marketing research is a beginning process. Sales value may fluctuate and to derive a correct sales estimation, there needs to be a proper marketing research.
Therefore, estimating sales is not a part of a marketing process, hence, option (a) is the correct answer for this question.
Learn more about Market Research here: https://brainly.com/question/24906199
#SPJ9
Novak Company earns 12% on an investment that will return $460,000 eleven years from now. What is the amount Novak Company should invest now to earn this rate of return
Novak Company should invest $151,472.66 now to earn a 12% rate of return and receive $460,000 in eleven years.
We need to use the present value formula, which calculates the current value of a future sum of money based on a given interest rate and time period.
The formula is: Present value = Future value / (1 + interest rate) ^ time
In this case, the future value is $460,000, the interest rate is 12%, and the time period is 11 years.
So, plugging in these values, we get:
Present value = 460,000 / (1 + 0.12) ^ 11
Using a calculator, we can simplify this to:
Present value = 460,000 / 3.0375
Present value = $151,472.66
Therefore, Novak Company should invest $151,472.66 now to earn a 12% rate of return and receive $460,000 in eleven years.
For more such questions on rate of return
https://brainly.com/question/1789817
#SPJ11
Assume you are the COO of Barcelona Restaurants and you realize that you have turned over probably 60% to 70% of management. Assume you believe that you have been hiring people with the correct technical skills to perform well but there have been other issues. For example, you believe that many of the managers have low confidence in their ability to be successful at whatever challenges or tasks they face so this creates a lot of stress and burn out. What might you do to help ameliorate this problem
.The program can also include regular feedback sessions, mentorship, and access to resources such as coaching and training.
The high turnover of management can be a symptom of a larger issue - the lack of confidence and support among managers. To address this, the COO can develop a managers' confidence and helping them succeed. This program can include workshops and training sessions that provide managers with the tools and skills they need to navigate challenges and make decisions. Additionally, feedback sessions can be part of the program to give managers regular opportunities to discuss their progress and challenges. Mentorship can also be offered to provide managers with guidance and support from experienced leaders.
Finally, the program can give managers access to resources such as coaching and training to help them develop their skills and knowledge. By providing managers with the support and resources they need, the COO can help reduce stress and burnout, and improve retention rates at Barcelona Restaurants.
To learn more about managers click brainly.com/question/32150882
#SPJ11
To help address the issue of low confidence and burnout among managers at Barcelona Restaurants, some strategies that can be implemented include ongoing training and development, fostering a supportive work culture, and implementing stress management techniques.
Explanation:To help ameliorate the problem of low confidence and burnout among managers at Barcelona Restaurants, there are several strategies you can implement:
Learn more about Addressing low confidence and burnout among managers here:
https://brainly.com/question/33730246
#SPJ12
Hover is an all equity firm which has assets of 1000, of which 800 are in fixed, illiquid assets and 200 are in cash. Hover has a good chance to invest, during the next few days, which would require 200 of initial investment and has an NPV of 100. Hover also considers to pay a dividend today. Hover has 100 shares outstanding. In a perfect market, what would Hovers stock price be if it does not pay a dividend? Does this change if the investment is made?
In a perfect market, the stock price of Hover, without paying a dividend, would be $10 per share, and it would remain the same even if the investment is made.
In a perfect market, the stock price of Hover, assuming it does not pay a dividend, would be equal to the value of its assets divided by the number of shares outstanding.
Total assets = $1000
Fixed illiquid assets = $800
Cash = $200
Number of shares outstanding = 100
Stock price without dividend = (Fixed illiquid assets + Cash) / Number of shares outstanding
Stock price without dividend = ($800 + $200) / 100
Stock price without dividend = $10 per share
If Hover decides to make the investment with an NPV of $100, it would reduce the cash balance by $200 (initial investment). This change would not affect the stock price calculation because the investment does not impact the value of the assets or the number of shares outstanding. Therefore, even if Hover makes the investment, the stock price without a dividend would remain at $10 per share.
To know more about shares outstanding:
https://brainly.com/question/28539863
#SPJ11
What steps can Janet take to avoid falling prey to
deceptive advertising? (select all that apply.)
The steps that Janet can take to avoid falling prey to deceptive advertising are the following:
Do her researchKnow what she wantsTrust her judgementHowever, if Janet has already fallen prey to deceptive or false advertising, which is illegal, she can file a lawsuit against the company.The lawsuit aims to recover damages from the company for misleading her into making a purchase or payment for goods or services whose advertising was deceptive.It is generally unethical for a company to mouth a deceptive advertising.Thus, Janet may not only trust online resources or purchase products from one retailer, she should carry out proper research based on what she wants before trusting her judgement.
Read more about deceptive advertising at https://brainly.com/question/24271514
A resident of the u.s. just purchased a share of stock on the london stock market. as far as the u.s. balance of payments this purchase will:________
The purchase of a share of stock on the London stock market by a resident of the United States will have an impact on the U.S. balance of payments.
The balance of payments is a record of all economic transactions that take place between residents of a country and the rest of the world over a specific period.
This purchase will fall under the category of financial transactions, which records the purchase or sale of assets between residents of a country and foreigners.
The purchase of the stock means that the U.S. resident is transferring funds from the U.S. to the United Kingdom, which will increase the U.S. current account deficit.
However, this will be offset by an increase in the U.S. financial account surplus since the resident is acquiring an asset in the form of the share of stock.
Overall, the impact of this purchase on the U.S. balance of payments will depend on the size of the transaction and how it affects the overall financial flows between the U.S. and the rest of the world.
To know more about stock market refer here: https://brainly.com/question/3210355#
#SPJ11
Warby Parker, an online retailer for prescription eyewear, offers a free, try-on at home program for its customers. Customers browse frames on Warby Parker's website and select five pairs they would like to try on. They can then choose to purchase or return the frames. Warby Parker handles all the shipping costs and provides all the return packaging. This relates to the ________ of its products.
Answer:
trialability
Explanation:
Since in the given situation it is mentioned that an online retailer offers for free try for his customers and the customers select five pairs theywant to try. Also they could select either for purchase or return
So here it related to the trail of its products where the customer could see whether the company product provide the satisfaction or not and according to this they take the decision whether to purchase the product or not
Hence, the last option is correct
Where do financial institutions get the funds that they lend to customers?
Banks typically generate income by borrowing funds from depositors and paying them back at a predetermined interest rate. By charging the borrowers a higher interest rate and making money off the interest rate spread, the banks will lend the money to borrowers.
Banks obtain savings from individuals and companies (savers) and use these resources to issue loans to others who need money (borrowers). One of the biggest funding expenses for banks is the interest they must pay on the money they receive from savers.
Finance companies make money by selling securities, primarily commercial paper, to other companies, including banks, in the money market. They then lend the money to people or corporations at an interest rate that is higher than what they pay on their securities.
To learn more about Banks
https://brainly.com/question/15062008
#SPJ4
What is the difference between a total and a subtotal?
Explanation:
SUB-TOTAL:
The total for a part of a list of numbers being summed.
TOTAL:
An amount obtained by addition of smaller amounts.
Answer:
subtotal is all the different parts being added together from different list.
total is the all items being added together plus tax.
Explanation:
What information do consumer reporting agencies provide banks and lending businesses for a person's credit history when a person applies for a loan?
Select all that apply. Thanks!
Employment
Email I.D. and password
Product preference
Bankruptcy history
Debt
Relationship history
Current and past loans
Calculate net worth using the following information.
Assets Liabilities
car - $3,500 car loan - $3,000
savings account - $1,000 credit card - $500
cash - $80
stock - $120
$1,200
$8,200
$12,000
$500
The net worth of the person, using the given information, can be found to be $ 1, 200
What is a person's net worth ?The value of all assets less the sum of all obligations is what is known as net worth. In other words, net worth is the sum of all assets minus all liabilities.
A person's or company's net worth is the value of their assets less the amount of obligations they have. It is a crucial indicator for assessing a company's health because it offers a helpful overview of its present financial situation.
In the financial industry, one's net worth—also known as net wealth—is used to determine whether a person is eligible for a particular set of investment opportunities or financial products, such as hedge funds, structured products, or other sophisticated or alternative investments.
The net worth of a person can be found by the formula :
= Assets - Liabilities
= 3, 500 + 1, 000 + 80 + 120 - 3, 000 - 500
= 4, 700 - 3, 500
= $ 1, 200
Find out more on net worth at https://brainly.com/question/12371230
#SPJ1
When economists test their theories using evidence-based analysis, they are most likely using ____________.
When economists test their theories using , they are most likely using empiricism through the use of data.
What is evidence-based analysis?
An evidence-based review can be described as the evaluation of different means such as the literature as well as its say as regards a specific question in the field.
Tis help to establish the quality of the research base within the field as a whole , hence When economists test their theories using , they are most likely using empiricism through the use of data.
Learn more on economists at:
https://brainly.com/question/10564789
#SPJ1
4) Pretend you have just been hired by the CEO of P&G as the strategic manager. You learnt that in the past, the company shut down some 30 manufacturing plants around the globe and laid off 13,000 employees. This may have had a negative impact on the organization. As a result, your CEO is keen on creating a learning organization to build and motivate staff morale. Briefly describe to the CEO two key elements for creating a learning organization in P&G.
As a strategic manager, creating a learning organization is paramount in increasing staff morale and increasing productivity. Learning organizations are adaptive organizations that operate in an ever-changing business environment. In creating a learning organization in P&G, the following two key elements are essential:
1. Encouraging employee learning and development The first step is to encourage employee learning and development. One way to achieve this is by providing training opportunities, mentorship programs, and coaching sessions to employees. Encouraging learning and development among employees will help build their capacity and enable them to handle new tasks and challenges that arise. When employees are confident in their ability to handle challenging tasks, they become more committed to their work, which improves their morale and productivity.
2. Promoting a culture of innovation The second key element for creating a learning organization is promoting a culture of innovation. Innovation is a vital element of any organization that seeks to stay ahead of its competitors. It is essential to create an environment where employees are encouraged to come up with new ideas, experiment, and take calculated risks. Encouraging innovation among employees will not only result in better products and services, but it will also lead to increased employee engagement and job satisfaction. In conclusion, creating a learning organization is a crucial step in building and motivating staff morale. By encouraging employee learning and development and promoting a culture of innovation, P&G will become an adaptive organization that is well-positioned to compete in an ever-changing business environment.
To know more about strategic manager visit:
https://brainly.com/question/31190956
#SPJ11
according to hick, a certain amount of evil in the world is
Answer:
Hick argues that moral evil is a result of the mystery of free will. He believes the occurrence of nonmoral evil in the world is a necessary condition for the ethics of choice and the process of soul-making.
an employee can be dismissed if their job surplus to requirements' outline why this state ment is false
Is a business plan a one time fee?
Answer:
i think so :)
Explanation:
Suppose that black tea and green tea are substitute goods. Suppose that an excellent growing season for green tea increases the supply of green tea. What happens in the market for black tea
Suppose that black tea and green tea are substitute goods. Suppose that an excellent growing season for green tea increases the supply of green tea.
The market for black tea would be affected by the increase in the supply of green tea due to an excellent growing season. This is because green tea and black tea are considered substitute goods, which means that they can be replaced for each other.
The increase in the supply of green tea would lead to an increase in the quantity of green tea supplied in the market. The increase in the quantity of green tea supplied would cause a reduction in the demand for black tea, which would lead to a decrease in the price of black tea.In conclusion, if there is an increase in the supply of green tea due to an excellent growing season, it would cause a decrease in the price of black tea. The explanationThe increase in supply would cause an excess supply of green tea, which would lead to a fall in the price of green tea. This would result in the reduction in the demand for black tea since green tea and black tea are considered substitute goods; hence, black tea can easily be replaced with green tea.The reduction in the demand for black tea would cause a fall in its price. The reduction in the price of black tea would lead to an increase in the quantity of black tea demanded. The increase in the quantity of black tea demanded would cause an equilibrium price to be reached where the quantity of black tea supplied is equal to the quantity of black tea demanded.
TO know more about that growing visit:
https://brainly.com/question/763303
#SPJ11
Which of the following kinds of bonds earn interest?
I. Corporate bonds
II. Bonds selling at a discount
III. Municipal bonds
a.
I and II
b.
II only
c.
I and III
d.
I, II, and III
The following kinds of bonds earn interest.
Corporate bondsII. Bonds selling at a discountIII. Municipal bondsThe correct option is D.
What is a bond?Governments and enterprises issue bonds to raise funds. By purchasing a bond, you are making a loan to the issuer, who agrees to repay the face amount of the loan on a particular date and to make periodic interest payments along the way, usually twice a year.
Bonds are considered safer than other financial instruments such as equities, and you can count on the income if the issuer does not default on their debt. There are many distinct sorts of bonds, each with its own payment schedule and minimum investment. The majority of bonds have set coupon rates. You must pay tax on the interest earned on the bond until it was reissued.
Thus, the ideal selection is option D.
Learn more about Bonds here:
https://brainly.com/question/10777799
#SPJ2
Your firm has a risk-free investment opportunity where it can invest $160,000 today and receive $170,000 in one year. For what level of interest rates is this project attractive
The level of interest rate is this project attractive is 10.90%
We use the formula:
A=P(1+r/100)^n
where
A=future value
P=present value
r=rate of interest
n=time period.
Hence
173000=156000(1+r/100)^1
Hence
(173000/156000)=1+r/100
Hence
1+r/100=1.10897
Hence r=(1.10897-1)×100
=10.90%(Approx).
Hazard-free go-back is the theoretical go-back attributed to funding that gives a guaranteed go-back with zero risks. The chance-unfastened fee of go back represents the hobby on an investor's money that would be predicted from a virtually danger-unfastened investment over a special time frame.
The threat-unfastened charge determines the return an investor can assume over a particular period from an investment. The fee of a chance-unfastened charge is calculated with the aid of subtracting the current inflation fee from the whole yield of the treasury bond matching the investment period.
The hazard-free rate is typically taken into consideration to same to the hobby paid on a 3-month government Treasury bill, generally the safest funding an investor could make. The hazard-loose rate is a theoretical quantity considering technically all investments convey a few forms of risk, as defined here.
To learn more about Risk-free visit here:
brainly.com/question/28168891
#SPJ4
Which of the following is a list of liabilities?
A.accounts payable, bank loan, taxes payable, tax expense
B.accounts payable, bank loan, wages, taxes payable
C.accounts receivable, bank loan, taxes payable, accounts payable
D.accounts payable, bank loan, taxes payable, workers compensation payable
What are some good colleges in New Orleans that arent expensive??
Answer:
southern university, Dillard university, university of new orleans
which part of the business plan identifies plans for pricing policies?
The proposed marketing plan identifies plans for pricing policies
A marketing proposal is a thorough plan outlining possible advertising, marketing, and brand-awareness initiatives for a potential client's company. It is written by a marketing firm or internal marketers, and it is addressed to company stakeholders. Plans for pricing policies should be part of any planned marketing strategy. Pricing is a crucial marketing component, and a smart pricing plan may help a company meet its financial and marketing objectives.
When designing pricing strategies, a proposed marketing plan should take into account elements including the target market, competition, production costs, and value proposition. The recommended pricing approach should be explicitly described in the plan and how it fits with the company's overall marketing goals and objectives.
Read more about the Proposed marketing plan on:
https://brainly.com/question/1438691
#SPJ4
When a worker at a toilet paper mill uses the machines to turn pulpwood into rolls of paper, the worker is taking part in a:.
By engaging in the aforementioned activities, the worker is engaged in the Transformation process.
What is the transformation process?Refers to activities that go into converting raw materials into finished goods for customers. It does this by taking those raw material inputs and adding value to them.By taking the raw materials of pulpwood and then transforming them into the finished goods of toilet rolls, this is known as the transformation process.
Find out more on the production process at https://brainly.com/question/14293417.