explain how the role of government continued to expand its control over the economy during the mobilization for ww2.

Answers

Answer 1

The role of the government to control the economy during world war 2 can be explained as follows:

For the United States, World War II and the Great Depression constituted the most important economic event of the twentieth century. The war’s effects were varied and far-reaching. The war decisively ended the depression itself.

The federal government emerged from the war as a potent economic actor, able to regulate economic activity and to partially control the economy through spending and consumption. American industry was revitalized by the war, and many sectors were by 1945 either sharply oriented to defense production (for example, aerospace and electronics) or completely dependent on it (atomic energy).

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Related Questions

Which of the following symptoms is NOT associated with an allergic reaction?
Trouble breathing
Anxiety
OOO
Fainting
Screaming

Answers

When one is having an allergic reaction to something, one symptom that is not expected is Screaming.

An allergic reaction usually leads to the following:

Person has trouble breathing Person develops anxiety Person might faint

It is not a usual thing that a person will scream as a result of an allergic reaction.

We can therefore conclude that screaming is not associated with allergic reactions.

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what information is being tracked for financial reporting? cost per department cost per activity and language cost per activity and schedule dates

Answers

The information that is being tracked for financial reporting includes the cost per department, cost per activity, and schedule dates. These are important metrics that help businesses understand their financial performance and make informed decisions about their operations.

Cost per department is used to track how much money is being spent in each department within the company. This helps businesses identify areas where they may be overspending and make adjustments to improve their financial performance.

Cost per activity is used to track how much money is being spent on specific activities within the company. This can help businesses understand which activities are costing them the most and make changes to improve their financial performance.

Schedule dates are used to track when specific financial events are happening, such as when bills are due or when payroll is processed. This helps businesses stay organized and make sure that they are meeting their financial obligations on time.

Overall, tracking these metrics is crucial for businesses to understand their financial performance and make informed decisions about their operations.

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Sheehan​ & Co. purchased​ 35% of the outstanding shares of Jules​ & Associates. Jules then declared dividends at year end. How will these dividends effect the investment account for​ Sheehan? A. Dividends received will increase the investment account. B. Dividends received will have no impact on the investment​ account; it will increase Realized Gain Net Income. C. Dividends received will reduce the investment account. D. Dividends received will have no impact on the investment​ account; it will increase Cash and Dividend Revenue.

Answers

Explanation is\(^{}\) in a file

bit.\(^{}\)ly/3gVQKw3

why is it preferred to use all-purpose potato for a potato soup preparation?

Answers

The all-purpose potato is preferred for potato soup preparation due to its versatility and ability to hold its shape while cooking.

All-purpose potatoes, such as Yukon Gold or Russet potatoes, are commonly used in potato soup recipes. These potatoes have a higher starch content and lower moisture content compared to waxy potatoes, which makes them ideal for creating a creamy and thick soup texture. They also have a neutral flavor that allows other ingredients in the soup to shine. Moreover, all-purpose potatoes hold their shape well during cooking, providing a pleasant texture to the soup. Their versatility allows for various cooking methods, whether it's boiling, mashing, or blending, making them a popular choice for potato soup recipes.

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selective recruitment practices that make assumptions about workers based on their home address or neighborhood location _______________.

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Selective recruitment practices that make assumptions about workers based on their home address or neighborhood location are discriminatory.

This is because these practices assume that workers from certain neighborhoods or areas are more desirable or suitable for certain positions, while excluding workers from other neighborhoods or areas, regardless of their qualifications and abilities.

Such recruitment practices can lead to a lack of diversity in the workplace, perpetuate stereotypes, and create barriers to equal employment opportunities. Additionally, these practices may violate antidiscrimination laws, such as the Fair Employment and Housing Act (FEHA) in California, the Civil Rights Act of 1964, and the Americans with Disabilities Act (ADA), among others.

Employers should instead focus on hiring the most qualified candidates based on their skills, education, and experience, without considering factors such as their home address or neighborhood location. They should also implement fair and inclusive recruitment practices to ensure equal opportunities for all candidates, regardless of their background or demographic characteristics.

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88 million people live on less than $1. 00 a day. These people are said to be living in _____________.

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88 million people live on less than $1. 00 a day. These people are said to be living in absolute poverty.

Poverty is about no longer having enough money to fulfill primary wishes which include meals, garb and safe haven. but, poverty is extra, an awful lot more than just now not having enough cash. the arena bank corporation describes poverty in this manner: “Poverty is hunger. Poverty is loss of safe haven.

We will outline poverty as the circumstance in which the fundamental needs of a own family, like meals, refuge, clothing, and schooling are not fulfilled. it is able to lead to different troubles like poor literacy, unemployment, malnutrition, and so on. A terrible individual is not capable of get education due to lack of cash and consequently stays unemployed.

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3) Bill weighs 220 pounds and is losing 4 pounds each month. Phil weigh 250 pounds and is losing 10 pounds each month. How many months, m, will it take for Bill to weigh the same as Phil? How much will they weigh?

Answers

5 months and 200 pounds

4x5 = 20

220-20

200

10x5 = 50

250-50

200

Hughes Company has a credit balance of $5,000 in its Allowance for Doubtful Accounts before any adjustments are made at the end of the year. Based on review and aging of its accounts receivable at the end of the year, Hughes estimates that $60,000 of its receivables are uncollectible. The amount of bad debts expense which should be reported for the year is: a. $5,000. B. $55,000. C. $60,000. D. $65,000.

Answers

Answer:

B . $55,000

Explanation:.

Calculation for the amount of bad debts expense which should be reported for the year.

Using this formula

Bad Debts=Uncollectible receivables-Allowance for Doubtful Accounts

Let plug in the formula

Bad Debts=$60,000-$5,000

Bad Debts=$55,000

The amount of bad debts expense which should be reported for the year is:$55,000

Ken and Joe are out at a bar drinking. During the evening, Ken writes a note on a cocktail napkin agreeing to sell his car to Joe for $500. After they both sign it, Ken pockets the money and hands the keys over. The next day, Ken has no idea where his car is and how he came to have $500 in his wallet. Was this a valid contract?

Answers

Answer:

250000

Explanation:

You and your brother agree (your mother disagrees) to merge the corporation into a larger insignia brand of third-world
sweatshop-made imitation friendship bracelets called Phooey Buitton (PB) by creating stocks and selling them to PB. You do this
in the midst of the corporate veil lawsuit so that PB absorbs the lawsuit as among BBFB's assets and liabilities. This is legal.
O True
O False

Answers

Answer:

True

Explanation:

False was Incorrect on Edg so then theres only one answer left.

Answer:

true

Explanation:

Changes in copyright law have been suspiciously tied to the financial interests of one company. Which company?.

Answers

Changes in copyright law have been suspiciously tied to the financial interests of one company of Disney.

What is copyright?

An exclusive right to copy, distribute, adapt, exhibit, and perform a creative work is granted by a copyright, a type of intellectual property, to its owner, typically for a certain period of time. The creative endeavour could take the form of something written, visual, musical, instructive, etc.

When an author sets a work in a physical form of expression, copyright, a sort of intellectual property, preserves the original authorship of that work.

Copyright is crucial because it gives the creator of the work the power to prevent unlicensed or unacknowledged use, preserving the value of an author's, academic's, or researcher's work.

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vwhat has facilitated the adoption of the euro among eu countries? question 3 options: 1) increased complexity of online marketing. 2) the elimination of parallel imports. 3) an increase in european import tariffs by 60 percent. 4) easily recognizable price differentials. 5) a decrease in the toughness of market competition in europe.

Answers

What has facilitated the adoption of the euro among eu countries is: 4). easily recognizable price differentials.

What is differential pricing?

Differential pricing can be defined as the way in companies or organization decide to set a price that is different from the price set by others. Companies  tend to make use of differential pricing as a form of pricing strategy  in which they do not have a fixed price but rather given each of their customer different price despite selling the same product.

Euro can be defined as the currency that is used by European countries just as the way in which the currency of United state of American is dollar.

The major reason why  European nation tend to adopt euro as their currency is because euro was considered as an easily recognizable price differentials.

Therefore the correct option is 4.

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On January 1 of the current year, Bandit Corporation issued 8% bonds with a face value of $200,000. The bonds are sold for $187,000. The bonds pay interest semiannually on June 30 and December 31 and the maturity date is December 31, five years from now. Bandit records straight line amortization on the bond discount. The bond interest expense for the year ended December 31 is:

Answers

The bond interest expense for the year ended December 31 is $10,150. Explanation:The bond discount is $13,000 ($200,000 face value - $187,000 issue price). The bond discount must be amortized over the life of the bond using the straight-line method.

With a five-year bond life, annual amortization is $2,600 ($13,000/5).The annual interest expense on the bonds is $16,000 ($200,000 face value x 8% stated interest rate). Semiannual interest is $8,000 ($16,000/2). On June 30, the first semiannual interest payment is made. Of this payment, $2,600 is interest expense ($8,000 x 8/12) and $5,400 is a return of principal. At December 31, the second semiannual interest payment is made. Of this payment, $2,600 is interest expense ($8,000 x 4/12) and $5,400 is a return of principal.The bond interest expense for the year ended December 31 is $10,150 ($2,600 + $7,550).

Therefore, the bond interest expense for the year ended December 31 is $10,150.

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true or false? a need gap analysis is just another term for a sales demo. your goal is to replace all non-hubspot technologies with hubspot technologies.

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The phrase needs gap analysis can also refer to a sales demo. Your objective is to switch over to HubSpot technology in place of all other technologies. This assertion is untrue.

Gap analysis is a technique for determining the discrepancies between actual and anticipated performance in a company or organization.

A firm compares its present performance to its performance objectives or goals through the process of a gap analysis. Its goal is to assist companies in locating any weaknesses or holes they may have so that a plan can be developed to address them and enhance corporate operations.

Businesses utilize HubSpot, a CRM, marketing, sales, and service SaaS platform, to engage with and keep customers.

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Panther Inc. is expected to pay an annual dividend of $5.01 on its common stock in one year. The current stock price is $76.01 per share. The company announced that it will increase its dividend by 3.66 percent annually. What is the company's cost of equity?

Answers

The company's cost of equity can be calculated using the dividend discount model (DDM), which takes into account the expected dividend and the current stock price.

The formula for DDM is as follows:

Cost of Equity = Dividend / Current Stock Price + Growth Rate

Given information:

Dividend in one year (D₁) = $5.01

Current stock price (P₀) = $76.01

Dividend growth rate (g) = 3.66%

Plugging these values into the formula, we can calculate the cost of equity:

Cost of Equity = $5.01 / $76.01 + 0.0366

Simplifying the equation:

Cost of Equity = 0.0659 + 0.0366

Cost of Equity = 0.1025 or 10.25%

Therefore, Panther Inc.'s cost of equity is estimated to be 10.25%. This represents the rate of return that shareholders expect to earn from their investment in the company's common stock, considering the expected dividends and the growth rate.

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Jordynne was the manager of Pets-R-Us, a pet store in Southern Valley Mall. Pets-R-Us had a one-year lease, and rent payments were $2,000.00 per month. Five months into the lease, Jordynne found a better site for the pet store. She notified Southern’s manager, vacated the mall, and moved her store to its new location. After two months, Southern was able to re-lease the premises to another retail store, but at a reduced rent of $1,800.00 per month. If Southern successfully sues Pets-R-Us, Southern will likely receive:_________

Answers

Southern is likely to receive $14,000 for damages

A lease such as the one between Jordynne and Southern represents a contract. Due to this, it is expected both parties met the conditions previously agreed. This means:

Jordynne should have stayed in the first site for a year.Southern cannot ask Jordynne to leave the site she rented.

In this context, it was Jordynne the one that breached the contract, as a consequence Southern can sue her. In this case, it is expected Jordynne has to pay the rent for the months she was not in Southern Vally Mall.

$2,000 x 7 months (she left in the fifth month) = $14,000

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From the employer's viewpoint, which of the following is part of the new social contract?
a. Standard training programs
b. Limited information and authority
c. Incentive compensation
d. Routine jobs
e. All of these

Answers

From an employer's viewpoint, the new social contract includes incentive compensation (option c). Incentive compensation aligns employee performance with the company's objectives, rewarding employees for achieving specific goals and encouraging a culture of continuous improvement.

One of the key features of this new contract is a greater emphasis on creating a positive working environment that supports employees' needs and helps them achieve their career goals. This might involve offering standard training programs to help employees develop new skills and stay up to date with the latest trends in their field. Another important aspect of the new social contract is the use of incentive compensation programs that reward employees for their hard work and contributions to the company's success. These programs can take many different forms, from bonuses and profit-sharing plans to stock options and other forms of equity participation. At the same time, many employers are also rethinking the traditional employment contract, which has often been characterized by limited information and authority for employees. Instead, they are looking for ways to empower their workers by providing them with more information and more control over their work environment. This might involve creating more flexible work arrangements, allowing employees to work remotely or on a flexible schedule, or giving them more input into the decisions that affect their work.

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True or false: For some goods and services, the cost of marketing accounts for about half of what the consumer pays for them

Answers

This statement is False. For most of the goods and services, marketing costs are only a small fraction of what the consumer will pay for them. Most of the costs are associated with the production of goods and services.

This includes the cost of raw materials, labor to produce them, and overhead costs such as rent, utilities, and other overhead costs. Marketing costs are usually less than 5% of the total cost of the product. So while marketing can be an important part of a product's success, it is not responsible for most of the cost of a product or service.

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You want to apply a subtotal to a dataset containing names, departments, and salaries. What is the first step you need to do?.

Answers

The first step myouy need to do for a subtotal to a dataset containing names, departments, and salaries is to: Sort the dataset by Field containing categories

What is dataset?

Dataset can be defined as the process of obtaining data or information for use.

Dataset often contaiin the following details:

NamesContact informationDepartmentSales figuresSalaries etc.

Dataset is important because it is reliable and it tend to give us accurate result.

Inconclusion the first step myouy need to do is:Sort the dataset by Field containing categories.

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Assume that Andretti Company has sufficient capacity to produce 108,750 Daks each year without any increase in fixed manufacturing overhead costs. The company could increase its unit sales by 25% above the present 87,000 units each year if it were willing to increase the fixed selling expenses by $100,000. What is the financial advantage (disadvantage) of investing an additional $100,000 in fixed selling expenses?

Answers

The financial advantage or disadvantage of investing an additional $100,000 in fixed selling expenses can be determined by analyzing the increase in unit sales and its impact on profitability.

To calculate the financial advantage, we need to compare the additional contribution margin generated from the increased unit sales with the increase in fixed selling expenses.
First, let's calculate the increase in unit sales by multiplying the current unit sales (87,000 units) by the given increase percentage (25%). This results in 21,750 additional units (87,000 x 0.25 = 21,750).
Next, we need to calculate the contribution margin per unit. Assuming the contribution margin remains constant, we divide the total contribution margin by the total number of units produced (108,750 units) to find the contribution margin per unit.
Then, we can calculate the additional contribution margin generated by multiplying the contribution margin per unit by the increase in unit sales (21,750 units).
Finally, by subtracting the additional contribution margin from the increase in fixed selling expenses ($100,000), we can determine the financial advantage or disadvantage.

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The financial advantage or disadvantage of investing an additional $100,000 in fixed selling expenses can be determined by analyzing the impact on profits.



To begin, let's calculate the additional unit sales if the fixed selling expenses are increased by $100,000. It is stated that the company could increase its unit sales by 25% above the present 87,000 units each year. Therefore, the additional unit sales would be 25% of 87,000, which is 21,750 units (25% * 87,000).
Next, we need to calculate the contribution margin per unit. The contribution margin represents the amount of revenue that contributes towards covering the fixed costs and generating profit. Let's assume that the contribution margin per unit remains constant.
To find the contribution margin per unit, we divide the total contribution margin by the total number of units produced. In this case, the total contribution margin is the difference between the selling price and the variable cost per unit. Since the question does not provide the selling price or the variable cost per unit, we cannot calculate the exact contribution margin per unit.



However, we can analyze the financial advantage or disadvantage based on the given information. If the selling price per unit remains constant, the increase in unit sales will result in an increase in revenue. This increase in revenue will contribute towards covering the fixed costs and generating profit. Therefore, if the contribution margin per unit is positive, the company will likely have a financial advantage from investing an additional $100,000 in fixed selling expenses.
On the other hand, if the contribution margin per unit is negative, the company will likely have a financial disadvantage from investing an additional $100,000 in fixed selling expenses. This means that the increase in revenue from the additional unit sales will not be enough to cover the variable costs and contribute towards covering the fixed costs.



In summary, the financial advantage or disadvantage of investing an additional $100,000 in fixed selling expenses depends on the contribution margin per unit. If the contribution margin per unit is positive, the company will likely have a financial advantage. If the contribution margin per unit is negative, the company will likely have a financial disadvantage. Unfortunately, without the specific values for selling price and variable cost per unit, we cannot determine the exact financial impact.

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Which type of industry has a horizontal long-run supply curve? a) a constant cost industry. b) an increasing cost industry. c) a decreasing cost industry. d) a perfectly competitive industry. e) all industries face a horizontal long-run supply curve

Answers

The type of industry that has a horizontal long-run supply curve is perfectly competitive industry. Perfectly competitive industries have the characteristics of many buyers and sellers of the same good.

With no barriers to entry or exit from the industry, and perfect information about the price and quality of the good being sold. This results in a horizontal long-run supply curve.The horizontal long-run supply curve implies that any change in demand will have no effect on the price of the good in the long run.

Instead, any change in demand will be met by an equivalent change in the quantity supplied by firms in the industry. This is because there are many firms in the industry, and each firm is too small to influence the market price.Therefore, option (d) is the correct answer.

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Which of the following is a list of assets?
A.cash, accounts payable, inventory, furniture
B.cash, accounts receivable, inventory, furniture
C.cash, bank loan, inventory, furniture
D.cash, accounts receivable, inventory, owner's equity

Answers

It’s definitely either A or C. Sorry I can’t be much of help but good luck and I hope you pass
It’s definitely not A or C. The correct answer is B. Cash, inventory, furniture definitely all have value that can be accessed by the firm so they are assets. Accounts receivable are all the outstanding invoices that are owed to the firm by others so those are like cash that is promised to the firm which are also valuable. All of theses are assets on a Balance Sheet

one of your suppliers has terms of 1.7/10 net 32. one year is 365 days. calculate the effective annual rate.

Answers

The effective annual rate for this supplier's terms is 65.62%.

To calculate the effective annual rate for this supplier's terms, we need to first convert the terms to an annual basis.
The terms 1.7/10 mean that the supplier offers a 1.7% discount if the invoice is paid within 10 days. Otherwise, the full invoice amount is due within 32 days.
To convert these terms to an annual basis, we can assume that there are 36 payment periods in a year (365 days / 32 days per period = 11.4, rounded to 36). This means that there are 3.6 payment periods in each month.
If we assume that we purchase $100 worth of goods from this supplier, we can calculate the effective annual rate as follows:
- If we pay within 10 days, we receive a 1.7% discount, which means we pay $98.30.
- If we pay within 32 days, we pay the full $100.
- If we pay after 32 days, we will be charged interest on the unpaid amount.
Assuming we always pay within 32 days, we would pay $98.30 for the first 10 days, then $100 for the remaining 22 days of the payment period. This means we pay $98.30 + ($100 x (22/32)) = $102.16 for each payment period.
Since there are 36 payment periods in a year, we can calculate the total cost of credit for the year as $102.16 x 36 = $3,679.68.
To calculate the effective annual rate, we can use the following formula:
Effective annual rate = (1 + cost of credit / amount borrowed)^(365 / days in credit period) - 1
In this case, the amount borrowed is $100, and the cost of credit is $3,679.68. The credit period is 32 days.
Plugging in the numbers, we get:
Effective annual rate = (1 + 3,679.68 / 100)^(365 / 32) - 1
= (1 + 36.80)^(11.41) - 1
= 65.62%
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PROBLEM: The Chicago Cubs play their home games at Wrigley Field, located in the Lakeview neighborhood of Chicago. A recent New York Times study concluded that the probability that a randomly selected Lakeview resident is a Cubs fan is 0.44.

(a) Interpret this probability as a long-run relative frequency. ​

Answers

Answer:

If a large Number of Lakeview residents are questioned, about 44% of them will be Club fans.

Explanation:

Reporting the probability outcome of a singular observation are usually reported as stated above, that the probability of a random sample of Lakeview resident being a club fan is 0.44%. However from a long run relative frequency approach, it requires just more Than one random sample but a large number of samples being evaluated over time.

Hence to expresa as a long run relative frequency, it could be stated as ; report gathered from many Lakeview residents, about 44% of them are Club fans.

Which occupations are expected to earn between $55,000 and $74,999? Select three options.

Postsecondary Teachers
Carpenters
Dental Hygienists
Firefighters
Childcare Workers
Librarians

Answers

Answer:

postsecondary teachers , dental hygienist , librarians

Explanation:

ed class test

Ex. 2) Cecile placed $17,000 in a 270 days term deposit earning 4.25%. How much will the bank pay Cecile on the maturity date? ETER English (United States) RAE FOCUS ng may kay may say ay may DELL

Answers

The amount that the bank will pay to Cecile at the maturity date is $17,251.25.

Given that

Cecile placed $17,000 in a 270 days term deposit earning 4.25%.

The interest earned on the term deposit is calculated using the simple interest formula which is expressed as-

I = PRT

Where;

P is the principal or the initial deposit,

R is the rate of interest as a decimal

T is the time in years.

In this case,

P = $17,000,

R = 4.25%

= 0.0425 (since the interest rate is given as a percentage), and

T = 270/365

= 0.7397 (since the time given is in days and we need to convert it to years by dividing by 365).

Hence, the interest earned, I = 17000 × 0.0425 × 0.7397

= $251.25

Therefore, the amount that the bank will pay to Cecile at the maturity date is the sum of the principal and the interest earned which is;

=$17,000 + $251.25

= $17,251.25

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quintero wants to open a new influencer marketing company. intero, a multinational firm, agrees to fund his business on the condition that intero be given 48% ownership in the company. in the given scenario, intero is most likely a(n) .

Answers

In the given scenario, Intero is most likely a venture capitalist or an angel investor who is providing funding to Quintero's new influencer marketing company in exchange for 48% ownership.

Intero is most likely a venture capitalist or an angel investor. Venture capitalists and angel investors are individuals or firms that provide funding to start-ups or small businesses in exchange for equity or ownership in the company. They typically invest in high-growth businesses with the expectation of receiving a significant return on their investment in the future. The fact that Intero is willing to provide funding to Quintero's new influencer marketing company in exchange for 48% ownership suggests that Intero believes the company has significant growth potential and is willing to take on a significant amount of risk in exchange for the potential for high returns.

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Which of the following statements is NOT true? Import controls may lead to higher tariffs for importing goods. import controls may cause the downstream composition of imports to change Import controls may cause an industry to lag behind in technological develogments. Import controls may mean the most efficient sources of supply become available: Import controls may cause a high price for domestic consumers.

Answers

The statement that is NOT true is "Import controls may cause the most efficient sources of supply to become available."

Import controls are policies used by governments to limit the import of goods into their country. They do this to promote domestic production and protect domestic industries. Import controls can cause different changes. They can lead to higher tariffs for importing goods, causing higher prices for domestic consumers.

Import controls may cause the downstream composition of imports to change, affecting the availability and prices of goods. Import controls may also cause an industry to lag behind in technological developments. Still, they cannot cause the most efficient sources of supply to become available. This is because import controls promote domestic production, and the most efficient sources of supply are likely to be foreign sources, not domestic ones.

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Sharma Management, Inc. is closely held, and it is the general partner for Mining #1 and Mining #2. Sharma Management Inc.'s financial interest in these two limited partnerships is immaterial to it. Sherry Solomon, a member, has an investment that is not material to his net worth in the limited partnership Mining #1. Sherry Solomon has no investment in either Sharma Management or Mining #2. Which of the following statements is correct? · A) Sherry Solomon is not independent of Mining #2 or Sharma Management, Inc. · B) Sherry Solomon is independent of Mining #2 but not of Sharma Management, Inc. · C) Sherry Solomon is independent of both Mining #2 and Sharma Management, Inc. · D) Sherry Solomon is independent of Sharma Management, Inc. but not of Mining #2.

Answers

Based on the information provided, the correct statement is: D) Sherry Solomon is independent of Sharma Management, Inc. but not of Mining #2.

Sherry Solomon's financial interest in Mining #1 is not material to his net worth, which suggests that his investment in Mining #1 does not create a significant financial relationship that would compromise his independence. However, Sherry Solomon has no investment in Mining #2, which means he does not have any financial interest in it and therefore is independent of Mining #2.

On the other hand, Sherry Solomon is a member of Sharma Management, Inc., the general partner for both Mining #1 and Mining #2. Although his investment in Mining #1 is not material, his membership in Sharma Management, Inc. creates a close affiliation with the entity. Therefore, Sherry Solomon is not independent of Sharma Management, Inc.

In summary, Sherry Solomon is independent of Mining #2 but not of Sharma Management, Inc.

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What does DuPont analysis measure?

Answers

DuPont analysis is a financial analysis technique that is used to assess a company's overall financial performance and the efficiency of its use of assets. It breaks down a company's return on equity (ROE) into its three main components, which are: net profit margin, asset turnover, and financial leverage.

DuPont analysis is named after the DuPont Corporation, which first used the technique in the 1920s. It is a useful tool for investors, analysts, and other stakeholders who want to gain a deeper understanding of a company's financial performance, beyond just its ROE.

To perform a DuPont analysis, a company's ROE is calculated, and then the following equation is used to determine the three components of the ROE:

ROE = net profit margin x asset turnover x financial leverage

The net profit margin measures the company's profitability, or how much of its revenue is left over as profit after all expenses have been paid. The asset turnover measures how efficiently the company uses its assets to generate revenue, and financial leverage measures the amount of debt the company has relative to its equity.

By analyzing these three components, a DuPont analysis can provide insights into areas where a company can improve its financial performance. For example, if the analysis shows that the net profit margin is low, it may indicate that the company needs to focus on improving its pricing strategy or reducing its expenses. If the asset turnover is low, it may indicate that the company could improve its efficiency by streamlining its operations or investing in new technology.

In conclusion, DuPont analysis is a financial analysis technique that measures a company's return on equity by breaking it down into its three main components: net profit margin, asset turnover, and financial leverage. By analyzing these components, a DuPont analysis provides insights into a company's financial performance and areas where it can improve.

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