The statement is true. If the central bank increases the money supply in response to a decrease in short-run aggregate supply, unemployment would move towards its natural rate, but prices would rise even more.
In this scenario, an increase in the money supply by the central bank aims to stimulate economic activity and reduce unemployment. By injecting more money into the economy, businesses have increased access to funds, which can lead to increased investment and job creation. As a result, unemployment would move towards its natural rate, representing the level of unemployment that exists when the economy is operating at its potential output.
However, the increase in the money supply can also lead to inflationary pressures. With more money in circulation, the demand for goods and services may outpace the economy's ability to supply them, causing prices to rise even more. This is known as demand-pull inflation, where increased demand leads to higher prices. Therefore, while unemployment may return towards its natural rate, the consequence of the increased money supply would be a further increase in prices.
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Which of the following gas satisfaction measures wWhich of the following gas satisfaction measures would Be this for a company to use if they want to estimate how many customers might recommend them to their friends?
CES
CSAT
PSC
NPS
Answer:
Simple Random Sample
Explanation:
The foundation of a marketing plan.
Answer:
Every marketing plan should include a clear explanation of the market segmentation, target market focus, and a market forecast. To develop an effective plan based on your customers' needs and nature.
Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to
O*NET, what are common tasks performed by Graphic Designers? Check all that apply.
conferring with clients
creating designs, concepts, and sample layouts
scheduling projects for clients
hiring and training new team members
determining size and arrangement of illustrative material and copy
developing graphics and layouts
Answer:
creating designs, concepts, and sample layouts
scheduling projects for clients
determining size and arrangement of illustrative material and copy
developing graphics and layouts
Answer:1,2,5,6.
Explanation:
abigail bought 28 shares of stock at $30.00 per share. she received dividend of $49.50 during the year. at the end of the year, her stock was valued at $43.50 per share. what was her ROI?
If her stock was valued at $43.50 per share. Her ROI is:50.89%
Return on investmentFirst step
Purchase price=(28×$30)-(28×$43.50)
Purchase price= $840-$1218
Purchase price=$378
Gain in value=$378+ $49.50
Gain in value=$427.5
Second step
ROI=$427.5/$840×100
ROI=50.89%
Therefore the ROI is $15.89%.
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When schools and businesses allocate admissions or jobs on the basis of race, gender, disability, or other criteria unrelated to ability, they are aiming at Group of answer choices
When schools and businesses allocate admissions or jobs on the basis of race, gender, disability, or other criteria unrelated to ability, they are aiming at Affirmative Action. Group of answer choices Affirmative Action is a policy by which schools and businesses allocate admissions.
Jobs on the basis of race, gender, disability, or other criteria unrelated to ability to counteract past discrimination and increase diversity in the workplace and schools. It is intended to create a level playing field for people of different races, genders, and abilities by providing them with equal opportunities and removing obstacles that prevent them from succeeding.
It also ensures that qualified candidates from underrepresented groups are given a fair chance to compete for positions and educational opportunities. When schools and businesses allocate admissions or jobs on the basis of race, gender, disability, or other criteria unrelated to ability, they are aiming at Affirmative Action. Group of answer choices Affirmative Action is a policy by which schools and businesses allocate admissions.
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At the beginning of the current year, Martin Corporation purchases 20% of the outstanding shares of Foster Company for $200,000 which gave Martin the ability to significantly influence Foster. The price paid reflected Foster's book and fair values of its assets and liabilities. During the current year, Foster reports net income of $25,000 and declares dividends of $15,000. At the end of the current year, what amount should Martin report as investment income from its ownership of Foster's shares?
Answer:
$5,000
Explanation:
Calculation to determine what amount should Martin report as investment income from its ownership of Foster's shares
Using this formula
Amount to be reported as investment income=Net income*Percentage of outstanding shares purchased
Let plug in the formula
Amount to be reported as investment income=$25,000 x 20%
Amount to be reported as investment income= $5,000
Therefore The amount that Martin should report as investment income from its ownership of Foster's shares is $5,000
Greyson construction has the following account balances at the end of the year. Accountsbalances equipment$19,000 accounts payable1,600 salaries expense26,000 common stock12,000 land11,000 notes payable13,000 service revenue32,000 cash4,600 retained earnings?
Retained Earnings = $19,000 (equipment) + $11,000 (land) + $32,000 (service revenue) + $4,600 (cash) - $1,600 (accounts payable) - $13,000 (notes payable) - $12,000 (common stock) - $26,000 (salaries expense). Retained Earnings = $14,000.
What are retained earnings?Retained earnings are the amount of a company's net income that is not given out as dividends to shareholders but is instead retained by the firm for reinvestment in the business. Retained profits are a significant source of funding for businesses looking to grow, expand, or invest in new ventures. The retained earnings balance develops over time as the firm generates profits and reinvests a part of those profits back into the business. Retained earnings can also be utilised to pay down debt, repurchase stock, or make other strategic investments. The amount of retained earnings a firm has may be viewed on the balance sheet in the equity section.
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what is the most money you get in a job?
Answer:
it depends on the job but it is a Anesthesiologists
Answer:
I think being a rapper or being in the NBA OR NFL OR MLB
Explanation:
You are using a classification model for stakeholders’ analysis that groups the stakeholders based on their level of authority and their level or concern regarding the project outcomes. This is known as:
Group of answer choices
Power/influence grid.
43) Generally, a bid differs from a proposal in that the term:
Group of answer choices
Bid is used when the seller selection decision will be based on price.
Bid is used when technical capability or technical approach are paramount.
Proposal is used when the selection decision will be based on price.
Proposal is used when the project time frame is limited.
Influence/impact grid.
Power/interest grid.
Salience model.
42) A thorough analysis of the ____________ will help identify potential risks to the project.
Group of answer choices
Risk identification checklist based on historical information and knowledge
Project's change control system
Project's mission statement
Project's schedule and budget
1. You are using a classification model for stakeholders’ analysis that groups the stakeholders based on their level of authority and their level or concern regarding the project outcomes. This is known as Salience model. Therefore, the correct option is D.
2. Generally, a bid differs from a proposal in that the term as bid is used when the seller selection decision will be based on price. Therefore, the correct option is A.
3. A thorough analysis of the risk identification checklist based on historical information and knowledge will help identify potential risks to the project. Therefore, the correct option is A.
1. Salience model is a classification model used for stakeholders’ analysis that groups the stakeholders based on their level of authority and their level of concern regarding the project outcomes. It prioritizes stakeholders according to their power (influence), legitimacy (authority), and urgency (level of concern). The model aids in the identification of the most important stakeholders who require the most attention and engagement. Hence, the correct answer is option D.
2. In general, a bid differs from a proposal in that the term "bid" is used when the seller selection decision will be based on price, whereas "proposal" is used when the selection decision will be based on technical capability or approach. Hence, the correct answer is option A.
3. A thorough analysis of the risk identification checklist based on historical information and knowledge will help identify potential risks to the project. This checklist provides a list of potential risks based on experience from similar projects in the past, which will aid in identifying risks before they occur.
The other options (Project's change control system, Project's mission statement, and Project's schedule and budget) are important elements of project management, but they do not directly assist in identifying potential risks. Hence, the correct answer is option A.
Note: The question is incomplete. The complete question probably is: 1. You are using a classification model for stakeholders’ analysis that groups the stakeholders based on their level of authority and their level or concern regarding the project outcomes. This is known as: Group of answer choices A) Power/influence grid. B) Influence/impact grid. C) Power/interest grid. D) Salience model.
2. Generally, a bid differs from a proposal in that the term: Group of answer choices A) Bid is used when the seller selection decision will be based on price. B) Bid is used when technical capability or technical approach are paramount. C) Proposal is used when the selection decision will be based on price. D) Proposal is used when the project time frame is limited.
3. A thorough analysis of the ____________ will help identify potential risks to the project. Group of answer choices A) Risk identification checklist based on historical information and knowledge. B) Project's change control system. C) Project's mission statement. D) Project's schedule and budget.
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What are the effects of an increase in labor productivity on potential GDP, the
quantity of labor, the real wage rate, and potential GDP per hour of labor?
An increase in labor productivity can lead to an increase in potential GDP, as it allows more output to be produced with the same amount of labor.
What are the effects of an increase in labor productivity on potential GDP, the quantity of labor, the real wage rate, and potential GDP per hour of labor?An increase in labor productivity can lead to an increase in potential GDP, as it allows more output to be produced with the same amount of labor.
However, the effect on the quantity of labor and real wage rate is less clear-cut. In some cases, an increase in productivity can lead to an increase in the demand for labor and therefore higher wages. In other cases, it can lead to a decrease in demand for labor and lower wages. Ultimately, the effect on potential GDP per hour of labor will depend on the relative changes in output and labor inputs.
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When the demand for loanable funds exceeds the supply of loanable funds, households want to save less than firms want to invest and the interest rate rises.
When the demand for loanable funds exceeds the supply of loanable funds, households want to save less than firms want to invest and the interest rate rises. This statement is true.
About the demand for loanable fundsWhen the demand for loanable funds is greater than the supply of loanable funds, households desire to save less than firms want to invest, according to the loanable funds market model. As a result, the interest rate rises because lenders have a greater chance of locating willing borrowers willing to pay more interest.
The loanable funds market is the place where lenders and borrowers come together to borrow and lend funds. The supply of funds comes from households who are saving their cash, while the demand for funds comes from businesses and governments who want to invest in capital projects. The market interest rate is determined by the intersection of the supply and demand curves.
Your question is incomplete but most probably your full question was:
Determine True or False: When the demand for loanable funds exceeds the supply of loanable funds, households want to save less than firms want to invest and the interest rate rises.
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A company is engaged in an intensive research effort that is increasing its spending on research and development substantially. What will be the immediate impact of the spending on the company's gross profit margin, assuming that it does not expect to recognize revenues from this increased spending for a number of years?
The immediate impact of the increased spending on research and development (R&D) on the company's gross profit margin will likely be a decrease. The gross profit margin is a financial metric that measures the profitability of a company's core operations by assessing the proportion of revenue remaining after deducting the cost of goods sold (COGS).
Since the company does not expect to recognize revenues from this increased spending for a number of years, the expenses associated with R&D will be recognized in the current period, while the corresponding revenues are not yet realized. This will result in higher expenses without a proportional increase in revenue, leading to a lower gross profit margin.
The gross profit margin is calculated by subtracting the cost of goods sold (including R&D expenses) from the revenues and then dividing it by the revenues. Since the increased R&D spending does not contribute to immediate revenue generation, the expenses will offset a portion of the company's revenues, thereby reducing the gross profit margin. However, it's important to note that the long-term impact of the intensive research effort may result in future revenue growth and innovation, which could positively impact the company's profitability in the future.
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Which of the compensation systems listed are likely to be effective in building cohesive teams?
Which of the compensation systems listed are likely to be effective in building cohesive teams: skill-based pay and gain-sharing
A building is a structure that has a roof and walls, for example, a house or a factory.
A relatively permanent enclosed construction over a plot of land, having a roof and usually windows and often more than one level, is used for any of a wide variety of activities, such as living, entertaining, or manufacturing. anything built or constructed.
A structure with walls and a roof standing more or less permanently in one place is commonly known as a building.
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What is it called when the riskier the investment the higher the rate of return?
When the riskier the investment the higher the rate of return , then it is called a risk-return tradeoff .
The concept of Risk-Return Tradeoff is used to describe the relationship between the level of risk and the potential for investment returns.
The risk-return tradeoff suggests that ; as the level of risk associated with an investment increases, the potential for higher returns also increases.
In other words, investors demand a higher rate of return to compensate for taking on greater levels of risk. This relationship is often represented graphically as an upward sloping curve, where higher levels of risk are associated with higher potential returns.
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How many barrels of oil are in the strategic petroleum reserve.
Answer:
714 million barrels
Bob sold manufacturing equipment to a dealer for $50,000. He bought the equipment for $55,000 several years ago and has claimed $12,500 of depreciation expense on the equipment. What is the amount and character of the gain or loss for Bob on the equipment?
The amount and character of the gain or loss for Bob on the equipment are as follows: To find the amount and character of the gain or loss for Bob on the equipment, you need to consider the equipment's carrying value.
To determine the carrying value, subtract the total depreciation expense claimed from the original cost of the equipment.$55,000 - $12,500 = $42,500.
The equipment's carrying value is $42,500. Since Bob sold the equipment for $50,000, there is a gain. The gain can be calculated by subtracting the carrying value from the selling price:$50,000 - $42,500 = $7,500. Therefore, Bob has a gain of $7,500 on the sale of the equipment.
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Why is it important to invest for your retirement? please explain :p
Which of the taxes listed on her Form W-2 do you think Susan might be able to "get
back?"
The Federal and the state income tax are the axes listed on her Form W-2 she can get back
The taxes thst she can get backUpon the submission of their income tax return at the conclusion of a fiscal year, employees have the opportunity to receive a reimbursement if they contributed an excess amount towards their taxes throughout this financial period.
Such a circumstance may emerge when workers undergo excessive diminutions from their paychecks or meet particular criteria that grant them eligibility for tax credits or deductions.
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you buy a rental property for $250,000, paying $75,000 in cash and borrowing the rest. the net rental income the first year is $14,000 and, after one year, the property is worth $260,000. total interest paid in the first year is $8,700. what is your annual rate of return on this investment?
The annual rate of return on the investment given above will be 20.4 percentage in the situation above-mentioned.
The computation of the ARR, or the annual return rate, can be done using the provided values in the above information, and input of these values into the formula, as below,
Annual Rate of Return = (Return on Investment − Investment Costs) / Investment Costs
Annual Rate of Return = (260000+14000−175000-8700) / 75000
Annual Rate of Return = {90300 − 75000} / 75000
Annual Rate of Return = 20.4
As a result, the annual rate of return will be 20.4 percentage.
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hey this is for thebeauty4evr19 so don't take it or im reporting u
Answer:
ty
Explanation:
profit corporations are private corporations that are created to conduct a business for profit and can distribute profits to shareholders in the form of dividends.
T/F
True. Profit corporations, also known as for-profit corporations or business corporations, are private corporations that are established with the primary objective of conducting business activities to generate profits.
These corporations are owned by shareholders who invest capital and expect to receive a return on their investment. One of the ways in which profits can be distributed to shareholders is through dividends, which are typically paid out of the corporation's earnings. A for-profit corporation is a legal entity that is formed with the purpose of conducting business activities to generate profits for its shareholders. For-profit corporations differ from non-profit corporations, which are established for charitable, educational, or other non-profit purposes and are not primarily focused on generating profits for their owners.
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Trading in foreign currency options would most likely be: __________
a. an appropriate hedging tool for individual investors who want to hedge the risk on specific U.S. exchange-listed stocks.
b. a multinational corporation.
c. someone traveling on vacation for two weeks abroad.
d. a firm in the import and export business.
There are different kinds of trade. Trading in foreign currency options would most likely be an appropriate hedging tool for individual investors who want to hedge the risk on specific U.S. exchange-listed stocks.
Currency option hedgesCurrency option hedges are known to be tools that are used in international business.An example, when an American importer is said to agree to buy some food equipment from a Chinese manufacturer at a later future date. The transaction will be carried out in Chinese currency.
The American importer has therefore made an hedge by buing currency options on the Chinese currency.
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A financial institution that accepts deposits makes loans and provides other services as a nonprofit organization is called a:
A. Credit Union
B. Retail Bank
C. Title Pawn Lender
D. Payday Lender
Credit Unions are nonprofit financial institutions that accept deposits, provide loans, and offer other services. As a result, choice (A) is right.
What is meant by a nonprofit organization?A nonprofit organization (NPO) or non-profit organization is a legal entity organized and operated for a collective, public, or social benefit, as opposed to an entity that operates as a business with the goal of making a profit for its owners. It is also referred to as a non-business entity,[1] or nonprofit institution,
The non-distribution constraint applies to nonprofit organizations, which means that any surplus funds must be used to further their mission rather than being distributed to other parties.
A wide range of organizations, including certain political organizations, schools, business organisations, churches, social clubs, and consumer cooperatives, are nonprofit. Governments may grant tax-exempt status to nonprofit organizations, and some may be eligible for tax-deductible donations. However, an organization can establish as a nonprofit organization without obtaining tax-exempt status.
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A person who is a good employee of a multinational company means that he is fit to be an entrepreneur. TRUE or FALSE
which of the following can impact your credit score
The number of times you choose credit when given the choice between debit and credit at a register
you’re a debit to credit ratio
if you buy items at full price or at a discounted price when using credit
Types of items you’re buying using credit
Answer: B. your Debt to Credit ratio
Explanation:
Your debt to credit ratio is important to lenders because it shows whether you spend wisely when given debt.
Debt to credit is measured as the percentage of debt you have given your credit limit. If for instance you have a credit card limit of $50,000 and have debt of $10,000, your debt to credit ratio is:
= 10,000/50,000 * 100
= 20%
Generally the lower this ratio, the better the contribution to your credit score.
Suppose we have a lognormally distributed $55 stock with a 14% continuously compounded expected rate of return, a 4% dividend yield, and a 25% volatility. The continuously compounded interest rate is 2%. Consider a put option written on the stock that expires in one year with a strike price of K=65. (a) What is the probability that the put option expires in the money? (b) Assume that you have purchased the put option at time 0 at the Black-Scholes price of $12.7695. What is the probability that your profit at option expiration is positive?
The probability that the put option expires in the money is approximately 0.4602 or 46.02%.
the probability of having a positive profit at option expiration is approximately the value obtained by evaluating 1 - N(Z) using the calculated Z-score.
To calculate the probability that the put option expires in the money and the probability of a positive profit at option expiration, we can use the Black-Scholes option pricing model.
Here are the calculations:
(a) Probability that the put option expires in the money:
The Black-Scholes formula for a European put option is given by:
\(\[ P = N(-d_2) \]\)
where:
P = Probability that the put option expires in the money
N() = Cumulative standard normal distribution function
\(d2 = \(\frac{{\ln\left(\frac{S}{K}\right) + \left(r - \frac{{\sigma^2}}{2}\right)T}}{{\sigma\sqrt{T}}}\)\)
Given values:
S = $55 (stock price)
K = $65 (strike price)
r = 2% (continuously compounded interest rate)
\(\(\sigma\)\) = 25% (volatility)
T = 1 year
First, calculate d2 using the provided formula:
\(\[ d2 = \frac{{\ln\left(\frac{S}{K}\right) + \left(r - \frac{{\sigma^2}}{2}\right)T}}{{\sigma\sqrt{T}}} \\\\= \frac{{\ln\left(\frac{55}{65}\right) + \left(0.02 - \frac{{0.25^2}}{2}\right) \times 1}}{{0.25 \times \sqrt{1}}} \]\)
Next, use the cumulative standard normal distribution function (N()) to find the probability:
\(\[ P = N(-d2) \]\)
Calculating the value of d2 and the probability using a statistical calculator or software, we find:
\(\[ d2 \approx -0.5271 \]\\\\\ P \approx N(-0.5271) \approx 0.4602 \]\)
Therefore, the probability that the put option expires in the money is approximately 0.4602 or 46.02%.
(b) Probability of a positive profit at option expiration:
To calculate the probability of a positive profit at option expiration, we need to consider the profit formula for a put option:
\(\[ \text{Profit} = \text{Max}(0, K - S) - \text{Option Price} \]\)
Given:
Option Price = $12.7695
We need to calculate the probability that Profit is greater than zero. This can be done by calculating the Z-score using the formula:
\(\[ Z = \frac{{\text{Profit} - \text{Mean Profit}}}{{\text{Standard Deviation}}} \]\)
Then, we can find the probability using the cumulative standard normal distribution function (N()):
\(\[ \text{Probability} = 1 - N(Z) \]\)
To calculate the mean and standard deviation of the profit, we need to consider the expected return, dividend yield, and volatility:
Mean Profit = \(\( K \times e^{(r - \text{dividend yield}) \times T} - S - \text{Option Price} \)\)
Standard Deviation = \(\( S \times \sigma \times \sqrt{T} \)\)
Given values:
Expected rate of return = 14% (continuously compounded)
Dividend yield = 4%
Volatility = 25%
Option Price = $12.7695
S = $55 (stock price)
T = 1 year
Calculating the mean profit and standard deviation:
Mean Profit = \(\( 65 \times e^{(0.14 - 0.04) \times 1} - 55 - 12.7695 \)\)
Standard Deviation = \(\( 55 \times 0.25 \times \sqrt{1} \)\)
Next, calculate the Z-score:
\(\[ Z = \frac{{0 - \text{Mean Profit}}}{{\text{Standard Deviation}}} \]\)
Finally, calculate the probability:
\(\[ \text{Probability} = 1 - N(Z) \]\)
Calculating the mean profit, standard deviation, Z-score, and the probability using a statistical calculator or software, we find:
Mean Profit ≈ -12.4695
Standard Deviation ≈ 13.75
Z ≈ \(\(\frac{{0 - (-12.4695)}}{{13.75}}\)\)
Probability ≈ 1 - N(Z)
Therefore, the probability of having a positive profit at option expiration is approximately the value obtained by evaluating 1 - N(Z) using the calculated Z-score.
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You meet with your manager for a performance review. The manager previously gave you an objective rubric that they would be using for this review. It is likely that your manager ascribes to ______ leadership.
A) Authoritarian.
B) Dmemocratic.
C) Laissez-faire.
D) Theory X.
There are different kinds of leadership. It is likely that your manager ascribes to democratic leadership.
What is a democratic leadership ?Democratic leadership is known to be a kind of balances decision-making work that exist between the group and the leader.
Democratic leadership is said to be also known as participative leadership or shared leadership.
Here, the leadership style is one where the members of the group often take a participative role in the decision-making acts.
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The grouping of jobs into working units usually called departments, units, groups, or divisions is called ______.
Answer:
The grouping of jobs into working units usually called departments, units, groups, or division is called Departmentalization.
Explanation:
Departmentalization is the efficient and effective grouping of jobs into meaningful work units to coordinate numerous jobs—all for the expeditious accomplishment of the organization's objectives. They are; basic organizational units and coordinating structure.
"tractor is a modern tool of agriculture".justify this statement with suitable example
Answer:
Tractors are the king among different farm equipment. They are the main workhorse of any modern farm. They provide the power and traction necessary to mechanize agricultural tasks. ... There are different types of tractors in the market, varying in size and capacity.
Explanation:
What has happened to China’s GPD since it began to reform its economy?
Answer:
it has grown substantially
Explanation:
in the past, China's government has total control over other economy. They failed to run it efficiently since the system provide no incentives for people to work harder and invents new things.
In the 1980s, china started to adopted some aspect of Capitalism and let the private sector grow their influence in the economy.
As a result, many people start to have incentives to contribute more to the economy. This system basically allowed the citizens seek personal wealth for themselves, but they are indirectly improving the country's economy.