If the government finances its spending by selling bonds to the central bank, the monetary base will increase and the money supply will also increase.
When the government sells bonds to the central bank, it increases the amount of money in the economy. This increases the monetary base, which is the total amount of money that is available in the economy.
As a result, the central bank will increase the amount of reserves held by commercial banks, which in turn will increase the amount of money that can be lent out to individuals and businesses.
This process ultimately leads to an increase in the money supply, which is the total amount of money that is available in the economy for spending. Therefore, when the government finances its spending by selling bonds to the central bank, it increases both the monetary base and the money supply.
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I
In which book of original entry would you enter the following?
(a) Sales invoice
(b) Debit note-
(c) Cash sale-
(d) Purchase invoice-
(e) Credit note-
Cost and percentage depletion methods recover investment in Select one: a. the USA b. natural resources. c. real property. d. the industrialized count
The Cost and Percentage Depletion methods are used to recover the investment in natural resources. The correct option is b.
The Cost Depletion method is used to recover the cost of acquisition of the natural resource, while the Percentage Depletion method is used to recover the proportionate value of the natural resource used up. Both of these methods are used for the same purpose but differ in their approach to accounting for the cost of acquisition and the value of the natural resource used up over time.
The Cost Depletion method is more straightforward and easier to apply, but it does not account for the natural resource's changing value over time. The Percentage Depletion method is more complex and takes into account the changing value of the natural resource over time.
The Percentage Depletion method calculates the proportionate value of the natural resource used up each year and applies that value to the total value of the natural resource.
In conclusion, the Cost and Percentage Depletion methods are used to recover the investment in natural resources by accounting for the cost of acquisition and the value of the natural resource used up over time. These methods are essential for companies that invest in natural resources to ensure that they recover their investment and make a profit.
Therefore, The correct option is b. natural resources
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Eliza Conner owns a small clothing boutique. Eliza uses her personal checking account for both business and personal needs. How would you convince Eliza that she should open a separate
bank account for her business?
Answer:
1. It will cause them confusion throughout the tax calculating process.
2. Using a single account will make it difficult to keep payroll records.
3. Keep track of your personal expenses and earnings.
Explanation:
1. It is preferable to establish a separate account to separate the firm's actual income and expenses.
2. Payroll expenses are indistinguishable from personal expenses.
3. This allows you to cross-check bank and hand-made documents for income and expenses. Because cash transactions may not be recorded in the bank account, the entrepreneur should preserve receipts in order to compute revenue and expenses, which may result in erroneous financial statements.
Work out the height of this triangle with base,
b
= 8. 2mm and area,
A
= 227. 14mm2
Explanation:
the, your question seems so incorrect. please repost the problem with your best
What is an economy?
Answer: LOOK
Explanation:LOOK
Choosing the higher education institution with the cheapest sticker price
might be a bad idea because
A.)sticker prices always have hidden costs which may increase the overall costs
B.)cheaper schools usually charge more for housing which is not a part of a
sticker price
C.)cheaper schools usually will not allow you to apply for financial aid
D.)more expensive schools may be cheaper once the net cost has been
determined
Answer: D. more expensive schools may be cheaper once the net cost has been determined
Explanation:
Choosing the higher education institution with the cheapest sticker price might be a bad idea because more expensive schools may be cheaper once the net cost has been determined.
It should be noted that sticker prices with regards to higher education scan sometimes give false information about the fees which will be eventually be paid. This is because one ma eventually find out that the total fees that were paid in the assumed cheaper school may be more than the expensive school once the net cost has been calculated and determined.
In order for one to be able to make a thorough decision on one's choice of school, higher institutions should provide better and more detailed information regarding the amount that students will pay in their schools net of grants or maybe scholarships.
The higher education institution and the sticker price are directly related to each other higher the education system higher will be the sticker price that is the total cost of the yearly tuition, books, room rents, and other fees that are charged within the institutions.
Choosing the higher education and the cheaper sticker price is a bad idea because:
Option D. more expensive schools may be cheaper once the net cost has been determined.
The higher education and cheaper sticker price are bad because the sticker prices quoted about the fees sometimes gives false information that will be eventually paid in the future once the net cost has been calculated and determined.
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Robert makes $951 gross income per week and keeps $762 of it after tax withholding. How many allowances has Robert claimed? For weekly income between 950 and 960, the number of withholding allowances claimed are: 0, 259 dollars; 1, 242 dollars; 2, 224 dollars; 3, 207 dollars; 4, 189 dollars; 5, 173 dollars; 6, 162 dollars; 7, 151 dollars; 8, 140 dollars. A. One b. Two c. Three d. Four Please select the best answer from the choices provided A B C D.
Answer:D
Explanation:
Answer:
D
Explanation:
Which of the following statements about managerial compensation is correct? Stock-based manager compensation does not guarantee a future cash benefit to managers. Manager compensation should always be either cash-based or stock based. From a manager's standpoint.cash compensation is always preferable over stock-based compensation Compensating managers with year-end cash bonuses always motivates managers to do what is best for the company as a whole.
On the one hand, managerial compensation is seen to be the end result of a market-based mechanism which ensures that managers have ample incentives to maximize shareholder value.
On the other hand, it is viewed to be a means whereby self-serving executives skim corporate profits and expropriate shareholders.
What do you mean via managerial compensation?Compensation administration skill the specialist HR discipline of planning and administering the entirety of financial cost that an organisation offers an employee in exchange for their work. It consists of their revenue however also benefits, bonuses and rewards.
However, many of the simple structural elements of executive compensation are more constant, with editions going on in phrases of method and implementation.
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https://brainly.com/question/28425105#SPJ4Grant started a business this year. He earned $200,000 in revenues and had $150,000 in expenses. His other alternative would have been to go back to his old job, where he earned $70,000. What are Grant's "true" profits from his business
Answer:
Profit from the business = $50000.
Explanation:
Total revenue from the business = $200000
The total cost that occurred in business = $150000
Now we have to calculate the true profit from the business. So, it can be calculated by subtracting the total cost from the total revenue.
Below is the formula to find the profit.
Profit = total revenue – total cost
Now insert the given values in the formula.
Profit from the business = $200000 - $150000
Profit from the business = $50000
The amount of Grant's "true" profits from his business is $50000. Profits are termed as the total revenues that the firm earns on selling the produced goods and services.
Given information are:
Total revenue from the business = $200000
The total cost that occurred in business = $150000
Computation of profit:
Profit = Total Revenue- Total Cost
Profit = $200000- $150000
Profit = $50000
Therefore, the amount of profit the company earned is $50000.
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your student loan payments are considered manageable if they consume less than ___% of your income.
your student loan payments are considered manageable if they consume less than 10% of your income.
Your balance and the amount of interest you incur will decrease as you make payments on your student loan. While the majority of your initial payments following disbursement will be devoted to interest, over time, more of your payments will be applied to your principle.
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Typically, student loan payments are considered manageable if they consume less than 10% of your income.
This means that if you earn $50,000 per year, your student loan payments should not exceed $5,000 per year, or $417 per month.
However, this is only a basic guideline, and the actual amount considered manageable may differ depending on your specific financial situation.
It's crucial to remember that student loan payments are only one component of your entire budget, and you should consider your other costs and financial goals when evaluating how much you can afford to pay each month.
To obtain a better feel of your overall financial picture, make a budget and track your expenses.
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Your mutual fund was valued at $237,500. It has lost 6% per year for the last 3 years. What is its value today?
Answer:
$197,263.7
Explanation:
The current value can be found by use of the compound interest formula. Since the asset has been losing value at 6 % per year,
the interest rate will be -6%
The formula for compound interest is FV = PV × (1+r)^n
in this case
FV= current value
PV= $237,500
r= -6% or -0.06%
n= 3 years
Fv= $237, 500 x ( 1 + (-0.06)^3
Fv=$237,500 x (0.94)^3
Fv= $237,500 x 0.830584
Fv= $197,263.7
The current value =$197,263.7
The Foreign Corrupt Practices Act (FCPA) makes it illegal for US citizens to bribe high ranking foreign officials to get new business.
The Foreign Corrupt Practices Act (FCPA) makes it illegal for US residents to pay high-ranking foreign officials in order to gain new business. A violation can carry a criminal sentence of up to five years in jail. A violation is a felony since it carries a sentence of more than a year in jail.
The traditional definition of a crime is a felony, however a misdemeanour is seen as a less serious criminal. Under English common law, a crime was referred to as a "felony" (from the French term "félonie") if it resulted in the confiscation of a defendant's property and the potential of additional punishments, including the death penalty. Minor crimes were referred to as misdemeanours. According to all federal and state laws, a crime in the United States is often categorised as a violation, a misdemeanour, or a felony depending on how serious it is. A felony is a serious offence that carries a penalty of more than one year in jail.
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Complete Question:
The Foreign Corrupt Practices Act (FCPA) makes it illegal for US citizens to bribe high ranking foreign officials to get new business. A violation can have a criminal penalty that involves up to five years in prison. The fact that one could be punished by over a year in prison makes a violation:
You and a friend are each given a free pair of sunglasses at a concert. Your friend says, “I can’t believe we got free sunglasses!” What do you know about the sunglasses?
This is actually Personal and family finance
Answer:
C. They aren’t really free; you likely contributed to the costs involved.
Explanation:
Note that common skills are listed toward the top and less common skills are listed toward the bottom. According to O*NET, what are some common skills needed by Lawyers? Select four options.
installation
active listening
speaking
critical thinking
reading comprehension
equipment maintenance
The common skills needed by lawyers are active listening, speaking, critical thinking and reading comprehension.
The skills can be noted as -
Active Listening - To completely comprehend their viewpoints and obtain all pertinent facts, attorneys need to listen intently to their clients, witnesses, and other parties involved in a case.Speaking - Lawyers need to be able to communicate clearly both orally and in writing with their clients, juries, judges, and other lawyers.Critical Thinking - Lawyers must be able to evaluate intricate legal issues and create plans for resolving conflicts and attaining their clients' objectives.Reading comprehension - Complex legal papers, court rulings, and other important items must be read and understood by lawyers.Read more about lawyers on:
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Help ASAP!!!! What is the most-possible answer?
Answer:
Community and junior colleges.
Explanation:
I don't know if im too correct but if i am, mark me brainliest?:)
Answer:
D - Collages
Explanation:
That is the only thing I know that gives degrees
which word best describes the writing process in business writing ?
Answer: Brainstorm Pre-write. Write rough draft. Peer-review. Revise ideas. Edit Publish Establish constructive purposes for student writing. Find real audiences, beyond the teacher, for students' writing
The role of the forward FX contract is to offset the uncertainty regarding the future spot rate on a particular currency at the end of the investment horizon.
True or False?
True.
A forward FX contract allows an investor to lock in a future exchange rate for a specific currency, which helps to mitigate the risk of uncertainty surrounding the spot rate at the end of the investment horizon.
By entering into a forward contract, the investor can secure a known exchange rate and reduce their exposure to fluctuations in the currency market. However, it's important to note that forward contracts are not foolproof and there is still some risk involved.
Factors such as unexpected political or economic events can impact exchange rates, even if they are locked in through a forward contract.
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in a small country, the net national cost of tariff protection is equal to the reduction in consumer surplus minus
In a small country, the net national cost of tariff protection is equal to the reduction in consumer surplus minus the increase in government tariff revenue.
In a small country, the net national cost of tariff protection is equal to the reduction in consumer surplus minus any gains in producer surplus. Tariffs are used by governments to protect domestic industries from foreign competition by making imported goods more expensive. However, this results in a reduction in consumer surplus, which is the difference between what consumers are willing to pay and what they actually pay for a good. The net national cost takes into account the loss in consumer surplus and any gains in producer surplus.
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the stability of the financial system is enhanced by the ability of central banks to
The stability of the financial system is greatly influenced by the ability of central banks to perform various functions.
Central banks have a significant role in promoting financial stability by regulating the supply of money in the economy and implementing monetary policy.
Through their actions, central banks can influence interest rates, which in turn can impact the level of borrowing and lending in the economy.
Central banks also act as the lender of last resort, providing financial institutions with emergency funds during periods of financial stress.
This function ensures that financial institutions do not become insolvent, thereby preventing a potential systemic crisis.
Moreover, central banks have regulatory and supervisory functions that ensure the safety and soundness of financial institutions.
Through these functions, central banks can detect and mitigate potential systemic risks before they pose a threat to the stability of the financial system.
In summary, the ability of central banks to perform these critical functions is essential in enhancing the stability of the financial system.
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which of the following is not a key factor of competitiveness? price size of organization product differentiation flexibility after-sale service
The key factor of competitiveness that is not listed among the options is "size of organization." Option B is the correct answer.
The important criterion of competitiveness that is not included among the possibilities is "size of organisation.
While the size of an organization can sometimes be a factor that affects competitiveness, it is not considered one of the primary key factors.
The other options, such as price, product differentiation, flexibility, and after-sale service, are generally recognized as important elements that contribute to a company's competitiveness in the market.
Size alone does not necessarily determine a company's competitiveness, as smaller organizations can also compete effectively by leveraging other strategic advantages. Option B is the correct answer.
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Javier and Anita Sanchez purchased a home on January 1, 2019, for $744,000 by paying $248,000 down and borrowing the remaining $496,000 with a 7 percent loan secured by the home. The loan requires interest-only payments for the first five years. The Sanchezes would itemize deductions even if they did not have any deductible interest. The Sanchezes' marginal tax rate is 32 percent. (Round your intermediate calculations to the nearest whole dollar amount) a. What is the after-tax cost of the interest expense to the Sanchezes in 2019? Ahort cost of the interest expense b. Assume the original facts, except that the Sanchezes rent a home and pay $34720 in rent during the year. What is the after-tax cost of their rental payments in 2019? Attertax cost of the rental payments c. Assuming the interest expense is their only itemized deduction for the year and that Javier and Anita file a joint return, have great eyesight and are under 60 years of age, what is the after tax cost of the 2019 interest expense? After tax cost of the interest expense
The after-tax cost of the interest expense to the Sanchezes in 2019 is approximately $23,654.
The after-tax cost of the rental payments in 2019 is $34,720.
The after-tax cost of the 2019 interest expense, considering their joint return filing, would be approximately $23,654.40.
To calculate the after-tax cost of the interest expense on the loan, we first need to determine the amount of deductible interest. The interest expense for the year is $496,000 multiplied by the interest rate of 7 percent, which equals $34,720. Since the Sanchezes would itemize deductions, the entire interest expense is deductible.
After-tax cost of the interest expense = Interest expense * (1 - Marginal tax rate)
= $34,720 * (1 - 0.32)
= $23,654.40
In this scenario, the Sanchezes are paying rent of $34,720 for the year. Since rental payments are not tax-deductible, there is no after-tax cost associated with the rental payments. The full amount of $34,720 is paid out of their after-tax income.
c. Assuming the interest expense is their only itemized deduction, the after-tax cost of the interest expense would be the same as calculated in part (a), which is approximately $23,654.40.
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Sarah has an annual salary of $54000. If her income tax rate is 22%, find the amount of her taxes, her net annual, and net monthly salary.
Taxes:
Net Annual Salary:
Net Monthly Salary:
Sarah has to pay $11,880 in taxes annually, her net annual salary is $42,120, and her net monthly salary is $3,510.
To calculate the amount of taxes that Sarah has to pay, we need to multiply her annual salary by her tax rate. So, the amount of taxes that Sarah has to pay is:
Tax = Annual Salary x Tax Rate
Tax = $54,000 x 0.22
Tax = $11,880
Therefore, Sarah has to pay $11,880 in taxes annually.
To find Sarah's net annual salary, we need to subtract the amount of taxes she has to pay from her annual salary. So, her net annual salary would be:
Net Annual Salary = Annual Salary - Taxes
Net Annual Salary = $54,000 - $11,880
Net Annual Salary = $42,120
Therefore, Sarah's net annual salary is $42,120.
To find Sarah's net monthly salary, we need to divide her net annual salary by 12 (the number of months in a year). So, her net monthly salary would be:
Net Monthly Salary = Net Annual Salary / 12
Net Monthly Salary = $42,120 / 12
Net Monthly Salary = $3,510
Therefore, Sarah's net monthly salary is $3,510.
In summary, Sarah has to pay $11,880 in taxes annually, her net annual salary is $42,120, and her net monthly salary is $3,510.
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In 2004, Microsoft Corporation started giving employees stock that cannot be sold for a specified period of time. This is a type of restricted stock.
What advantages might a Korean-based company such as
Hyundai have entering markets in developing countries?
Hyundai is a well-established South Korean automobile company that has over the years gained immense popularity and established itself as a global brand.
Entering markets in developing countries presents multiple advantages to the company. Some of these advantages are discussed below:Lower Production Cost:Developing countries often have lower production costs than developed countries, due to factors such as cheaper labor, favorable exchange rates, and lower transportation costs. These countries offer Hyundai lower production costs and enable them to produce products at a lower cost, thus increasing their profit margins.
Also, many of these countries offer subsidies and incentives to foreign companies that establish their operations in the country. Such incentives can reduce the Hyundai's operating costs and thereby lead to higher profitability.Increased Demand:Developing countries have a large population, and the demand for vehicles is high. Hyundai, being a well-known brand, can capitalize on the growing demand for automobiles and expand its market share.
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a coupon bond that pays semiannual interest is reported in the wall street journal as having an ask price of 117% of its $1,000 par value. if the last interest payment was made 2 months ago and the coupon rate is 6%, the invoice price of the bond will be
According to the Wall Street Journal, a coupon bond with a semi-annual interest rate has an ask price of 117%; the bond's invoice price will be $1,180.
Why is "coupon" a phrase used in bonds?
Genuine, detachable coupons that were affixed to bond certificates were what the term "coupon" originally referred to. Bonds with coupons, commonly known as bearer bonds or coupon bonds, are not registered; as a result, just holding one of them constitutes ownership.
What are a bond's coupon and zero coupon?
The portion of a bond's face value that is paid in interest each year is referred to as its coupon rate. a bond that pays no interest since its coupon rate is zero. This is not to say that the bond does not provide a profit, though. A zero coupon bond, however, yields money when it matures.
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Which examples would be transactions that take place in the product market of the
circular flow of business?
Select 3 correct answer(s)
Justin eats at a local restaurant and provides a tip to the waiter.
Susan hires a new stylist at her salon.
Ronald gets his eyes checked at the optometrist.
Bob buys a shirt from a department store in the mall.
Jennie purchases a new delivery truck for her flower shop.
Bob purchases a shirt from the a departmental store in the mall, Bob dines at a neighborhood restaurant, Justin tips the waitress, Jennie purchases a fresh delivery van for her flower company. this is accurate in transaction.
What do accounting purchases mean?Definition. All items and services acquired for resale or use throughout the manufacturing process are included in the cost of goods and services purchased, except capital goods whose consumption is recorded as use of fixed capital.
What is a buy example?10,000 pairs of shoes are ordered by Shoes Unlimited from a foreign vendor. The issue of a purchase agreement is required for this.
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Answer:
- Bob buys a shirt from a department store in the mall
- Ronald gets his eyes checked at the optometrist
- Justin eats at a local restaurant and provides a tip to the waiter
Explanation:
Susan's option takes place in the resource market.
Jennie's option is a capital purchase in the resource market.
When using the substitution method to solve this system of equations, which of the following represents the first step?
Explanation:
The first step in using the substitution method to solve a system of equations is to solve one of the equations for one of the variables in terms of the other variable(s). This will allow you to substitute the expression you found into the other equation and solve for the remaining variable(s).
What days are BIM classes held?
Classes take place on Mondays and Wednesdays from 4:00-6:00 pm EST, at The Plan Room located at 1815 W Broadway.
Have a Nice Day.
73 points I will give if you like and comment 73 points
Answer:
i b b beg your pardon
Explanation:
Answer: 73 points is this what you mean?
Explanation:
what is decision necessary? what is the process of decision making?
Answer:
Decision making is the process of making choices by identifying a decision, gathering information, and assessing alternative resolutions. Using a step-by-step decision-making process can help you make more deliberate, thoughtful decisions by organizing relevant information and defining alternatives.