People often like to visit flea markets to look for unexpected opportunities. Flea markets also typically use cash. This is an example of the liquidity demand for money because individuals need cash on hand to make purchases at these markets, reflecting their desire for easily accessible and liquid funds to take advantage of the available deals.
People visit flea markets to look for unexpected opportunities, and since these markets typically use cash, they create a demand for liquidity. Liquidity demand for money refers to the desire of individuals and businesses to hold money in a readily available form to meet unexpected expenses or take advantage of unexpected opportunities. Therefore, the example of people visiting flea markets is an example of the liquidity demand for money, as they need cash readily available to make purchases and seize opportunities that may arise at the market.
learn more about Flea markets here:
https://brainly.com/question/30401370
#SPJ11
Discussion Question:
Briefly criticize the theory of comparative advantage from a developing country perspective… Does it make economic sense for a developing country to engage in free international trade?… discuss briefly
The theory of comparative advantage holds that if countries specialize in the production of goods and services in which they have a comparative advantage over others and trade with others, all countries will enjoy a welfare increase.
Comparative advantage has been criticized from various perspectives, with some critics arguing that its assumptions are unrealistic or that it cannot be relied upon to drive development.
In my opinion, the comparative advantage theory is flawed from a developing country perspective because it ignores the fact that developing countries often face structural challenges that can prevent them from benefiting from free trade. For example, developing countries often face difficulty in competing with developed countries in export markets due to their lower productivity, poor infrastructure, and inadequate access to finance. They are therefore unable to maximize the gains from free trade, even if they specialize in areas where they have a comparative advantage.
Moreover, the comparative advantage theory assumes that factors of production (land, labor, and capital) are mobile within a country. Still, developing countries often face difficulties in making their resources mobile due to institutional weaknesses, such as poor governance, corruption, and limited access to credit. Therefore, they cannot take advantage of the gains from free trade. Developing countries can benefit from international trade, but it may be necessary to do so selectively and with a high level of attention to the structural issues affecting the country's economy. They must first put in place policies to address these issues to reap the benefits of free trade.
To know more about unrealistic visit
https://brainly.com/question/31363708
#SPJ11
a security that your client has been following has a historical average annual return of 11% and a standard deviation of 6%. knowing this, it would be expected that 95% of the time, your client could expect a return within the range of
The range of expected returns for a security can be estimated using the historical average annual return and standard deviation. In this case, the security has a historical average annual return of 11% and a standard deviation of 6%.
To find the range within which the client can expect a return 95% of the time, we can use the concept of standard deviations.
For a normal distribution, about 68% of the data falls within one standard deviation of the mean, 95% falls within two standard deviations, and 99.7% falls within three standard deviations.
Since we know that the historical average annual return is 11% and the standard deviation is 6%, we can calculate the expected range.
1. First, find two standard deviations:
- Two standard deviations = 2 * 6% = 12%
2. Calculate the upper and lower bounds of the expected range:
- Upper bound = Historical average return + Two standard deviations
= 11% + 12% = 23%
- Lower bound = Historical average return - Two standard deviations
= 11% - 12% = -1%
Therefore, based on the historical data, your client can expect a return within the range of -1% to 23% with 95% confidence.
It's important to note that this estimation is based on historical data and assumes that the future returns will follow a similar distribution. It's always a good idea to consider other factors and conduct thorough analysis before making investment decisions.
To know more about historical visit:-
https://brainly.com/question/32333813
#SPJ11
Do you agree or disagree that world history revolves around money? Why or why not?
Answer:
I agree
Explanation:
Battles and soldiers during the world wars both 1 and 2 were surrounded by money to me because for instance when Hitler was around he was only there for the money and if it wasnt bc of that it was bc of the aryan race
but thats besides the fact that i believe that history is a mixed up feelng of what happened in that time era
hope this helps
A firm producing 7 units of output has an average total cost of Rs150 and has to pay Rs350 to its fixed factors of production whether it produces or not. How much of the average total cost is made up of variable costs?
Rs200
Rs50
Rs300
Rs100
The variable costs make up Rs100 out of the total average cost of Rs150. So, correct option is D
The total cost of production can be divided into two components: fixed costs and variable costs. Fixed costs are those costs that do not change with the level of output, while variable costs are those that do change with the level of output.
Given that the firm has an average total cost of Rs150 and has to pay Rs350 to its fixed factors of production, we can use the formula for average total cost:
Average Total Cost = Total Cost / Output
150 = (Total Fixed Cost + Total Variable Cost) / 7
Total Fixed Cost = Rs350 (given)
We can rearrange the equation to solve for Total Variable Cost:
Total Variable Cost = (Average Total Cost * Output) - Total Fixed Cost
Total Variable Cost = (Rs150 * 7) - Rs350
Total Variable Cost = Rs1050 - Rs350
Total Variable Cost = Rs700
Therefore, the variable cost per unit is:
Variable Cost per unit = Total Variable Cost / Output
Variable Cost per unit = Rs700 / 7
Variable Cost per unit = Rs100
So, the answer is (D) Rs100.
To learn more about costs click on,
https://brainly.com/question/13966441
#SPJ4
changes in capital spending can be negative when the acquisition of fixed assets is blank______ the sale of fixed assets.
Changes in capital spending can be negative when the acquisition of fixed assets is less than the sale of fixed assets.
The money that a business invests in purchasing, enhancing, or sustaining long-term assets like property, plant, and equipment is referred to as capital spending (PP&E). The amount of money spent on purchasing or upgrading assets might be larger or less than the money made from selling or disposing of assets, which will determine whether a company's capital spending is positive or negative.
A company's capital spending will be positive if it spends more on acquiring or improving assets than it does on selling or disposing of those assets. On the other side, a company's capital spending will be negative if it makes more money from selling or disposing of assets than it does from buying or improving them.
Thus, if fixed asset acquisition costs are lower than fixed asset sales costs, the company's capital expenditures will be negative.
For such more questions on fixed assets:
brainly.com/question/24083422
#SPJ4
Changes in capital spending can be negative when the acquisition of fixed assets is less than the sale of fixed assets.
The money that a business invests in purchasing, enhancing, or sustaining long-term assets like property, plant, and equipment is referred to as capital spending (PP&E). The amount of money spent on purchasing or upgrading assets might be larger or less than the money made from selling or disposing of assets, which will determine whether a company's capital spending is positive or negative.
A company's capital spending will be positive if it spends more on acquiring or improving assets than it does on selling or disposing of those assets. On the other side, a company's capital spending will be negative if it makes more money from selling or disposing of assets than it does from buying or improving them.
Thus, if fixed asset acquisition costs are lower than fixed asset sales costs, the company's capital expenditures will be negative.
Capital spending refers to the funds used by companies to acquire or upgrade their long-term assets, such as property, equipment, and technology. This type of spending is often used to improve efficiency, increase productivity, and expand a company's operations. Capital spending is a key component of business investment and can impact an organization's growth and profitability.
For such more questions on fixed assets
brainly.com/question/24083422
#SPJ4
Which margin is at the very bottom of the page when printing worksheets?
top margin
bottom margin
header margin
footer margin
Answer:
Footer Margin
Explanation:
Just took this :)
Answer:
Footer Margin
Explanation:
2. What are the problems can someone have without personal finance knowledge?
What are the eight differences between personal selling (direct contact) and non-personal selling (indirect contact, such as Internet sales)?
Answer:
see below
Explanation:
Personal selling is popularly known as a face to face selling or direct selling. In personal selling, the salesperson engages a potential customer in a conversation to persuade them to buy. This type of selling requires the physical presence of a salesperson engaging in a one-on-one conversation with the clients. Its success largely depends on the selling skills of the salesperson.
Non-personal selling is the use of advertisements to persuade customers to buy. There is no direct meeting between the seller and buyer; hence the term indirect, impersonal, or non-personal selling. Non-personal selling uses print media, broadcast media, and digital platforms to reach out to customers.
The static budget, at the beginning of the month, for Amira Company follows: Static budget Sales volume: 1,000 units, Sales price: $70.00 per unit Variable costs: $32.00 per unit; Fixed costs: $36,600 per month Operating income: $1,400 Actual results, at the end of the month, follows: Actual results: Sales volume: 980 units, Sales price: $74.00 per unit Variable costs: $35.00 per unit; Fixed costs: $34,200 per month Operating income: $4,020 Calculate the flexible budget variance for fixed costs. A. $2,400 F
B. $0 C. $2,400 U D. $3,380 F
The correct option is (C). The flexible budget variance for fixed costs is $2,400 unfavorable.
Flexible budget variance for fixed costs measures the difference between the actual fixed cost and the fixed cost in the flexible budget. It can be calculated by subtracting the fixed cost in the flexible budget from the actual fixed cost. In this case, the fixed cost in the flexible budget is $36,600, and the actual fixed cost is $34,200. The difference between the two is $2,400.
The formula for calculating the flexible budget variance for fixed costs is:
Flexible budget variance for fixed costs = Actual fixed cost - Fixed cost in the flexible budget
= $34,200 - $36,600
= -$2,400 (unfavorable)
Therefore, the flexible budget variance for fixed costs is $2,400 unfavorable, and the correct option is (C).
To know more about the flexible budget visit:
https://brainly.com/question/14202862
#SPJ11
Given the 2020 recession, what should be the goal of monetary policy? Should the Fed enact expansionary or contractionary policy? In other words, should the Fed increase the money supply/credit supply or decrease the money/credit supply. Explain what they might do to achieve their goal.
Answer:
Expansionary monetary policies
Explanation:
A recession is characterized by reduced economic activities, a high unemployment rate, and low business incomes. The economy experiences a reduced demand for products and services, leading to low production and a slow economic growth rate.
In a recession like in 2020, the Fed should employ measures that will stimulate economic growth. The appropriate measures are the expansionary monetary policies. These policies seek to increase liquidity in the market, thereby increasing the aggregate demand. Expansionary monetary policies increase the money supply in the economy; they include a reduction in the reserve requirement, reduction in the discount rate, and open market purchases.
Promotion involves telling customers about the right product available at the right place and _____.Multiple choice question.
Answer: at the right price
Explanation:
gross domestic product is the sum of the market value of the:
Answer:
The Gross Domestic Product measures the value of economic activity within a country. Strictly defined, GDP is the sum of the market values, or prices, of all final goods and services produced in an economy during a period of time.
Explanation:
Qusco Systems has 6.1 billion shares outstanding and a share price of $17.24. Quisco is considering developing a new networking product in house at a cost of $465 milion. Alteratively, Quico can acque a firm that already has the technology for $935 million worth (at the current price) of Quisco stock. Suppose that absent the expense of the new technology, Quisco will have EPS of 50 60 a. Suppose Quisco develops the product in house. What impact would the development cost have on Quisco's EPS? Assume all costs are incurred this year and are treated as an R&D expense, Quiso's tax rate is 35%, and the number of shares outstanding is unchanged. b. Suppose Quisco does not develop the product in house but instead acquires the technology. What effect would the acquisition have on Quisco's EPS this year? (Note that acquistion expenses do not appeal directly on the income statement Assume the firm was acquired at the start of the year and has no revenues or expenses of its own, so that the only effect on EPS is due to the change in the number of shares outstanding) c. Which method of acquiring the technology has a smaller impact on earings? Is this method cheaper? Explain a. Suppose Quisco develops the product in house. What impact would the development cost have on Quisco's EPS? Assume all costs are incured this year and are treated as an R&D expense, Queco's tex rate is 30% end the number of shares outstanding is unchanged Quisco's new EPS would be (Round to the nearest cent) b. Suppose Quisco does not develop the product in house but instead acquires the technology What effect would the acquisition have on Quisco's EPS this year? (Note that acquisition expenses do not appor directly on the income statement Assume the form was acquired at the start of the year and has no revenues or expenses of its own, so that the only affect on EPS is due to the change in the number of shares outstanding) Quisico's EPS with the purchase is 5 (Round to the nearest cont.) Quisco Systems has 61 billion shares outstanding and a share price of $17.24. Quisco is considering developing a new networking product in house at a cost of $465 million Alternatively, Quisco can acouine a firm that already has the technology for $935 million worth (at the current price) of Quisco stock. Suppose that absent the expense of the new technology. Quisco will have EPS of $0.68 a. Suppose Quisco develops the product in house. What impact would the development cost have on Quisco's EPS? Assume all costs are incurred this year and are treated as an R&D experie. Qu rate is 35%, and the number of shares outstanding is unchanged. b. Suppose Quisco does not develop the product in house but instead acquires the technology. What effect would the acquisition have on Qusco's EPS this year? (Note that acoustion permes d directly on the income statement Assume the firm was acquired at the start of the year and has no revenues or expenses of its own, so that the only effect on EPS is due to the change in the number of shame outstanding) c. Which method of acquiring the technology has a smaller impact on camnings? Is this method cheaper? Explain mem In the y b. Suppose Quinco does not develop the product in house but instead acquires the technology. What effect would the acquisition have on Quisico's EPS this year? (Note that acquisition expenses do not appear directly on the income statement Assume the firm was acquired at the start of the year and has no revenues of expenses of its own, so that the only effect on EPS is due to the change in the number of shares outstanding Quisco's EPS with the purchase is $(Round to the nearest cent) c. Which method of acquiring the technology is cheaper for Quisco? (Select from the drop-down menu) is cheaper for Quisco Next
a. The development cost of $465 million would decrease Quisco's EPS by approximately $0.006 ($0.01 rounded to the nearest cent).
b. The acquisition would decrease Quisco's EPS by approximately $0.015 ($0.02 rounded to the nearest cent).
c. Acquiring the technology through in-house development has a smaller impact on earnings and is cheaper for Quisco.
a. To calculate the impact of development costs on Quisco's EPS, we need to determine the after-tax expense.
Given that the tax rate is 35% and the development cost is $465 million, the after-tax expense is calculated as:Therefore, the development cost would decrease Quisco's EPS by approximately $0.05.
b. If Quisco acquires the technology by purchasing the firm, the impact on EPS is determined solely by the change in the number of shares outstanding. The acquisition cost of $935 million is not directly reflected on the income statement.
To calculate the effect on EPS, we divide the acquisition cost by the number of shares outstanding:
Effect on EPS = Acquisition cost / Number of shares outstanding
Effect on EPS = $935 million / 6.1 billion
Effect on EPS ≈ $0.153 ≈ $0.15 (rounded to the nearest cent)
Therefore, the acquisition would decrease Quisco's EPS by approximately $0.15.
c. Comparing the two methods, we find that developing the product in-house has a smaller impact on earnings. The development cost reduces EPS by approximately $0.05, whereas the acquisition decreases EPS by around $0.15. In terms of cost, acquiring the technology is more expensive as it requires issuing stock worth $935 million, whereas the development cost is $465 million. Therefore, developing the product in-house has a smaller impact on earnings and is cheaper for Quisco.
For more such question on EPS
https://brainly.com/question/28506840
#SPJ8
what kind of employees can fill the three levels of management
Answer:
hierarchy: Any group of objects ranked so that every one but the topmost is subordinate to a specified one above it.
manager: A person whose job is to manage something, such as a business, a restaurant, or a sports team.
board of directors: A group of people, elected by stockholders, to establish corporate policies, and make management decisions.
top management: company employees responsible for controlling and overseeing the entire organization
middle management: company employees that are accountable for controlling and overseeing a department
Explanation:
Most organizations have three management levels:
Low-level managers;
Middle-level managers; and
Top-level managers.
These managers are classified in a hierarchy of authority, and perform different tasks. In many organizations, the number of managers in every level resembles a pyramid.
Top-level managers
The board of directors, president, vice-president, and CEO are all examples of top-level managers.
These managers are responsible for controlling and overseeing the entire organization. They develop goals, strategic plans, company policies, and make decisions on the direction of the business.
In addition, top-level managers play a significant role in the mobilization of outside resources.
Top-level managers are accountable to the shareholders and general public.
Middle-level managers
General managers, branch managers, and department managers are all examples of middle-level managers. They are accountable to the top management for their department’s function.
Middle-level managers devote more time to organizational and directional functions than top-level managers. Their roles can be emphasized as:
Low-level managers
Supervisors, section leads, and foremen are examples of low-level management titles. These managers focus on controlling and directing.
Low-level managers usually have the responsibility of:
How Woolworths lessen its impact on the environment
Woolworths lessen its impact on the environment b saying that we can lower the amount of waste that humans do send to landfill, an also recycling what we are able to recycle and also the use of recyclable materials where we can.
What is Woolworths said to be doing to be sustainable?He stated that man is said to be committed to cultivating greener environment every day and this act to reduce emissions, remove food waste, lower plastic and also handles the issue of sourcing responsibly.
He stated that they were proud to share the journey about their sustainability journey with all , due to the various steps that they all take to create a better tomorrow for all future generations.
Hence, Woolworths lessen its impact on the environment b saying that we can lower the amount of waste that humans do send to landfill, an also recycling what we are able to recycle and also the use of recyclable materials where we can.
Learn more about waste from
https://brainly.com/question/3406415
#SPJ1
compared to a perfectly competitive market, consumer surplus is lower in a monopoly by an amount equal to the
Compared to a perfectly competitive market, consumer surplus is lower in a monopoly by an amount equal to the difference between the monopolist's price and the price that would prevail under perfect competition.
In a perfectly competitive market, firms compete with each other, which leads to the market equilibrium being achieved at the point where the marginal cost of production is equal to the market price. This results in a socially optimal outcome, where consumers receive the maximum possible surplus, and firms earn normal profits. However, in a monopoly, the firm has market power, which allows it to set a higher price than the competitive market price, resulting in a lower quantity of output being produced and a decrease in consumer surplus. The difference between the monopolist's price and the competitive market price represents the reduction in consumer surplus. This reduction in consumer surplus is due to the monopolist's ability to charge a higher price than would prevail under perfect competition, resulting in a deadweight loss to society, where some potential gains from trade are lost.
To know more about monopoly visit :
https://brainly.com/question/31918762
#SPJ11
rent received Rs. 10,000/-
Answer:
Okay, but where is the question or it's free points?
The sum of two number is 7 and their difference 1 need answer so hurry
Answer:
3 & 4
Explanation:
Let the two number be 'a' and ' b'.
a + b = 7
a - b = 1
Adding the two equations
2a = 6
a = 6/2
a = 3
Substituting 'a' in any equation
a + b = 7
3 + b = 7
b = 7-3
b =4
The two numbers are 3 and 4
An injunction that requires a defendant to take an action or set of actions is
an) injunction
A. permanent
B. prohibitory
C. mandatory
Ο Ο
D. interim

Answer:
C. mandatory
Explanation:
A law can be defined as the system of principles, regulations and rules established by legislature, that is adopted in a community, society or country to regulate the actions of its citizens, members or employees.
Thus, law is a tool used by the judiciary, lawyers, individuals, organizations, and even government to ensure everybody is well behaved, non-criminal and civil in their actions. Therefore, a law creates the foundation for ethical behavior.
In circumstances where there are aberration, the law is enforced as a punishment and penalty for wrongdoings or misdeeds.
There are various types of law and these includes; criminal law, constitutional law, intellectual property law, corporate law, international law, family law, civil law, etc.
An injunction can be defined as a legal and equitable court order compelling (commanding) or prohibiting an individual, group or entity to either perform or cease from performing a specific action.
Basically, a court of competent jurisdiction is empowered by law to grant an injunction to a third party for further examination and trial.
Similarly, an injunction that requires a defendant or plaintiff to take an action or set of actions is a mandatory injunction.
Answer:
C. mandatory
Explanation:
Temporary and Permanent Injunctions ( Sections 36 & 37)Perpetual Injunctions ( Section 38)Mandatory Injunctions ( section 39)Damages in lieu of or in addition to Injection( Section 40)Injunction to perform a negative covenant( section 42)If martha set a goal for employees to sell $60,000 of merchandise during the month of december and gave them a directive to reorganize the break-room under the same deadline, then employees might question which of the five essential goal-accomplishment factors?.
If martha set a goal for employees to sell $60,000 of merchandise during the month of december and gave them a directive to reorganize the break-room under the same deadline, then employees might question Relevancy of the five essential goal-accomplishment factors.
Why is relevance important?
The connection between something and the topic at hand. alternatives significance. Synonyms for irrelevance include irrelevancy. the absence of any connection between something and the issue at hand.something not having any connection to the situation at hand.Relevance is a measure of how well something fits in with what is being said or done at a certain moment. The discussion of soil Ph during a gardening instruction serves as an illustration of relevance.What significance does relevance have?
Relevance has established itself as an essential yet difficult concept in formal reasoning. It is crucial because identifying the pertinent components from which a solution can be built is the first step in solving any problem.Learn more about Relevance
brainly.com/question/2385805
#SPJ4
Chenglei, an IT manager, has been studying the actions that his workers perform in an attempt to improve their productivity. Chenglei is utilizingA) job evaluationB) management science.C) behaviorism.D) the Hawthorne effect.E) scientific management
Answer: scientific management
Explanation:
Which of the following is the term used to describe costs which change day to day, week to week and month to month based on business activities?
Answer:
Variable costs
Explanation:
Variable costs is the term that describes business costs that vary with the production level. An increase in output increases the variable costs. Variable costs are progressive and increase or decrease with the production volume.
Examples of variable costs include raw material and distribution costs. Variable costs contrast with fixed costs, which remain constant throughout a financial period.
while working on an analysis, a data analyst learns that their team did not account for bias when they originally gathered the data. how might this factor affect the conclusion produced by the analysis?
Failure to account for bias in data collection can lead to inaccurate representations, misleading trends, unreliable estimates, unfair outcomes, and limited generalizability in the analysis.
The failure to account for bias in data collection can significantly impact the conclusions drawn from an analysis. Bias refers to systematic errors or distortions in data that arise from various sources, such as sampling methods, survey design, respondent selection, or data collection procedures.
Here's how this factor can affect the conclusion produced by the analysis:
Inaccurate representation: If bias is present in the data, the sample may not accurately represent the population of interest. This can lead to skewed or unrepresentative findings, as the conclusions are based on a subset of the population that does not reflect its true characteristics.
Misleading trends and relationships: Bias in data collection can introduce misleading trends or relationships between variables. It may create false correlations or hide significant relationships, leading to incorrect interpretations. Consequently, decisions or actions based on these findings may be misguided or ineffective.
Unreliable estimates: Bias can compromise the reliability and validity of estimates or measurements derived from the data. Statistical analyses, such as means, proportions, or regression coefficients, may be inaccurate or biased, undermining the robustness of the conclusions.
Unfair or discriminatory outcomes: Bias in data collection can perpetuate or amplify existing biases or inequalities in society. If certain groups or perspectives are systematically excluded or underrepresented, the analysis may reinforce existing biases, leading to unfair or discriminatory outcomes.
Limited generalizability: If bias is present, the conclusions may have limited generalizability beyond the specific context of the biased data. Extrapolating the findings to a broader population or different settings may lead to flawed or misleading conclusions.
In summary, failing to account for bias in data collection can lead to inaccurate representations, misleading trends, unreliable estimates, unfair outcomes, and limited generalizability in the analysis. It is crucial for data analysts to acknowledge and address bias to ensure the validity and credibility of their conclusions.
For more question on misleading visit:
https://brainly.com/question/29818902
#SPJ8
QUESTION 2 of 10: Medicare is a government program funded by tax dollars to:
a) Provide health insurance to children
b) Provide health insurance to working adults
c) Provide hospital insurance for those over 65
as a manager, corbin must inform his staff that all employees must now contribute more to their health insurance premiums. what advice should corbin follow when delivering his message?
As a manager, Corbin must inform his staff that all employees must now contribute more to their health insurance premiums. What advice should Corbin follow when delivering his message Be honest and provide the important reasons for the increase in individual contributions.
Delete the sender's message header, signature, and all pointless parts. What is the modern-day recommendation on using a greeting on commercial enterprise electronic mail Begin with a greeting to offer a visible cue and to reveal friendliness.Open with a assertion of honest praise, an goal assertion of the problem, or a factor of agreement. Professional entrepreneurs and salespeople comply with the AIDA approach of their income messages due to the fact it's far effective.
The first and maximum crucial rule of providing your paintings is to recognize your target market members. If you may place yourself of their footwear and apprehend what they need, you will be nicely to your manner to a a success presentation. Keep the target market in thoughts in the course of the instruction of your presentation.
Learn more about insurance premiums here:
https://brainly.com/question/29313586
#SPJ4
here is a riddle
What goes up but never comes down?
Answer:
your age?
Explanation:
simply you grow up but there is no way you can become smaller/kid or a baby again
Answer: your height
Explanation:
That’s why they call it “growing up”
Nearly all early telephones were installed in businesses, because
a) people were afraid that telephones were dangerous.
b) people thought that the government was using telephones as eavesdropping devices.
c) only men were allowed to use a telephone.
d) most homes did not have electricity.
e) leasing a telephone was expensive.
The correct answer is d. most homes did not have electricity.
During the early days of telephone technology, particularly in the late 19th and early 20th centuries, the infrastructure for electricity was not widespread in many residential areas. As a result, most homes did not have access to electricity, making it impractical to install telephones in households.
Electricity was necessary for powering the telephone system, including transmitting and receiving calls. Therefore, businesses, which were more likely to have electricity installed, were the primary locations for early telephone installations. They had the necessary infrastructure to support telephone communication.
To know more about powering visit-
brainly.com/question/15228306
#SPJ11
Help!
Which federal agency oversees how clean and how appropriately a restaurants prepare and store foods?
Answer:
FDA's Center for Food Safety and Applied Nutrition (CFSAN) seeks to ensure that these foods are safe, sanitary, nutritious, wholesome, and honestly and adequately labeled.
Explanation:
What is a whistleblower?
A. A person who witnesses illegal or unethical behavior and doesn't
report it
B. A person who reports on a business or organization engaging in
illegal or unethical activities
C. A person who is involved in illegal or unethical activities within a
company
D. An organization that reports the illegal or unethical activities of
another organization
A person who witnesses illegal or unethical behaviour and doesn't report it is a whistleblower. Hence, option A is correct.
What is whistleblower?Whistleblowers are those who disclose the appropriate information to the appropriate parties. A legal whistleblower is someone who provides information to a designated receiver that they frankly believe demonstrates wrongdoing, to put it another way.
Employees who reveal malpractice they believe is in the public interest are known as whistleblowers. Whistleblowing can take several forms, including reporting theft and unethical or unfair workplace behaviour like racism, sexism, or homophobia.
The US police were the first group to be called "whistle blowers," as they blew whistles to draw attention to wrongdoing and sailors would "whistle for it" when a wind was needed to free a becalmed ship.
Thus, option A is correct.
For more information about whistleblower, click here:
https://brainly.com/question/28319822
#SPJ2
Which action by the government would be used in expansionary monetary policy?
a. decreasing the reserve requirement
b. raising the federal funds rate target
c. selling more bonds to the general public
d. increasing the discount rate
The most important equipment that central banks use to expand monetary coverage encompass lowering the bargain rate, growing the buy of government securities, and reducing the reserve requirement.
What happens if the government of a u . s . a . uses expansionary financial policy?a. reducing the reserve requirement b. elevating the federal funds rate target c. selling more bonds to the conventional public d. increasing the cut price rate
Expansionary economic policy is when a central bank makes use of its equipment to stimulate the economy. That will increase the cash supply, lowers activity rates, and will increase demand. It boosts financial growth. It lowers the price of the currency, thereby decreasing the alternate rate.
What is the policy action in an expansionary economic policy to promote financial growth?Expansionary economic coverage goals to spur monetary growth via expanded liquidity. Increased money provide promotes monetary growth. It takes place because companies and people seem to be to capitalize upon the without difficulty accessible dollars by means of task increased investments, expanding operations, and growing consumption.
Learn more about expansionary here;
https://brainly.com/question/30097286
#SPJ1