Some American multinational corporations claim that the passage of the Foreign Corrupt Practices Act (FCPA) severely reduces their ability to compete in the global marketplace. Therefore, the correct option is (B)
The FCPA is a U.S. law enacted in 1977 that prohibits American companies from engaging in bribery and corrupt practices when conducting business abroad. It applies to both U.S. companies and foreign companies listed on U.S. stock exchanges. The FCPA imposes strict penalties on companies found guilty of bribery, including hefty fines and potential imprisonment for individuals involved.
Some multinational corporations argue that the FCPA puts them at a competitive disadvantage compared to companies from countries with less stringent anti-bribery laws. They claim that competitors who are not bound by similar regulations can secure business deals through unethical means, giving them an unfair advantage in the global marketplace.
However, it is important to note that the FCPA is designed to promote ethical business practices and combat corruption on a global scale. It aims to create a level playing field by discouraging bribery and corruption, which can undermine fair competition and economic development.
The FCPA also helps protect the reputation of American companies operating overseas by fostering transparency and integrity. While some corporations may argue that the FCPA limits their competitive edge, the law ultimately contributes to a more ethical business environment and helps maintain the credibility and trustworthiness of American multinational corporations in the global marketplace. And hence, (B) is the correct option
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Complete the following sentence. Remember to spell correctly.
When supply exceeds demand, a market
occurs
Answer:
bear
Explanation:
Answer:
bear
Explanation:
hope this helps ;)
Distinguish between 'value' and 'price'.
3. Explain how productivity affects economic growth.
Answer:
Productivity increases have enabled the U.S. business sector to produce nine times more goods and services since 1947 with a relatively small increase in hours worked. With growth in productivity, an economy is able to produce—and consume—increasingly more goods and services for the same amount of work.
Explanation:
100 points please help. let’s say eur/usd is trading at=1.1872. So if I have a forex account worth 100$ and I use a leverage of 1:100 I have 10000$ of buying power so if buy a mini lot of eur/usd. Do I only need to pay 10k or the quote price which would be 11872$ that I need to pay?
Answer:
With 100:1 leverage a trader can open a position 100 times greater than they could without leverage. For example, if the cost to purchase . 01 lots of EUR/USD is normally $1000 and the broker offers 100:1 leverage, then the trader must put up only $10 as margin.
Explanation:
Select four variables that affect farm incomes.
policies and regulations
policies and regulations
rural development
rural development
trade barriers
trade barriers
global supply and demand
global supply and demand
natural resources
natural resources
the weather
the weather
nutrition
nutrition
hectares
Answer:
rural development
global supply and demand
the weather
Suppose the required reserve ratio is 0.12, the currency ratio is 0.6, and the excess reserve ratio is 0.03. If the Fed decreases the money base by $5 billion, the change in money supply will equal:
$15.34 billion
$10.67 billion
$9.87 billion
To determine the change in money supply, we need to use the money multiplier formula:Money Multiplier = 1 / Required Reserve Ratio
Given that the required reserve ratio is 0.12, the money multiplier is:Money Multiplier = 1 / 0.12 = 8.33
Next, we need to determine the change in the money base due to the Fed's actions. Since the excess reserve ratio is 0.03, banks hold $0.03 of every dollar in reserves, leaving $0.97 to be loaned out. Also, since the currency ratio is 0.6, only $0.4 of every dollar is held as deposits. Therefore, the initial money base is:
Initial Money Base = Excess Reserves + Required Reserves + Currency
Initial Money Base = (0.03 x $3000 billion) + (0.12 x $3000 billion) + ($65 billion x 0.4)
Initial Money Base = $90 billion + $360 billion + $26 billion
Initial Money Base = $476 billion
If the Fed decreases the money base by $5 billion, the new money base will be:
New Money Base = Initial Money Base - Decrease in Money Base
New Money Base = $476 billion - $5 billion
New Money Base = $471 billion
Finally, we can calculate the change in the money supply as follows:
Change in Money Supply = Money Multiplier x Change in Money Base
Change in Money Supply = 8.33 x (-$5 billion)
Change in Money Supply = -$41.65 billion
Therefore, the change in money supply due to the Fed's actions will be a decrease of $41.65 billion.
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Anthem Company has 100,000 shares authorized, 96,000 shares issued, and 23,000 shares of treasury stock. Determine the number of shares outstanding.
The number of outstanding shares is 73,000 shares.
What are the outstanding shares?Shares outstanding refer to a company's stock that is currently held by all its shareholders. They exclude treasury stock, but include:
Block shares held by institutional investors Restricted shares owned by the company's officers and insiders.Outstanding shares appear on a company's balance sheet under “Capital Stock.”
Data and Calculations:Authorized shares = 100,000
Issued shares = 96,000
Treasury stock = 23,000
Outstanding shares = 73,000 (96,000 - 23,000)
The number of outstanding shares is 73,000 shares.
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(a) Consider an AD-AS model with Static Expectations. Show how changes in monetary policy generate short-run movements in output.
(b) Consider an AD-AS model with Rational Expectations. Show how changes in the unanticipated component of monetary policy generate short-run movements in output.
(c) Explain how overlapping wage contracts generate persistence in output when there are monetary policy shocks.
(a) Changes in monetary policy in an AD-AS model with Static Expectations cause instantaneous shifts in the aggregate demand curve, leading to short-run movements in output.
(b) Unanticipated monetary policy in an AD-AS model with Rational Expectations generates short-run movements in output, with unexpected expansionary policy raising output and unexpected contractionary policy reducing it.
(c) Overlapping wage contracts create persistence in output when there are monetary policy shocks due to the stickiness of wages, causing firms to adjust production levels and leading to a gap between prices and wages.
(a) Changes in monetary policy generate short-run movements in output in an AD-AS model with Static Expectations. These models incorporate a situation where prices are assumed to be fixed in the short run. In the AD-AS model with static expectations, the effects of a change in monetary policy are instantaneous, and the economy moves from one short-run equilibrium to another.
Monetary policy shifts the aggregate demand curve, which changes the equilibrium of the short-run output level and the price level. A rise in the supply of money causes interest rates to fall, and the demand for investment and consumer goods and services rises. This shift causes the aggregate demand curve to shift to the right, and output expands.
(b) The unanticipated component of monetary policy generates short-run movements in output in an AD-AS model with Rational Expectations. In Rational Expectations, changes in the policy are anticipated by consumers and firms.
When a monetary policy surprises consumers and firms, the unanticipated component of the monetary policy causes short-run movements in output. The unexpected expansionary monetary policy can raise the level of output in the short run, whereas unexpected contractionary monetary policy can reduce it.
(c) Overlapping wage contracts generate persistence in output when there are monetary policy shocks. Contracts, such as wage contracts, are made based on the previous price level, and the current level of output and prices are not considered. Therefore, when there are unexpected monetary shocks, wages remain sticky in the short run, and output remains at its previous level.
The aggregate demand curve shifts, and the price level increases or decreases accordingly. But, as wages do not respond to the changes, this creates a gap between the new prices and wage levels, causing the firms to cut back on the production, reducing the level of output in the short run. Therefore, overlapping wage contracts generate persistence in output when there are monetary policy shocks.
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1. The formula for continuously compounded interest is A = Pe^rt, where A is the amount of money in the account, P is the initial investment, r is the interest rate, and t is the time in years. Using the formula, determine, to the nearest dollar, the amount in the account after 8 years if $750 is invested at an annual rate of 3%
Answer:
the amount in the account after 8 years is $954
Explanation:
The computation of the amount in the account after 8 years is shown below"
Given that
The formula for continuously compound interest is
Amount = Principal e^(rate) (time period)
= $750 × e^(0.03)(8)
= $954
Hence, the amount in the account after 8 years is $954
The same is to be considered by applying the above formula
Which role of the Vendor Business Partner has integration with the Reconciliation Account in Financial Accounting?BP Grouping
Supplier Role
General BP Role
FI Vendor Role
The role of the Vendor Business Partner that has integration with the Reconciliation Account in Financial Accounting is the FI Vendor Role.
In SAP Financial Accounting (FI), the FI Vendor Role is responsible for managing vendor-related transactions and integrating with the Reconciliation Account. The Reconciliation Account is a general ledger account used to track and reconcile vendor transactions. The FI Vendor Role allows users to perform vendor-related activities such as creating and maintaining vendor master data, processing vendor invoices, managing payments, and generating financial reports. This role ensures that vendor transactions are accurately recorded and reconciled in the financial statements.
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verify describe the distillation process of alcohol
A description of how business-to-business marketing differs from consumer marketing must include the fact that business-to-business marketing ________.
A description of how business-to-business marketing differs from consumer marketing must include the fact that business-to-business marketing is the marketing of goods and services that businesses and other organizations buy for purposes other than personal consumption.
Advertising and marketing is the manner of exploring, developing, and turning in value to satisfy the desires of a target marketplace in phrases of products and services; probably together with choice of an audience. It's miles, in quick, an motion taken to bring attention to an enterprise's offerings; they may be bodily items on the market or offerings provided. Not unusual examples of advertising at paintings consist of tv commercials, billboards on the aspect of the road, and mag commercials. There are 5 advertising principles that companies undertake and execute. These are; (1) manufacturing idea, (2) product idea, (three) selling idea, (four) marketing idea, and (five) societal advertising and marketing concept.
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Which economic effect does a central bank hope to achieve by buying back large amounts of treasury security
A. It hopes to reduce the amount of money available for lending.
Explanation:
Usually, the central bank(Federal reserve) control the supply of money in circulation in the economy so that the nation's economy would be healthy. One of the ways through which the federal reserve controls the quantity of money in circulation is by selling or purchasing of government securities through a process known as open market operation.
If the federal reserve sells government securities such as treasury bills, in large quantities, its aim is to reduce the amount or quantity of money available to commercial banks for lending, hence mop up the quantity of money in circulation.
Also, if the federal reserve buys government securities, its aim is to make more money available in large quantities to commercial banks and other institutions, hence have more cash to lend people.
The economic effect that central bank are trying to effect by the process of buying back large amounts of treasury security is bring reduction to amount of money available for lending.
Treasury notes as well as bonds are securities that brings about payment of fixed rate of interest which is usually done every six months till the security reach a stage of maturity.The central bank do buy large amounts of treasury security so that the money that can be available for lending can be reduced.Therefore, this process are put in place to balance the economy.
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Housing Starts
What does it mean for this indicator to be cyclical?
Answer:
The cyclical indicator is extensively used as a business cycle analysis tool, employs a series of variables which tend to anticipate, coincide with or lag behind the movements of economic activity to indicate the phases of the business cycle.
Explanation:
A party can be discharged from a contract. Name eight ways thata party can be discharged.
A party can be discharged from a contract by impossibility of performance, breach of contract, rescission, frustration of purpose, operation of law and illegality.
1. Performance: The parties fulfill all the terms and conditions of the contract, and the contract comes to an end. A party is discharged from a contract when they have fully performed their contractual obligations.
2. Mutual agreement: Both parties agree to end the contract by mutual consent. Both parties may mutually agree to terminate the contract, thereby discharging their obligations.
3. Impossibility of performance: The performance of the contract becomes impossible due to unforeseeable events, such as war, natural disasters, or death of the parties involved.
4. Breach of contract: A party breaches the contract, and the non-breaching party can choose to terminate the contract. If one party breaches the contract, the other party can be discharged from their obligations.
5. Rescission: One party can request the court to rescind or cancel the contract due to misrepresentation, fraud, or mistake.
6. Frustration of purpose: The objective of the contract becomes meaningless due to unforeseeable events, such as a change in law or regulation.
7. Operation of law: The contract becomes illegal due to a change in the law, or the contract is declared void by the court. A party can be discharged by operation of law, such as bankruptcy, which makes it impossible for the party to fulfill their contractual obligations.
8. Illegality: If the subject matter of the contract becomes illegal or the contract itself is found to be against public policy, a party can be discharged from the contract.
By understanding these eight ways, you can better navigate the circumstances that may lead to a party being discharged from their contractual obligations.
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Kruger Heavy Machine Inc. has an opening cash balance of $2,000. During the year, it purchased raw materials worth $5,000, sold goods worth $10,000, and paid office rent of $4,000. What is the company’s closing cash balance that it will carry forward into the next year?
A.
$9,000
B.
$3,000
C.
$7,000
D.
$6,000
Answer:
the answer is B. $3,000
Explanation:
basically you do
2000-5000= -3000
-3000+10,000=7000
7000-4000=3000
chokhani textiles is debating between a levered and an unlevered capital structure. the all-equity capital structure would consist of 60,000 shares of stock. the debt and equity option would consist of 45,000 shares of stock plus $250,000 of debt with an interest rate of 7.25 percent. what is the break-even level of earnings before interest and taxes between these two options? ignore taxes.
To determine the break-even level of earnings before interest and taxes (EBIT) between the all-equity and debt and equity options, we need to find the point where the two options result in the same earnings.
Let's calculate the break-even EBIT:
For the all-equity option:
EBIT - 0 (no interest expense) = Net Income
For the debt and equity option:
EBIT - Interest Expense = Net Income
Given that the debt is $250,000 and the interest rate is 7.25 percent, the interest expense can be calculated as follows:
Interest Expense = Debt × Interest Rate
Interest Expense = $250,000 × 0.0725
Interest Expense = $18,125
Now, we can set up the equation to find the break-even EBIT:
EBIT - 0 = EBIT - $18,125
Simplifying the equation, we find:
18,125 = EBIT - EBIT
18,125 = 0
Since there is no valid solution for the equation, it indicates that there is no break-even point between the two options. The break-even point occurs when the two options have the same net income, but in this case, it is not possible to achieve equality between the net incomes.
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frq (i) describe one agricultural practice that can lead to the degradation of agricultural land.
One agricultural practice that can lead to the degradation of agricultural land is excessive use of chemical fertilizers and pesticides.
Excessive use of chemical fertilizers and pesticides is a common agricultural practice that can result in the degradation of agricultural land. While these inputs are often used to enhance crop growth and protect plants from pests and diseases, their overuse can have negative consequences for the environment and soil health.
Chemical fertilizers, when applied in excessive amounts, can lead to nutrient imbalances in the soil. The excessive accumulation of nutrients, such as nitrogen and phosphorus, can result in nutrient runoff and leaching into water bodies, causing water pollution and harmful algal blooms. This not only affects aquatic ecosystems but also disrupts the natural nutrient cycling processes in the soil.
Similarly, the excessive use of pesticides can have detrimental effects on agricultural land. Pesticides are designed to kill or control pests, but they can also harm beneficial organisms such as pollinators, natural predators, and soil microorganisms. The indiscriminate use of pesticides can disrupt the natural balance of ecosystems, leading to a decrease in biodiversity and the emergence of pesticide-resistant pests.
Furthermore, the continuous use of chemical fertilizers and pesticides without proper soil management practices can degrade soil structure, decrease soil fertility, and reduce its ability to retain water. This can result in soil erosion, loss of topsoil, and decreased productivity of agricultural land over time.
To mitigate the degradation of agricultural land, sustainable agricultural practices such as organic farming, integrated pest management, crop rotation, and soil conservation techniques should be adopted. These practices promote soil health, biodiversity, and the long-term sustainability of agricultural systems.
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USA TEST PREP HELP ILL GIVE BRAINLIEST. If both monetary policy and fiscal policy were used at the same time to contract the economy, which set correctly describes the likely result of these actions?
A) A
B)B
C)C
D)D
Answer:
I am unsure of the answer but it can be narrowed down to B D or E because the GDP would decrease.
How Eager Are You for College?
Answer:
A LOT
Explanation:
BECAUSE EVERYTIME I REALLY BE WANTING TO GO TO COLLEGE TO BE SUCCESSFUL
Adam invests his scholarship money of $5,000 into a five-year bond paying 5% simple interest annually. what will be his future value of his deposit after the five-year period?
Answer: 6,250
Explanation:
Witch method of commuting is most likely to reduce your need to go to the gym or get a treadmill
Answer:
Walking or using of bicycle
Explanation:
Use of legs are needed in both method of commuting. Leg muscles will be worked up and it also produces sweat that is equivalent to gym exercise
The impact of Furman v. Georgia (1972) was that states had to
promise to use the death penalty only with approval from the Supreme Court.
throw out the old Miranda warning and write a new one.
agree to throw out all state laws regarding crime and impose national standards.
create clear standards to be applied fairly before imposing the death penalty.
Answer: D.create clear standards to be applied fairly before imposing the death penalty.
Explanation: The answer it's right there
The impact of Furman v. Georgia (1972) was that states had to
create clear standards to be applied fairly before imposing the death penalty.The Furman v. Georgia caseThis was a case that had to do with the cruel and the unusual way that people faced in the death penalty.
The case ruled that the death penalty was unconstitutional if it was applied in a discriminatory way.
It ruled that the eight amendment was being violated if used in this way.
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The time for one rotation of the Moon is 27.3 days. What is the time revolution for the Moon?
24 hours
365 days
27.3 days
24 days
The moon revolves around the Earth for 27 days, 7 hours, and 43 minutes. Revolving is basically rotating so your pretty much correct.
Answer: 27.3 days
Explanation:
The current average income for American households is approximately $56,000 per year. According to the reading
assignment, Social Security benefits replace approximately 40% of your pre-retirement earnings. Calculate the expected SS monthly benefit
for the average American family.
Answer:it was c
Explanation:
Expected Monthly Benefit is $1866.67
Given that;
Current average income for American households = $56,000
Social Security benefits = 40% of pre-retirement earnings
Find:
Expected Monthly Benefit
Computation:
Expected Monthly Benefit = [Current Average Income × Replacement] / 12
Expected Monthly Benefit = [56000 × 40%] / 12
Expected Monthly Benefit = $1866.67
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1. Understanding the how's and the why's of being an Indigenous People is a great help of knowing the answer of how important the purpose of the indegenous Economy in which its existence connects to modern economics.-true/ false
2. The concept in which United Nations Declaration on the Rights of Indigenous Peoples (UNDRIP), focuses into the right to self- determination, the right to an economy, and the right to continue the way of life as Indigenous peoples at all times.-true/ false
3. An Indigenous Economy embraces the restorative and or regenerative nature, that is, an economy focuses on process to responsibility, based on the concept on reciprocity, it works to connect both the natural and supernatural world, focuses as well on the inter-relationship of species on decision making, future basis and has a sense of responsibility and long term inter-relational decision making. -true/ false
True. Understanding how and why being an Indigenous People is important can help in knowing the purpose of the Indigenous Economy. This knowledge helps to connect the existence of the Indigenous economy to modern economics.
An Indigenous Economy focuses on process to responsibility, based on the concept of reciprocity. It embraces the restorative and regenerative nature, connecting both the natural and supernatural worlds. An Indigenous Economy focuses on the inter-relationship of species on decision making, future basis and has a sense of responsibility and long term inter-relational decision making.
Indigenous economies are very important, and their existence connects to modern economics. The knowledge of the importance of Indigenous people and their purpose in the Indigenous economy helps to connect the two. The United Nations Declaration on the Rights of Indigenous Peoples (UNDRIP) recognizes and focuses on the rights of Indigenous people. This includes the right to self-determination, the right to an economy, and the right to continue the way of life as Indigenous peoples at all times.An Indigenous economy is focused on process to responsibility, based on the concept of reciprocity. It embraces the restorative and regenerative nature, connecting both the natural and supernatural worlds. An Indigenous Economy focuses on the inter-relationship of species on decision making, future basis and has a sense of responsibility and long term inter-relational decision making.
In conclusion, an Indigenous economy is crucial in the recognition and preservation of the rights of Indigenous people.
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telling, selling, participating, and delegating represent the four leadership styles identified in:
Telling, selling, participating, and delegating represent the four leadership styles identified in situational leadership theory. The correct answer is option D.
Situational Leadership Theory (SLT) was developed by Paul Hersey and Ken Blanchard in the late 1960s and early 1970s.
According to SLT, effective leadership depends on selecting the right leadership style to fit the situation.
The four leadership styles mentioned above are based on two dimensions:
1)the level of support and
2)the level of directive behavior provided by the leader.
The leader's behavior can range from high directive and low supportive behavior to the low directive and high supportive behavior, resulting in four leadership styles: telling (high directive, low supportive), selling (high directive, high supportive), participating (low directive, high supportive), and delegating (low directive, low supportive).
So, the correct answer is option D. situational leadership theory.
The complete question is -
Telling, selling, participating, and delegating represent the four leadership styles identified in
A. path-goal theory.
B. transformational leadership theory.
C. leadership competencies theory.
D. situational leadership theory.
E. implicit leadership theory.
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Johnson last month (December) sales were 20.000 units o $50. The company estimates an increase of 1.5% in sales for January. An increase of 200 units for February (compared to January) and a reduction of 100 units for March (compared to February). The selling price is not expected to change. April sales projections are a 5% increase from December sales. CALCULATE UNIT SALES FOR THE QUARTER (JAN-MARCH) PRESENT YOUR ANSWER ROUNDED TO ZERO DECIMAL PLACES DON'T USE COMMA SEPARATORS Numeric Response D
To calculate the unit sales for the quarter (January to March), we need to consider the given information and calculate the sales for each month.
Given:
December sales: 20,000 units
January sales increase: 1.5% increase from December sales
February sales increase: 200 units increase from January sales
March sales reduction: 100 units reduction from February sales
April sales increase: 5% increase from December sales
Let's calculate the sales for each month:
January sales = December sales + (December sales * 1.5%)
January sales = 20,000 + (20,000 * 0.015)
January sales ≈ 20,300 units
February sales = January sales + 200 units
February sales ≈ 20,300 + 200
February sales ≈ 20,500 units
March sales = February sales - 100 units
March sales ≈ 20,500 - 100
March sales ≈ 20,400 units
Now, let's calculate the unit sales for the quarter (January to March):
Quarter unit sales = January sales + February sales + March sales
Quarter unit sales ≈ 20,300 + 20,500 + 20,400
Quarter unit sales ≈ 61,200 units
Therefore, the unit sales for the quarter (January to March) are approximately 61,200 units.
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what does the fox say
Answer:nenenesnene
Explanation:
Answer:
"Ring-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!"
"Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!"
Question 2/10
When you are deciding what to buy, you should not.
assume that buying the cheapest item is the
smartest choice.
compare the unit price of similar items,
wait for sales to get the best price,
read reviews from unbiased sources,
You shouldn't automatically believe that choosing the cheapest item is the best move when making a purchase.
Consumers typically assess the alternatives based on a variety of product characteristics. Consumers take into account a variety of aspects, including appearance, usability, quality, pricing, service, brand recognition, popularity, and social media reviews.
If a person is aware of a product's price, they are more inclined to use it. Consumption is influenced more by the perceived cost of a thing than by its real cost. The way the thing is priced has a big impact on how people perceive it. While some pricing schemes conceal the cost, certain pricing methods draw attention to the perceived cost of a purchased good.
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