Carrying out monetary policy the Fed will add money to the reserves that banks are obligated to maintain with it if, for example, it purchases or borrows Treasury notes from commercial banks. In turn, the money supply increases.
A nation's central bank or government can enact monetary policy to affect the amount of money in the economy and the cost of borrowing. The New York Fed is a key player in carrying out U.S. monetary policy, which is determined by the Federal Reserve. The Fed's mandated economic objectives from Congress are to support full employment, price stability, and moderate long-term interest rates.
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assessing the effectiveness of an advertising campaign while it is running by monitoring key indicators is referred to as
Tracking refers to use of key indicators to monitor and assess the effectiveness of the advertising campaign while it is running.
The tracking of the advertising campaign is also called ad tracking, post-testing or ad-effectiveness tracking.
The advert tracking forms part of in-market research.The advert tracking refers to monitors the brand's performance, advertising awareness and attitudes about the brand versus their competition.In conclusion, the key indicators is referred to as advert tracking.
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Jackson is preparing for his hearing before the Federal Communications Commission (FCC) involving a complaint that was filed against him by the FCC regarding the interruption of radio frequency. The order to "cease and desist" using the radio frequency has had a detrimental impact on his business.
The Federal court, through stare decisis, will look to precedent in ruling on Jackson's case.
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
No, the court will start with a clean slate in reaching a decision regarding Jackson's case.
Answer:
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
Explanation:
The court has scheduled hearing which Jackson has to attend. In this case the court will look into details of the matter and then find out the decision. If there are some difficulties in concluding the case then references will be taken from previous cases whose decisions has been decided.
Answer:
Yes, the court will look to cases that have already been decided in deciding Jackson's case.
Explanation:
I did the assignment in edge 2021.
real estate agents promoting a new recreational development offer a free breakfast and the opportunity to win a trip to hawaii for attending a short sales promotion meeting. it would appear they are using the persuasion technique. question 19 options: 1) rule of reciprocity 2) low-ball 3) rule of commitment 4) high-ball
The real estate agents promoting a new recreational development offer would appear they are using the rule of reciprocity persuasion technique. Hence option (1) is the answer.
What is the most persuasive technique?People employ persuasion strategies as instruments to sway the thoughts and behavior of others. Persuasion techniques are crucial because they enable marketers to overcome the doubts held by potential customers and win their trust. The first and most important piece of advice for persuading a potential customer is to appear confident and have sufficient knowledge of the product.
When a speaker seems to be comparable to the audience, whether in terms of age, profession, or socioeconomic level, the audience is more receptive to persuasive techniques. Persuasion is the process by which messages from other individuals can affect a person's attitudes or behavior without putting them under pressure.
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Providing employees with choice and encouragement for personal initiative is known as
A)intrinsic motivation.
B)extrinsic motivation.
C)autonomy support.
D)controlled motivation.
E)autonomous motivation.
The correct answer is C) autonomy support. Autonomy support refers to providing employees with the freedom to make choices and encouraging their personal initiative within the workplace. It involves fostering an environment that values employee autonomy, independence, and self-direction. This approach recognizes that individuals are motivated by a sense of control over their work and encourages them to take ownership of their tasks and decisions. Autonomy support promotes intrinsic motivation, which is driven by internal factors such as personal interest, satisfaction, and a sense of competence, rather than external rewards or pressures (extrinsic motivation). By empowering employees and giving them the freedom to exercise their initiative, autonomy support can enhance their job satisfaction, engagement, and overall performance.
In summary, providing employees with choice and encouragement for personal initiative is known as autonomy support. It involves fostering an environment that values employee autonomy and promotes intrinsic motivation. By giving employees the freedom to make decisions and exercise their initiative, autonomy support can enhance their job satisfaction and overall performance.
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Enter text- Apply A text Effect
What are customer needs?
Answer:
A customer need is a need that motivates a customer to purchase a product or service.
The country has entered a period of economic growth, but prices are rising too rapidly. To stabilize prices, the Federal Reserve decides to (4 points) Group of answer choices decrease the federal funds rate decrease the reserve requirement raise the discount rate buy more government securities
To stabilize prices, the Federal Reserve decides to Raise the discount rate.
Although the economy of the nation is expanding, prices are increasing far too quickly. The Federal Reserve decides to Increase the discount rate in order to stabilize prices.Economic growth is characterized by an increase in the quantity of goods and services generated per person over time.What is meant by the discount rate?In a discounted cash flow (DCF) analysis, the discount rate is the interest rate that is used to calculate the present value of future cash flows. This aids in determining whether the cash flows from a project or investment will be more valuable than the capital expenditure required to fund it in the present.Why is it called a discount rate?When examining a sum of money that will be received in the future and figuring out its present value, the phrase "discount rate" is employed. The definition of the word "discount" is "to deduct a sum." To determine a future value of money's present value, a discount rate is subtracted.
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The return on total assets (ROA) measures the overall effectiveness of management in generating profits with the owners investment in the fim. False True
True, the return on total assets (ROA) measures the overall effectiveness of management in generating profits with the owners' investment in the firm.What is Return on Total Assets (ROA)?Return on total assets (ROA) is a performance indicator that measures the overall efficiency of a firm in generating profits with the owners' investment.
In general, the higher the ROA, the more effective management is in utilizing the firm's resources to generate profits. The formula for ROA is as follows: ROA = (Net Income / Total Assets) x 100For instance, if a firm has a net income of $1,000,000 and total assets of $10,000,000, the ROA will be 10 percent. This implies that for each dollar invested in assets, the firm produces 10 cents in profits. Therefore, the higher the ROA, the more effective the company is in using its assets to produce income.
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The title of this talk is “Profit’s Not Always the Point.” But do you think profit is an added perk for companies that make the effort to promote positive social change? Explain.
yes, no matter what company say, they need money for funding for "social change"
What are the steps for using the Evaluate Formula feature?
1. Select the cell with the formula you want to evaluate.
2. Click the
tab on the ribbon.
3. In the
group, click
.
4. Click Evaluate or
to start the process.
Answer:
Formulas
Formula auditing
evaluate formula
step in
Explanation:
just did it :)
Answer:
1) Formulas
2) Formula Auditing
3) Evaluate Formula
4) Step in
Explanation:
HOW TO USE THE EVALUATE FORMULA FEATURE:
1. Select the cell with the formula you want to evaluate.
2. Click the ✔ Formulas tab on the ribbon.
3. In the ✔ Formula Auditing group, click ✔ Evaluate Formula .
4. Click Evaluate or ✔ Step In to start the process.
What are two basic approaches in company strategy to improve chances of success in competing against rivals? (two answers)
- Always aim for a low-cost strategy.
- Soften ethical guidelines.
-Clearly differentiate a company from its rivals.
- Establish a position in an uncrowded market.
1. Always Aim for a Low-Cost Strategy: Companies should try to keep their costs down by utilizing resources efficiently, managing their supply chain carefully, and leveraging economies of scale. This will help them to compete against rivals by offering lower prices and higher value products.
What is economies?Economies is the study of how people, society and businesses allocate scarce resources to fulfill their wants and needs. It looks at how individuals, governments and businesses make decisions on how to use these resources, as well as how they interact with each other.
2. Clearly Differentiate a Company from its Rivals: Companies should focus on what makes them unique and develop differentiating strategies that set them apart from their competitors. This includes emphasizing product features, emphasizing customer service, or creating a unique brand image. Doing so will help a company stand out from the competition and improve their chances of success.
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about how long will it take Levi’s investment of $350 to double if it earns 14.5% simple interest?
A. 5 years
B. 6 years
C. 7 years
D. 8 years
Answer:
A. 5 years
Explanation:
Present value = $350
Future value = $700
Interest = 14.5%
Number of years = Nper (-Pv, Fv, I)
Number of years = Nper (-350, 700, 14.5%)
Number of years = 5.119080084
Number of years = 5 years
jasmine is a 37-year-old private chef and food service manager at a hospital. she's worked in the food/restaurant industry for many years and learned not only about preparing nutritious and delicious food, but also about sanitation and food safety. in the past year, her private catering business has really grown and expanded. she's used to taking certain precautions and following protocols because of her years of working in hospital food services. can jasmine keep up with the growing demand of her private catering company and manage to follow all safety procedures?
Yes, I believe that Jasmine can keep up with the growing demand of her private catering company and still follow all safety procedures. Her experience in working in the food service industry, particularly in a hospital, has taught her the importance of sanitation and food safety. As a food service manager, she is likely well-versed in following protocols and taking precautions to ensure that the food she prepares is safe and healthy. While the growth of her catering business may present some challenges, such as managing a larger volume of orders and ensuring that her staff is trained in proper sanitation procedures, her previous experience in the industry should help her navigate these challenges successfully. Ultimately, as long as Jasmine prioritizes the safety and health of her customers, her catering company should continue to thrive and grow.
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This spreadsheet was created to track the money different employees earned in bonuses. The creator used
numbers and formulas to make the document efficient so that it could change as the bonus amounts changed.
What is most likely appears in the formula bar when B6 is selected?
A $total
B $112
C=MAX(B2:B5)
D =AVERAGE(B2:B5)
The formula that most likely appear in the formula bar of the spreadsheet when B6 is selected is =AVERAGE(B2:B5). Thus, the correct answer is option (D).
What is a spreadsheet?A spreadsheet is a computer programme for organizing, calculating, and storing data in tabular form. Spreadsheets were created as digital counterparts to traditional paper accounting spreadsheets.
The central tendency of a bunch of numbers in a statistical distribution—which is where the center is located—is measured by the AVERAGE function. The following are the top three central tendency measures:
Average: The arithmetic mean is determined by adding a collection of integers, dividing by their count, and then taking the result.The middle number in a set of numbers is called the median. The values of half the numbers are higher than the median while the values of the other half are lower than the median.The number that appears the most frequently among a set of numbers is the mode.Therefore, option D is correct.
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regulations and existing competitors are not a concern for the sharing economy.
T/F
False. Regulations and existing competitors can be significant concerns for the sharing economy.
The sharing economy, characterized by platforms like Uber, Airbnb, and TaskRabbit, operates in a disruptive and innovative manner, often challenging traditional industries and business models. However, it does not mean that regulations and competitors are irrelevant.
Regulations pose a significant challenge for sharing economy platforms. As these platforms disrupt traditional industries, they often face regulatory hurdles related to licensing, taxation, safety standards, and employment laws. Government authorities may impose restrictions or attempt to regulate sharing economy services to ensure consumer protection, fair competition, and compliance with existing laws. Failure to navigate these regulations can lead to legal consequences or even the shutdown of operations.
Furthermore, existing competitors can also pose a challenge for sharing economy platforms. Traditional businesses may view sharing economy platforms as direct competition and respond by leveraging their existing market presence, resources, and customer base to compete or lobby against them. This can include strategies like price undercutting, launching similar services, or advocating for stricter regulations that may disadvantage sharing economy platforms.
In summary, regulations and existing competitors are indeed concerns for the sharing economy. Compliance with regulations and the ability to differentiate from competitors are crucial factors for the sustainability and success of sharing economy platforms.
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Suppose you are the money manager of a $4.82 million investment fund. The fund consists of 4 stocks with the following investments and betas:
Stock Investment Beta
A $ 460,000 1.50
B 500,000 - 0.50
C 1,260,000 1.25
D 2,600,000 0.75
If the market's required rate of return is 8% and the risk-free rate is 4%, what is the fund's required rate of return? Round your answer to two decimal places.
The correct answer for the fund's required rate of return is 8.36%, rounded to two decimal places
To calculate the fund's required rate of return, we can use the capital asset pricing model (CAPM), which takes into account the risk-free rate, the market's required rate of return, and the beta of each stock in the fund.
First, we need to find the weighted average beta of the fund, which is calculated by multiplying the beta of each stock by its proportion of the total fund investment and summing those values. In this case, the weighted average beta is (0.75*2,600,000 + 1.30*1,220,000 + 1.50*800,000 + 0.90*200,000)/4,820,000 = 1.09.
Next, we can use the CAPM formula to calculate the fund's required rate of return:
The required rate of return = Risk-free rate + Beta x (Market's required rate of return - Risk-free rate)
= 4% + 1.09 x (8% - 4%) = 8.36%
Therefore, the fund's required rate of return is 8.36%, rounded to two decimal places. This means that to meet the expectations of the investors, the fund must earn at least this rate of return on its investments to compensate for the level of risk involved.
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Market ________ refers to identifying distinct groups of consumers whose purchasing behavior differs from others in important ways.
Market segmentation refers to identifying distinct groups of consumers whose purchasing behavior differs from others in important ways.
Market segmentation is a crucial strategy used by businesses to better understand their target audience and tailor their marketing efforts to specific customer groups.
By dividing the market into segments based on common characteristics, businesses can create more personalized marketing campaigns, products, and services, thereby increasing customer satisfaction and maximizing profitability.
The process of market segmentation involves analyzing various factors such as demographics, psychographics, behavior, and geographic location.
These factors help businesses identify homogeneous subgroups within the larger market population.
For example, a clothing retailer may segment their market based on demographics such as age, gender, and income level.
They can further refine the segments by considering psychographic factors such as lifestyle, values, and interests.
By combining these variables, the retailer may identify segments such as "young, urban professionals with high disposable income who prioritize trendy fashion" or "middle-aged parents with moderate income who prefer comfortable and practical clothing."
Market segmentation allows businesses to target specific consumer groups more effectively, enabling them to tailor their marketing efforts to the unique needs and preferences of each segment.
This approach leads to higher customer satisfaction, increased brand loyalty, and ultimately, improved business performance.
By understanding the distinct behaviors and characteristics of different market segments, businesses can develop more relevant marketing strategies, refine their product offerings, and allocate resources efficiently to maximize their return on investment.
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Oil refining is an example of:
Construction Production
Extractive Production
Domestic Production
Traditional Production
Answer:
Explanation: step by step
When a corporation repurchases its bonds from the bondholders, the corporation the bonds.
These bonds are called retired bonds. The bonds are referred to be retired bonds when a corporation repurchases them from the bondholders. They are called so because they have been repurchased from the investors.
- More about retired bonds :
- Repurchasing previously issued bonds from investors is referred to as retired bonds. At the time of the instruments' scheduled maturity, the issuer retires the bonds. Another method of retirement is for the issuer to repurchase the bonds sooner if the bonds are callable.
- In the case of bonds, it means that the corporation is effectively returning the principal to the investors who purchased loans from them and discharging its debt obligations. Retired securities are those that have undergone this type of purchase back.
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- The complete question is :
When a corporation repurchases its bonds from the bondholders, the bonds are called ____ bonds.
If Restaurant A chooses to use the economic order quantity when placing an order for tomatoes, what are its ordering and holding costs per year expressed as a percentage of the annual purchasing cost?
Restaurant A's ordering cost per year is approximately 0.17% of the annual purchasing cost, and its holding cost per year is approximately 4.71% of the annual purchasing cost.
To calculate the ordering and holding costs per year as a percentage of the annual purchasing cost, we'll need to use the provided information and the economic order quantity (EOQ) formula.
Given:
- Monthly demand (D) = 60 bags
- Cost per bag (C) = $80
- Ordering cost (S) = $20
- Holding cost percentage (H) = 40%
First, let's calculate the annual demand (D) by multiplying the monthly demand by 12:
Annual demand (D) = Monthly demand * 12 = 60 bags * 12 = 720 bags
Next, we can calculate the EOQ using the EOQ formula:
EOQ = sqrt((2 * D * S) / H)
EOQ = sqrt((2 * 720 * 20) / 40) = sqrt(28,800) ≈ 169.71
To calculate the ordering cost per year, we need to determine the number of orders placed per year by dividing the annual demand by the EOQ:
Number of orders = Annual demand / EOQ = 720 bags / 169.71 ≈ 4.24 (rounded up to 5)
Ordering cost per year = Number of orders * Ordering cost = 5 * $20 = $100
The average inventory level can be calculated as half of the EOQ:
Average inventory level = EOQ / 2 = 169.71 / 2 ≈ 84.85
To calculate the holding cost per year, we multiply the average inventory level by the holding cost per unit:
Holding cost per year = Average inventory level * C * H%
= 84.85 * $80 * 0.4
= $2,713.60
The annual purchasing cost can be calculated by multiplying the cost per bag by the annual demand:
Annual purchasing cost = C * Annual demand = $80 * 720 bags = $57,600
Finally, we can express the ordering and holding costs as a percentage of the annual purchasing cost:
Ordering cost percentage = (Ordering cost per year / Annual purchasing cost) * 100
Holding cost percentage = (Holding cost per year / Annual purchasing cost) * 100
Ordering cost percentage = ($100 / $57,600) * 100 ≈ 0.17%
Holding cost percentage = ($2,713.60 / $57,600) * 100 ≈ 4.71%
Therefore, Restaurant A's ordering cost per year expressed as a percentage of the annual purchasing cost is approximately 0.17%, and its holding cost per year expressed as a percentage of the annual purchasing cost is approximately 4.71%.
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Complete Question:
Restaurant A uses 60 bags of tomatoes each month. The tomatoes are purchased from a supplier for a price of $80 per bag and an ordering cost of $20 per order. Restaurant A’s annual inventory holding cost percentage is 40%. If Restaurant A chooses to use the economic order quantity when placing an order for tomatoes, what are its ordering and holding costs per year expressed as a percentage of the annual purchasing cost?
Investing is an unpredictable world of formulas, symbols, and terms, and is no more than a matter of luck and timing. TRUE or FALSE?
Answer:
Falae
Explanation:
investing is not just a matter of luck and timing, it involves a lot of research, analysis and sound decision making. But it's also important to keep in mind that it always carries a degree of risk, and thus, it's important to have a long-term perspective and a well-diversified portfolio.
PLEASE HELP ME
Choose one of the finance careers that was mentioned in this section’s reading (investment banker, trader, private wealth manager, and FP&A analyst). Do some additional outside research to find out specifically what an entry-level job in this role would look like. Describe a scenario in which a person or company is coming to you for financial help or advice. Describe that scenario in detail. What skills would you need to learn to provide that financial advice? Be creative and try to think of scenarios different than your classmates.
Oversees financial forecasts, planning, and management. produces financial models and variance analysis reports. oversees the monitoring of the financial performance in real time. any financial problems to management.
What is financial performance?Financial performance is a gauge of how effectively a company can utilize resources from its main line of business and generate income. The phrase is also used as a broad indicator of a company's long-term financial stability.
Financial performance is compared by analysts and investors between similar companies in the same industry or between industries or sectors as a whole. Indicators of financial performance are quantitative criteria used to gauge a company's performance.
No one metric should be used to assess a company's financial performance. The balance sheet, the income statement, and the statement of cash flows are financial statements that are used to assess overall financial performance.
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When different sequences of operations are required for creating small batches of different products, the type of design or layout used is the a. process layout. b. product layout. c. quota layout. d. output layout. e. product design.
When different series of operations are required in creating small batches of different products, the type of design or layout comes under product design. Thus, option D is correct.
What is the product?A product or a service that can be sold in the open market and for that product, a price is offered, or sometimes it can be in the form of a barter system.
A product design means that the product that is made in the company is made and has a process for the same. the design can be small changes in the packaging, manufacturing, or the looks of the product.
All the changes made in the product that needs to be changed are often done into small offers, often they are for a promotional purpose like get 12% extra or get free stuff. So all these changes in operation are done in product design. Therefore, option D is the correct option.
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When janelle decided to buy a new computer, she thought about all the brands she could recall seeing advertised, but when she visited her local best buy, she limited her search to only those brands she would consider buying. the brands available at best buy represent janelle's set.
Situational influences are transient circumstances that have an impact on consumer behavior.They include tangible elements like a store's layout, buying areas, music, lighting, and even odors.Businesses work to improve the physical conditions that shoppers encounter.
What are the situational factors that could alter the consumer decision making at the time of purchase?The likelihood that someone will go through all six stages of the purchasing process is probably limited to specific circumstances, such as when purchasing a thing for the first time or when purchasing expensive, durable, infrequently used items.Complex decision-making is what is meant when this occurs. Which of the aforementioned purchases would consumers be most likely to make with limited problem-solving.A regular coffee drinker's typical purchase is generally coffee to go.But problem solving skills will likely be reduced as a result of college courses. Physical surroundings, social surroundings, temporal perspective, task description, and antecedent state are the five components that make up situational factors. There are four different forms of consumer behavior: complex buying behavior, dissonance reduction, variety seeking, and habitual buying behavior. Consumer decision-making can appear complicated, but all buyers follow the same fundamental stages to choose the goods and services that will best meet their needs.Whether purchasing something, especially when it's something substantial like a car, consider your own thought process. When acquiring high-involvement products, buyers don't exhibit routine response behavior.Instead, they participate in what is known as prolonged problem solving, spending a lot of time weighing various factors such product features, costs, and warranties.To learn more about decision making refer
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Which best summarizes the purpose of a W-4 form?
1. It helps determine the amount of taxes withheld from an individual's paycheck.
2. It helps determine when taxes are due and if money is owed to the IRS.
3. It helps determine whether a person has dependents who must also pay taxes.
4. It helps determine when a person needs to pay local income taxes.
The statement that best summarizes the purpose of a W-4 form is It helps determine the amount of taxes withheld from an individual's paycheck.
What is Form W-4?
Form W-4 provide information about employer, as well as employee's filing status and also amount to withhold from each paycheck.
It can be used to derive information about the amount of taxes withheld from an individual's paycheck, therefore, option 1 is correct.
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The purpose of a W-4 form is it helps determine the amount of taxes withheld from an individual's paycheck. Thus, option 1 is correct.
What is W-4 form?Employees must complete Form W-4, an Internal Revenue Service (IRS) tax form, to disclose their tax condition to their employer. Based on the employee's marital status, number of benefits and dependents, and other considerations, the W-4 form instructs the employer how much tax should be deducted from the employee's paycheck. Employee's Withholding Allowance Certificate is another name for the W-4.
Employees complete a W-4 form to inform employers of the amount of tax to deduct from their wages based on their marital status, the number of exemptions they are eligible for, the number of dependents they have, etc. The amount withheld from the paycheck is reduced when there are more allowances listed on the form. When a taxpayer's situation changes, such as when they move, they can submit a new W-4 at any time.
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Do Nothing Policy posits that the best policy is for the government to do nothing, i.e leave people alone to purse their self interest as they define it. In the case of the US/Mexico used car markets, the Mexican government violated The Do Nothing Policy by interfering in the free market for used cars. Regulating and taxing the import of used cars prevented Americans and Mexicans from engaging in mutually beneficial voluntary exchange. NAFTA, by removing the regulations and taxes shifted from a Do Something to a Do Nothing Policy. The effect of NAFTA was This was accomplished without coercion, financial incentives, or moral persuasion but by simply leaving people alone to pursue their selfinterest as they define it, i.e. allowing the free market to operate. In this case, it meant US car owners selling their cars in Mexico because they could get a price. Mexican consumers enriched themselves because the price of used cars in Mexico Both Mexicans and Americans were better off after the shift to a free market. This is similar to wealth creation that occurs when people specialize according to comparative advantage and exchange because
The Do Nothing Policy is when government does not intervene in regular workings of a situation under their jurisdiction and is sure that left people will do.
What is Do Nothing?Do Nothing denotes that the incumbent won't hunt down the rival or engage in predatory behavior. Depending on how the ownership lottery in time 1 turns out, either the present manager M 1 or the competing manager M 2 will handle the assets independently if the incumbent chooses to do nothing or if predation fails. It is undoubtedly ex ante optimum for the incumbent to select a debt level sufficiently high within the range of financial postures that induce do-nothing in order to avoid inadvertently driving up asset prices in secondary asset markets by making unsuccessful offers for entrant assets. Therefore, any ex ante ideal posture causing inaction must include D D(l), as this reduces willingness-to-pay.
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Investors minimize risk by investing money in __________. A. one specific company B. a variety of companies C. newly-formed corporations D. companies that are competitors Please select the best answer from the choices provided A B C D
Answer: B. a variety of companies
Explanation:
Investors minimize risk by investing money in a variety of companies. The reason for this is to minimize risk. Investing in one specific company isn't ideal because in the case of the company running at a loss, the investor loses all his or her money as well.
On the other hand, when the investor invest in different companies, the risk is minimized. When one company isn't doing well, others will probably be doing well.
Which transaction caused John to overdraw his account?
By examining the financial figures provided above for John's account, it is clear that check no. 410 for $710.49 was the reason for John's account overdraft. As a result, choice (C) is valid.
What does overdrawing an account mean?A transaction in which the account holder is permitted to take more money than the account's actual balance is referred to as an overdraft from the account. The account balance is negative following a transaction that results in an overdraw.
One can clearly infer from the account statement shown above that an overdraw transaction occurred after Check No. 410 for an amount of $710.49 was drawn since the account's balance was negative for the first time.
Hence, Option (C ) is the accurate one.
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Your question is incomplete, probably the complete question is:
Which transaction caused John to overdraw his account?
(A) The Online Bill Payment of $146.67
(B) Check No. 409 for $100
(C) Check No. 410 for $710.49
(D) The Overdraft Fee of $35
Drag the tiles to the boxes to form correct pairs.
Match the different. brainstorming techniques to their applications
Note that the Brainstorming Techniques matched to one another are given as follows:
Clustering - connecting ideas for a topic using different shapes and color-coding to identify how the ideas are relatedThree perspectives - describing the topic, tracing its history, and examining its connections with related topicsFreewriting - writing down first thoughts on a topic in a timed session. without pausing to check for relevance or grammarWhat are brainstorming techniques?The most essential thing to remember with any approach of brainstorming is to prioritize quantity above quality. Accepting all ideas, no matter how ridiculous or unimportant they may appear, aids brainstorming.
The aim is to establish a large enough pool of ideas from which to draw or combine ideas for the best solution or approach.
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Keynes believed that the best method for boosting an economy during a recession was to _____ a. increase money supply so that individuals would have more incentive to spend. b. cut government spending and increase taxes to reduce or even eliminate fiscal deficit. c. increase government spending and cut taxes so that consumers could spend more. d. cut both government spending and taxes to reduce government expenditure in the economy. e. increase both government spending and taxes to increase the role of government in the economy.
Answer:
c. increase government spending and cut taxes so that consumers could spend more.
Explanation:
John Maynard Keynes was a British economist born on the 5th of June, 1883 in Cambridge, England. He was famous for his brilliant ideas on government economic policy and macroeconomics which is known as the Keynesian theory. He later died on the 23rd of April, 1946 in Sussex, England.
Keynes believed that the best method for boosting an economy during a recession was to increase government spending and cut taxes so that consumers could spend more. This would lead to an aggregate demand.
Aggregate demand (AD) can be defined as the total quantity of output (final goods and services) that is demanded by consumers at all possible price levels in an economy at a particular time.