a) i) Thus, the exchange rate that would prevail under a clean float would be -3.5 Terranian Credits per Olympios Dollar. ii)This implies that the balance of payments of Olympios would be in deficit because the country would be importing more than it is exporting. b) i) This means that in the short run, the balance of payments of Olympios will improve because the country will be exporting more than it is importing. ii) This will reduce the demand for Terranian Credit and maintain the exchange rate at 1.5 Terranian Credits per Dollar.
a) i) Clean Float refers to the floating exchange rate system where the exchange rate between two currencies is determined purely by the market forces of demand and supply.
Thus, under a clean float, the exchange rate that would prevail would be determined by the interaction of the demand and supply of the
Olympios Dollar (E=8.75-0.03Ds; E=0.025$-3.50).
To determine the exchange rate, we equate the demand and supply of the Olympios Dollar to obtain:
8.75-0.03Ds = 0.025$-3.50 0.03Ds = 12.25$ Ds = 408.33$
The exchange rate that would prevail under a clean float would be:
E = 8.75 - 0.03(408.33) = 8.75 - 12.25 = -3.5 Terranian Credits per Olympios Dollar
Thus, the exchange rate that would prevail under a clean float would be -3.5 Terranian Credits per Olympios Dollar.
ii) If this exchange rate prevailed, it would mean that the Olympios Dollar would be weaker than the Terranian Credit, which would imply that the demand for Terranian Credit is higher than the demand for the Olympios Dollar. This implies that the balance of payments of Olympios would be in deficit because the country would be importing more than it is exporting.
b) i) If the government of Olympios elects instead to fix the exchange rate with the Terranian Credit at E = 1.5 Terranian Credits per Dollar, the Central Bank will need to take actions in the short run to maintain this exchange rate. The Central Bank will have to sell Terranian Credit from its foreign exchange reserves and buy Olympios Dollar in the foreign exchange market to maintain the exchange rate at 1.5 Terranian Credits per Dollar. This will increase the supply of Terranian Credit in the foreign exchange market, thereby putting downward pressure on the exchange rate of Terranian Credit. On the other hand, it will increase the demand for Olympios Dollar, thereby putting upward pressure on the exchange rate of Olympios Dollar. This means that in the short run, the balance of payments of Olympios will improve because the country will be exporting more than it is importing.
ii) If the government wishes to maintain this exchange rate in the long run, it will have to undertake certain measures. One measure would be to increase the production of export goods so that the country can export more. This will increase the demand for Olympios Dollar and maintain the exchange rate at 1.5 Terranian Credits per Dollar. Another measure would be to reduce the production of import goods so that the country can import less. This will reduce the demand for Terranian Credit and maintain the exchange rate at 1.5 Terranian Credits per Dollar.
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how do you the accounting equation
Answer:
1. Assets = Liabilities + Owner Equity.
2. Liabilities = Assets - Owner Equity.
3. Owner Equity = Assets - Liabilities.
Demand-pull inflation and cost-push inflation is called:______
Demand-pull inflation and cost-push inflation are the two forms of inflation, both of which describe various types of monetary conditions. In this context, it is known as inflation.
What is demand-pull inflation? Demand-pull inflation is a type of inflation that happens as a result of high demand for goods and services when supply remains the same. This could occur for a variety of reasons, but in most cases, it is caused by an increase in government spending or consumer demand. When aggregate demand (AD) exceeds the number of goods and services available in the economy (aggregate supply (AS)), prices begin to rise since suppliers can only increase prices to meet the excess demand, and this creates inflation.
What is "cost-push" inflation? Cost-push inflation is a type of inflation caused by an increase in the cost of inputs that businesses utilize to manufacture products. An increase in the cost of production will result in a decline in supply because firms will reduce production or raise prices. As a result, cost-push inflation causes the aggregate supply curve (AS) to decrease, raising costs and prices.
When there is a rise in the cost of labor, raw materials, energy, or other production inputs, the costs of production will rise, causing prices to increase, and resulting in cost-push inflation.
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What are the two steps in comparison?
Comparison is the phenomenon of comparing one thing with the other
Comparison typically involves two steps:
Identifying similarities and differences: This step involves looking at the items being compared and noting any similarities and differences between them.
Evaluating the significance of the similarities and differences: This step involves considering how the similarities and differences impact the overall assessment of the items being compared.
It's important to note that, depending on the context, there could be more than 2 steps, but in general comparison is made by identifying similarities and differences, then evaluating them.
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While developing a new product, in the product development stage, the first versions of products are used in further consumer testing. These first versions of products are called
In the product development stage, the first versions of products that are used while developing a new product and in further consumer testing are called: prototypes.
A product life cycle can be defined as the stages (phases) that a particular product goes through, typically from the period it was introduced into the market to the period when it is eventually removed from the market.
Generally, there are four (4) main stages in the product-life cycle;
Introduction.Growth.Maturity.Decline.A prototype can be defined as the the first versions of products that are manufacture and used while developing a new product and in further consumer testing.
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Telmart, a retail chain, records high sales volume for most of its outlets. Some of its outlets that have low sales volume have conducted surveys for their consumers in order to understand the reasons behind this. The surveys reveal that the average customer in these outlets believes that price is an indicator of quality and thus, prefers higher priced brands over lower priced brands. The research conducted by telmart exemplifies:.
The research that Telmart did exemplifies what we know as Demand Analysis.
What is Demand Analysis?Refers to research that is done to see what influences customer demand. Is often done by companies to increase demand for their goods.In finding out why some outlets did not have high sales, Telmart was trying to find out what drove customer behavior so this is Demand Analysis.
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What is the major purpose of a bank reconciliation statement?
Answer:
The bank reconciliation is an internal document that verifies the accuracy of records maintained by the depositor and the financial institution.
Explanation:
The balance on the bank statement is adjusted for outstanding checks and uncleared deposits. The record balance is adjusted for service charges and interest earned.
a competitive firm sells its output for $30 per unit. the marginal product of the 10th worker is 20 units of output per day; the marginal product of the 11th worker is 16 units of output per day. the firm pays its workers a wage of $150 per day. for the 11th worker, the value of the marginal product of labor is?
If the marginal product of the 11th worker is 16 units of output per day. the firm pays its workers a wage of $150 per day. for the 11th worker, the value of the marginal product of labor is $480.
How to find the marginal product of labor?Using this formula to determine the marginal product of labor
Marginal product of labor = Output per unit × Marginal product of the 11th worker
Let plug in the formula
Marginal product of labor = $30 per unit × 16 units
Marginal product of labor = $480
Therefore the marginal product of labor is $480.
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what is integrity
A.the attitude that you are better than others
B.The belief in your own ability to do well
C.The ability to come up with new plans or ideas
D.The practice of using ethical behavior
Answer:
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What is integrity\(\color{Blue}\huge\boxed{Answer} \)
C.The ability to come up with new plans or ideasQUESTION 4 You receive a $17,000 5-year constant amortization loan (CAL). The loan's annual interest rate is 11%. What is the total payment in year 4, rounded to the nearest dollar?
The total payment in year 4 for a $17,000 5-year constant amortization loan (CAL) with an annual interest rate of 11% is $4,148.
To find the total payment in year 4, we need to follow these steps:1. Calculate the constant annual principal payment: Divide the loan amount by the loan term.
Principal payment = $17,000 / 5 years = $3,400 per year
2. Calculate the interest payment for year 4: Multiply the remaining loan balance at the beginning of year 4 by the interest rate.
Remaining loan balance at the beginning of year 4 = $17,000 - ($3,400 x 3) = $6,800
Interest payment for year 4 = $6,800 x 11% = $748
3. Calculate the total payment for year 4: Add the constant annual principal payment and the interest payment for year 4.
Total payment in year 4 = $3,400 (principal) + $748 (interest) = $4,148
Rounded to the nearest dollar, the total payment in year 4 for the 5-year constant amortization loan is $4,148.
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how long will it take for $4,000 to grow to $8,000 if the investment earns an interest rate of 4% per year compounded semiannually? ln(2) ln(1.02) years ln(1/2) 2ln(1.02) years 2ln(1/2) ln(1.02) years ln(2) 2ln(1.02) years 2ln(2) 1.02 years
The correct answer is 2ln(2) years.the correct answer is 2ln(2) years, which is approximately 1.386 years.
To determine the time it takes for an investment to double in value, we can use the rule of 72. The rule of 72 states that you divide 72 by the interest rate (expressed as a percentage) to approximate the number of years it takes for an investment to double.
In this case, the interest rate is 4% per year compounded semiannually. To convert this to a semiannual interest rate, we divide 4% by 2, resulting in 2% per semiannual period. Using the rule of 72, we divide 72 by 2 to get 36. This means it will take approximately 36 semiannual periods for the investment to double.
Since the investment compounds semiannually, the number of years can be calculated by dividing 36 by 2 (since there are two semiannual periods in a year), resulting in 18 years.
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Rickic is charged with a crime in a amall town in Michigm. Rick knows many people who live in the town due to its imall size. Ricki's attorncy argues that the case should be beard in a different town because the case will harm Ricla's repetation in this small town. The prosecuting attorncy argues for the case ta be beard in the small town in Michigan. The concept the atiomeys are arguine over is standing which involves the right of a party to being a case. Furisidiction, which involves the court's autherity to hear a cave. judicial review, whichi involves the right of the judieisty to review the actions of the other branches. venoe, which involves where it is more appropriate and convenieat to bear-a case.
The correct option is b) jurisidiction, which involves the court's authority to hear a cave.
The topic that the lawyers are discussing in the scenario above is jurisdiction. A jurisdiction is a geographical area with a unique set of laws that are governed by a court system or other government body. A state's jurisdiction is distinct within a federation, such as those of Australia, Germany, and the United States.
The concept of "jurisdiction of any activity" refers to the full range or extent to which an authority has control over the undertaking of various activities. For example, based on the departments of the various cities, the police jurisdiction is divided. Additionally, depending on the legal jurisdiction, certain actions may be taken or not taken.
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Note that the full question is:
Rickic is charged with a crime in a amall town in Michigan. Rick knows many people who live in the town due to its imall size. Ricki's attorney argues that the case should be beard in a different town because the case will harm Ricla's repetation in this small town. The prosecuting attorncy argues for the case to be heard in the small town in Michigan. The concept the attorneys are arguing over is
a) standing which involves the right of a party to being a case.
b) jurisidiction, which involves the court's authority to hear a cave.
c) judicial review, which involves the right of the judiciary to review the actions of the other branches.
d) venoe, which involves where it is more appropriate and convenieat to bear a case.
fill in the blank.if the price of a good does not take into account all of the benefits of its purchase, the equilibrium price will be___, and the equilibrium quantity will be___.
If the price of a good does not take into account all of the benefits of its purchase, the equilibrium price will be too low, and the equilibrium quantity will be too low.
Equilibrium price is the price at which the quantity demanded of a good is equal to the quantity supplied of that good. This implies that the equilibrium price is the price at which the market is in equilibrium. It is the price at which both buyers and sellers are satisfied with their transactions.
Equilibrium quantity is the quantity of a good that is bought and sold at the equilibrium price. It is the quantity demanded and supplied at the equilibrium price, and it is the level of output that the market has determined to be optimal or efficient. The equilibrium quantity is the quantity at which there is no excess demand or excess supply in the market.
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Question 1 of 10 If you make a plan to get a certain amount of a project done each day, what skill have you demonstrated? A. Time management B. Punctuality O C. Moral standards D. Integrity
Answer: A
Explanation: not sure, but i think its correct
National Family Opinion (NFO) contacts several hundred members of its consumer panel and provides them with a printed description of a new chewing gum and its package. Consumers are then given a survey containing several multiple-choice questions about their attitudes toward the new product, based on what they read in the description. The final survey question asks consumers to indicate the likelihood that they would purchase the product. NFO seems to be conducting a: a. Market test b. Concept test c. Prototype test d. Sensitivity test e. Attitude test
Answer: concept test
Explanation:
Based on the information given, we can infer that National Family Opinion (NFO) is conducting a concept test.
Concept testing is the process whereby surveys are used in the evaluation of the acceptance of a new product by the consumers before the product is introduced to the market.
Since the consumers are given a survey which contains different multiple-choice questions about their attitudes toward the new product,
Therefore, the correct option is B.
Charlie likes both apples and bananas. he consumes nothing else. the consumption bundle where charlie consumes xa bushels of apples per year and xb bushels of bananas per year is written as (xa, xb). last year, charlie consumed 20 bushels of apples and 5 bushels of bananas.
Answer:
the question is incomplete:
It happens that the set of consumption bundles (xA,xB) such that Charlie is indifferent between (xA,xB) and (20,5) is the set of all bundles such that xB = 100/xA. The set of bundles (xA,xB) such that Charlie is just indifferent between (xA,xB) and the bundle (10,15) is the set of bundles such that xB = 150/xA.
I also found the attached graph.
The requirements are:
Is (30,5) ≈ (10,15) true or false? Is (10,15) > (20,5) true or false? Is (20,5) ≥ (10,10) true or false? Is (24,4) ≥ (11,9.1) true or false? Is (11,14) > (2,49) true or false? A set is convex if for any two points in the set, the line segment between them is also in the set. Is the set of bundles that Charlie weakly prefers to (20,5) a convex set? Is the set of bundles that Charlie considers inferior to (20,5) a convex set? The slope of Charlie’s indifference curve through a point, (xA,xB), is known as his ______________ ___ of ___________ at that point. Find Charlie’s marginal rate of substitution at the point (10,10). Find Charlie’s marginal rate of substitution at the point (5,20). Find Charlie’s marginal rate of substitution at the point (20,5). Do the indifference curves you have drawn for Charlie exhibit diminishing marginal rates of substitution?Answers:
true, they are on the same red linetrue, (10,15) is on the red line while (20,5) is on the blue linetrue, they are equivalent since both are on the blue linefalse, (11,9.1) is on the blue line and (24,4) is on the red linetrue, (11,14) is on the red line while (2,29) is on the blue portionyes, it is a convex set no, they are not a convex setThe slope of Charlie’s indifference curve through a point, (xA,xB), is known as his RATE of SUBSTITUTION at that point. marginal rate of substitution at (10,10) = -10/10 = -1marginal rate of substitution at (5,20) = -20/5 = -4marginal rate of substitution at (20,5) = -5/20 = -1/4 = -0.25yes, this curves shows diminishing marginal rates of substitutions, e.g. goes from -4 to -1 to -0.25How does a common-market agreement benefit citizens of a member country?
which of the following policy actions by the fed is likely to increase the money supply? a. reducing reserve requirements b. selling government bonds c. increasing the discount rate d. increasing interest on reserves e. all of these will increase the money supply.
Option A is correct. Reducing reserve requirements is likely to increase the money supply.
What is money supply?The entire amount of money that is in circulation in an economy at any particular time is referred to as the money supply. It is a key idea in economics since the quantity and expansion of the money supply can significantly affect inflation, interest rates, and general economic activity.
The money supply can be measured in a variety of ways, such as:
M1: The most liquid indicator of the amount of money in circulation, it includes demand deposits (checking accounts) and traveler's checks.
Savings deposits, time deposits under $100,000, and money market securities are also included in M2, which is a measure of the money supply that is more comprehensive than M1.
M3: The broadest measure of the money supply, which also includes substantial time deposits in addition to M2, institutional money market funds, and term repurchase agreements.
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marcos co. is considering a project that will increase residual income by $15,000. the project has a 12% return on investment (roi) which exceeds the company's 10% required rate of return. marcos co. currently has an overall 15% roi in the department where this project would be implemented. which of the following statements regarding this potential investment are true?
The project should be accepted by the company because it increases overall residual income. The department manager may not want to accept the project because it will lower the overall ROI for the department.
Return on investment (ROI) is calculated with the aid of dividing the income earned on funding via the price of that funding. as an instance, funding with an income of $ hundred and a price of $one hundred might have an ROI of 1, or one hundred% while expressed as a percentage. return on investment or go back on fees is a ratio between net earnings and funding. An excessive ROI way the funding's gains evaluate favorably to its fee. As an overall performance measure, ROI is used to assess the performance of an investment or to examine the efficiencies of several specific investments. go back on investment (ROI) A calculation of the economic cost of funding as opposed to its cost. The ROI formula is: (income minus cost) / cost. in case you made $10,000 from a $1,000 attempt, your return on funding (ROI) would be zero. nine, or ninety%.
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In a bank reconciliation, an outstanding check is ______.
Answer:
In a bank reconciliation, an outstanding check is ______. Deducted from the bank balance.
An economy has full-employment output of 6000. Government purchases, G, are 1200. Desired consumption and desired investment are:
C^d = 3600 - 2000r + 0.10Y, and
I^d= 1200 - 4000r
where Y is output and r is the real interest rate.
a. Find an equation relating desired national saving, S'*, to r and Y.
b. Using both versions of the goods market equilibrium condition, Eqs. (4.7) and (4.8), find the real interest rate that clears the goods market. Assume that output equals full-employment output.
c. Government purchases rise to 1440. Flow does this increase change the equation describing desired national saving? Show the change graphically. What happens to the market-clearing real interest rate?
a. The equation relating desired national saving, S', to r and Y is S'(r, Y) = -3600 + 2000r + 0.90Y. b. The real interest rate that clears the goods market can be found using equation (4.7) as r = (4800 - 0.90Y) / 6000. c. The increase in government purchases to 1440 changes the equation describing desired national saving to S'(r, Y) = -3600 + 2000r + 0.90Y + 1440.
To find an equation relating desired national saving, S'*, to r and Y, we need to subtract desired consumption (C^d) from total output (Y) and add net taxes (T) which equals Y - T. National saving (S) is then equal to Y - C^d - T.
C^d = 3600 - 2000r + 0.10Y
Y - T = Y - (Taxes) = Y - 0 (assuming no taxes)
Substituting the values into the equation for national saving, we have:
S'*(r, Y) = Y - C^d - T
= Y - (3600 - 2000r + 0.10Y) - 0
= Y - 3600 + 2000r - 0.10Y
Simplifying, we get:
S'*(r, Y) = -3600 + 2000r + 0.90Y
The goods market equilibrium condition can be expressed in two forms: equation (4.7) and equation (4.8).
Equation (4.7) states that desired national saving is equal to desired investment:
S'*(r, Y) = I^d(r)
-3600 + 2000r + 0.90Y = 1200 - 4000r
Simplifying, we get:
6000r = 4800 - 0.90Y
r = (4800 - 0.90Y) / 6000
Equation (4.8) states that desired national saving is equal to the sum of desired investment and government purchases:
S'*(r, Y) = I^d(r) + G
-3600 + 2000r + 0.90Y = 1200 - 4000r + G
If government purchases rise to 1440, the equation describing desired national saving, S'(r, Y), will change. Since government purchases are included in the equation, the change in government purchases will affect the value of S'(r, Y). Graphically, this change can be represented by shifting the S'*(r, Y) curve upward by the amount of the increase in government purchases.
The market-clearing real interest rate will be affected by the change in government purchases. To find the new market-clearing real interest rate, we need to use the updated equation for desired national saving (S'*(r, Y)) with the new value of government purchases (G = 1440). The new equation will be
S'*(r, Y) = -3600 + 2000r + 0.90Y + G
= -3600 + 2000r + 0.90Y + 1440
We can then solve for the new market-clearing real interest rate using the goods market equilibrium condition (equation 4.7) or the updated equation for desired national saving (S'*(r, Y)) with the new value of government purchases.
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In a fine dining establishment, customer complaints would be most
appropriately handled by which staff member?
Customer service is rise to parts communication and veritable consideration to your coffee shops. (tweet this) When visitors visit your eatery, you need them to feel welcome. Once you treat them with care and regard whereas giving an great supper, they’ll come back to your eatery once more and again. Satisfied clients are fundamentally to your commerce demonstrate.
Ways of handling guests
Listen with concern and empathy. Isolate the visitor in case conceivable, so that other visitors won't overhear. Stay calm. Do not contend with the guest. Be mindful of the guest's self-esteem. Appear a individual intrigued within the issue, Attempt to utilize the visitor title frequently. Give the visitor your unified consideration. Concentrate on the issue, no on putting fault. Don't Offended the guest. Take notes. Composing down the key actualities spares time in the event that somebody else must get included. Too, Visitor tends to moderate down when they see the front work area specialist attempting to compose down the issue.To know more about customer complaints visit:
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identify the main reasons why the project cost estimate is broken down into direct costs, direct project overhead costs, and general and administrative overhead costs. multiple select question.
The reasons why the project cost estimate is broken down into direct costs, direct project overhead costs, and general and administrative overhead costs are as follows:
1. Direct costs: These are costs that can directly attributed to the production or completion of a specific project. Breaking down the cost estimate into direct costs allows for a more accurate and detailed understanding of the resources and expenses required for the project. Examples of direct costs include materials, labor, and equipment.
2. Direct project overhead costs: These costs are related to the specific project but cannot be directly attributed to a particular activity or item. They are incurred to support the project's operations and are typically associated with project management, supervision, and quality control. Breaking down the cost estimate into direct project overhead costs helps in evaluating the overall project efficiency and effectiveness. Examples of direct project overhead costs include project management salaries, quality assurance expenses, and project-specific training costs.
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Explain how Transnet could respond to disruption as a risk by
making use of the ‘risk management process’
Transnet can ensure that it is prepared to deal with disruption risks. This process allows Transnet to identify potential disruptions, assess their impact, and develop and implement strategies to reduce their likelihood and mitigate their consequences. This helps Transnet to ensure that its services continue to operate smoothly, even in the face of disruptions.
Transnet could respond to disruption as a risk by making use of the ‘risk management process’ as follows:
Transnet is a state-owned enterprise that is responsible for managing South Africa's railway, ports, and pipeline infrastructure. It must respond to disruption risks in order to ensure that its services continue to run without interruption. Transnet's risk management process can assist it in identifying and addressing potential disruptions.
Explanation
Transnet's risk management process has the following steps:
1. Identify risks: The first step is to determine the sources of disruption and the likelihood of these risks occurring.
2. Analyze risks: The next stage is to assess the potential impact of these disruptions on Transnet's services and to prioritize them based on their severity
.3. Develop risk management strategies: The next stage is to develop strategies for reducing the likelihood of these risks and mitigating their consequences.
4. Implement risk management strategies: The next stage is to implement the strategies and monitor their effectiveness.
5. Review and improve the risk management process: The last stage is to evaluate the effectiveness of the process and make adjustments where necessary.
Conclusion
Therefore, by following this risk management process, Transnet can ensure that it is prepared to deal with disruption risks. This process allows Transnet to identify potential disruptions, assess their impact, and develop and implement strategies to reduce their likelihood and mitigate their consequences. This helps Transnet to ensure that its services continue to operate smoothly, even in the face of disruptions.
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Obi was a successful college athlete who now runs his own business, but his spending for his “image” has gotten him into financial trouble, adding to his student loan debt.
1) Why can't Obi make ends meet on $80,000/year? What are his "blind spots?"
2) Why does Dan Rosensweig say that your personal financial life should be run like a business? What is step one?
3) Why is personal debt so detrimental to someone who is running their own business?
4) How important is it for people to understand how (student) debt works, for example, why paying it down faster is desirable?
5) Do you think it was eye-opening for Obi to write down every dollar he spent for a period of time? Have you ever done that?
6) What lesson did he learn from Ronnie Lott? What did Obi do to demonstrate that he learned something from him?
7) Do you think Obi will be successful? Why?
8) How did you feel about the financial product promotions within the video? Do you think these are useful products for people in similar situations?
Answer:
The question is so long. I don't know :)
what is the meaning of market variable in maketing
Answer:
market is for people low budget and the markering is people qho want earn money in online
As you move through your career and begin to seek promotions, it is helpful to ______. a. Target and train for specific career promotions which fit your needs b. Remain tied to traditional practices in a technologically advancing age c. Show commitment to always doing your job in the same way no matter what d. Compile your professional development and growth every ten years Please select the best answer from the choices provided.
Answer:
a.
Target and train for specific career promotions which fit your needs
Explanation:
Which of the following statements about the W-2 form is TRUE? A W-2 lists all the money you spent over the last year You need a separate W-2 form from EACH of your employers in order to file your taxes The W-2 includes information about the interest you earned from your investments The total earnings from ALL jobs you worked in the previous year appear on ONE W-2 for
Answer:
w2 from each of your employers in order to do your taxes
1. Some bacteria are helpful to the body and:
a. cause cavities
b. die quickly outside other living cells
c. help the digestive system function properly
d. give you energy
2. Germs produce toxins in the body that can make you:
a. sneeze a lot
b. cough
c. have diarrhea
d. all of the above
3.List three ways to keep germs from spreading.
4. Describe the proper way to wash hands.
5. Describe what the immune system does for the body.
6. An antigen:
a. is an unknown substance that infects the body
b. is a protein that attaches itself to germs to get rid of them
c. destroys germs in the body
d. is a type of immunity you are born with
7. True or false: Vaccinations help to provide us with adaptive immunity, which is immunity that develops as we are exposed to diseases. T F
8. White blood cells help to:
a. infect the body
b. provide passive immunity
c. destroy infections
d. weaken your immune system
9. A specialized protein that recognizes invaders to the body and attaches to them is called:
a. an antigen
b. an antibody
c. a complement
d. a T cell
10. True or false: It’s OK not to wash my hands after using the bathroom at home because it's cleaner than a public restroom. T F
Answer:
I messaged you the asnwer.
Explanation:
Concentrated ownership is when there are very few shareholders so that each one gets a. Share of the profits
Answer:
yes it was correct but i was in shields and i’m going on the right now so it is a
Explanation:
If a parent MNC backs the debt of a foreign subsidiary, the borrowing capacity of the parent might be reduced because creditors may not be willing to provide as many funds to the parent if those funds may possibly be needed to rescue the subsidiary.
a. true b. false
If a parent MNC backs the debt of a foreign subsidiary, the borrowing capacity of the parent might be reduced because creditors may not be willing to provide as many funds to the parent if those funds may possibly be needed to rescue the subsidiary which is true.
If a parent multinational corporation (MNC) guarantees the debt of its foreign subsidiary, it creates a contingent liability for the parent. This means that if the subsidiary is unable to repay the debt, the parent MNC becomes responsible for fulfilling the obligations. As a result, creditors may view this contingent liability as a potential risk to the parent's borrowing capacity.
Creditors may be hesitant to provide additional funds to the parent MNC if they believe that those funds might be required to rescue the subsidiary in the event of financial distress. This reduced borrowing capacity can limit the parent's ability to raise capital for its own operations or investments.
Therefore, the statement is true. The parent MNC's backing of the foreign subsidiary's debt can potentially reduce the parent's borrowing capacity due to the increased risk perceived by creditors.
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