The strategy that supports improved indoor air quality during operations and maintenance is proper ventilation. This involves ensuring a constant supply of fresh outdoor air and removing stale air from the indoor space.
In order to achieve proper ventilation, it is important to regularly inspect and maintain the HVAC system. This includes cleaning or replacing air filters, checking and repairing any leaks or damages in the ductwork, and scheduling routine maintenance to keep the system running efficiently. Additionally, it is important to control sources of indoor air pollution, such as chemicals, cleaning products, and tobacco smoke. By implementing these strategies, you can help promote better indoor air quality, creating a healthier and more comfortable environment for occupants.
Utilize the fan or open a window while cooking to eliminate vapor and airborne particles. Check to see that any appliances that burn wood, gas, propane, or any other fuel completely vent to the outside. Avoid stoves with no vents. Install multiple carbon monoxide detectors throughout your home. Dryers for clothes can also be vented outside.
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What would happen to each of these components of the liquidity-preference model and AD-AS model if the Federal Reserve decides to buy bonds?a. Money supply: (Select one) stay the same, decrease, or increase .b. Interest rates: (Select one) decrease, increase, or stay the same .c. Quantity of money in the economy: (Select one) stay the same, decrease, or increase .d. Aggregate demand curve: (Select one) does not chang, shifts to the left, or shifts to the right .
As a result, the demand for goods and services would increase, leading to an increase in aggregate demand and a rightward shift of the aggregate demand curve.
a. If the Federal Reserve decides to buy bonds, the money supply in the economy would likely increase. This is because when the Federal Reserve buys bonds, it increases the reserves of banks, which in turn leads to an increase in the money supply.
b. If the Federal Reserve decides to buy bonds, it is likely that interest rates would decrease. This is because when the Federal Reserve buys bonds, it takes the bonds out of the market, which reduces the demand for bonds and causes their price to decrease. As a result, the interest rate on bonds would decrease to make them more attractive to investors.
c. If the Federal Reserve decides to buy bonds, it is likely that the quantity of money in the economy would increase. This is because when the Federal Reserve buys bonds, it increases the reserves of banks, which in turn leads to an increase in the money supply.
d. If the Federal Reserve decides to buy bonds, the aggregate demand curve would likely shift to the right. This is because when the Federal Reserve buys bonds, it increases the money supply and reduces interest rates, which makes it easier for households and businesses to borrow and spend money. As a result, the demand for goods and services would increase, leading to an increase in aggregate demand and a rightward shift of the aggregate demand curve.
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The price of a machine produced by a Japanese manufacturer is currently ¥250m and the current spot exchange rate is ¥91.04/A$. The Japanese manufacturer exports this machine to Australia. The Japanese inflation rate is 2.2% per annum and the Australian inflation rate is 2.8% per annum. Assume the purchasing power parity (PPP) holds. (i). Determine the machine's current price in Australia. (ii). Determine the price of this machine in Australia one year from now if there is a 70% pass-through of exchange rates.
(i) The current price of the machine in Australia is A$2,743,891.03. (ii) If there is a 70% pass-through of exchange rates, the price of the machine in Australia one year from now will be A$2,768,913.33.
(i) To determine the machine's current price in Australia, we need to convert the price in Japanese yen to Australian dollars using the spot exchange rate. The current price of the machine in Australia is calculated as follows: Price in Australia = Price in Japanese yen / Spot exchange rate = ¥250m / ¥91.04/A$ = A$2,743,891.03.
(ii) If there is a 70% pass-through of exchange rates, it means that 70% of the exchange rate changes will be reflected in the price of the machine. Taking into account the inflation rates, the exchange rate in one year will be adjusted by the difference in inflation rates (2.8% - 2.2% = 0.6%). Therefore, the new exchange rate will be ¥91.04/A$ * (1 + 0.6%) = ¥91.5988/A$. The price of the machine in Australia one year from now can be calculated as follows: Price in Australia = Price in Japanese yen / Adjusted exchange rate = ¥250m / ¥91.5988/A$ = A$2,768,913.33.
Note: This calculation assumes the purchasing power parity (PPP) holds, which suggests that the exchange rate reflects the relative purchasing power of currencies in different countries. However, in reality, PPP may not hold perfectly due to various factors such as transaction costs, trade barriers, and market imperfections.
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Why is it important to demonstrate a positive work attitude in the workplace?
O to be seen as trustworthy and reliable
O to be seen as coachable and flexible
O to be seen as willing to delegate tasks
O to be seen as easily persuadable
Answer:
the first one
Explanation:
if you aren't trustworthy you might not get as many opportunities in your workplace
why
is there need for JFET if BJT can be biased?
There is a need for Junction Field-Effect Transistors (JFETs) despite the biasing capability of Bipolar Junction Transistors (BJTs) due to the distinct advantages offered by JFETs in certain applications.
JFETs provide high input impedance, low noise operation, and can be used in situations where voltage amplification is required. They are particularly suitable for applications involving high-frequency signals, low-power consumption, and voltage-controlled operation.
While BJTs are widely used for amplification and switching applications, JFETs offer several advantages that make them desirable in specific scenarios. One key advantage is the high input impedance of JFETs, which allows them to be used in applications where a high impedance signal source needs to be connected to a low impedance load. This characteristic makes JFETs well-suited for amplifier stages where signal degradation and loading effects need to be minimized.
Another advantage of JFETs is their low noise operation. JFETs exhibit lower noise levels compared to BJTs, making them suitable for applications that require high signal fidelity, such as audio amplification and low-noise preamplifiers. The inherent simplicity of JFET circuits also contributes to their low noise performance.
Furthermore, JFETs are ideal for voltage-controlled operation. Unlike BJTs, which require a current to be injected into the base terminal for biasing, JFETs are voltage-controlled devices. This characteristic makes them suitable for applications where precise voltage control is necessary, such as in oscillators, voltage regulators, and certain types of amplifiers.
Additionally, JFETs are well-suited for high-frequency applications. Due to their intrinsic construction, JFETs exhibit excellent high-frequency response, making them suitable for radio frequency (RF) amplification, mixers, and other high-frequency circuits. Their low capacitance and parasitic effects enable JFETs to operate efficiently at high frequencies.
In summary, while BJTs provide biasing capabilities and are versatile devices, JFETs offer distinct advantages in terms of high input impedance, low noise operation, voltage-controlled operation, and suitability for high-frequency applications. These unique characteristics make JFETs indispensable in various electronic circuits and applications, where their specific advantages outweigh those offered by BJTs.
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According to the law of supply what's the result of an increase in the supply of workers for a job if all other factors remain equal?
Answer:
According to the law of supply, an increase in the supply of workers for a job if all other factors remain equal means the company wants to be efficient and it is also proof that the company is making more profit which signals the demand for the commodities they produced as increased drastically.
Explanation:
The law of supply work in the dimension of price, the number of goods available in the market, and it is hugely affected by demand. Now, when the price of goods decreases, it makes production by producers decrease as well and staffs are also laid off to avoid profit loss by the producers. This changes when the price of commodity increases as it makes producers of the commodity have the capacity to employ more staff to maximize time and this also causes the producers to increase sales. However, the higher demand for a commodity would also increase the supply of that commodity.
Answer:
The wage rate for that job will be pushed down.
Explanation: I just took the test and got it right
energy management system controllers used in control systems that provide independent control for specific systems or equipment are called ____.
Energy management system controllers used in control systems that provide independent control for specific systems or equipment are called "local controllers" or "zone controllers".
Energy management system controllers used in control systems that provide independent control for specific systems or equipment are commonly referred to as "local controllers" or "zone controllers". These controllers play a crucial role in managing energy consumption and optimizing efficiency within a building or facility. Local controllers are typically installed at a specific zone or area and are responsible for monitoring and controlling the energy usage of individual systems, such as HVAC (Heating, Ventilation, and Air Conditioning) units, lighting systems, or other equipment. They collect data, analyze energy consumption patterns, and make real-time adjustments to ensure optimal performance and energy savings. By providing localized control, these controllers enable targeted energy management and contribute to overall energy efficiency and cost reduction initiatives.
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What is the main function of the federal deposit insurance corporation?.
Answer:
the mission of the federal deposit insurance corporation is to maintain and public confidence in the nation's financial system
Complete this paragraph about the impact of trade on American jobs based on the video you just watched.
New Balance manufactures its shoes in
. The Obama administration proposed a trade agreement called the
. It is
to hire Vietnamese workers than American workers. New Balance executives are hoping to avoid their workers losing their
because of the trade agreement.
Answer:
The radius of the earth is 6371 km and the weight of an object on the earth is 800 N. The weight of the object at an altitude of 6371 km above the surface of the earth
Answer:
New England
Trans-Pacific Partnership
10 times cheaper
Jobs
Explanation:
What are some ways that technology could be used to benefit learners of a culture?
Answer:
Removes cultural and language barriers.
For students who may struggle to fit in, technology tools provide a way to engage and equalize—web tools, cameras, word processors, software, can help create opportunities for independence and inclusion.
Explanation:
hope it will help you have a great day bye:)
Why is it virtually important to understand the fees your bank may charge on your checking account
Answer:
Explanation:
When a bank lends you money, it charges interest on the loan. When you open a deposit account, such as a checking or savings account, there are fees for that as well. It's important to know all the fees your bank charges, as well as how to reduce or eliminate as many of them as possible.
as a general rule what percentage of debt to gdp
Answer:
There is no general rule.
Explanation:
Treasury yield is the return on investment, expressed as a percentage, on the U.S. government's debt obligations. Looked at another way, the Treasury yield is the effective interest rate that the U.S. government pays to borrow money for different lengths of time.
which one of the following is not an objective of a system of internal controls? safeguard company assets. enhance the accuracy and reliability of accounting records. ensure compliance with laws and regulations. ensure fairness of the financial statements.
An objective of a system of internal controls Fairness of the financial statements.
What is internal controls?
Internal control is a process for ensuring that an organization's objectives throughout effectiveness and efficiency, accurate financial reporting, and compliance with regulations, and policies are met, according to the definitions of accounting and auditing. Internal control is a broad concept that encompasses all aspects of risk management for an organisation. It is a method for managing, tracking, and evaluating an organization's resources. It is crucial to the organization's efforts to identify and stop fraud as well as to safeguard its tangible (such as equipment and property) and intangible (such as human capital) resources. Internal control objectives at the organisational level have to do with the accuracy of financial statements, timely feedback just on accomplishment of strategic or operational goals, as well as adherence to legal requirements.
Right! The fairness of the financial statements, while important, is not part of the 'mission' of internal controls. Internal Controls are designed to protect the assets of a company and reduce the chances of errors / fraud.
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a firm currently has a cash cycle of 36 days. assume the firm changes its operations such that it decreases its receivables period by 4 days, decreases its inventory period by 1 day, and decreases its payables period by 2 days. what will be the length of the cash cycle after these changes? 31 days 35 days 33 days 37 days 38 days
The length of the cash cycle after these changes will be 33 days.
The length of the cash cycle after the changes, we need to subtract the reduction in the receivables period, inventory period, and payables period from the original cash cycle.
Given:
Original cash cycle = 36 days
Reduction in receivables period = 4 days
Reduction in inventory period = 1 day
Reduction in payables period = 2 days
Length of the cash cycle after changes = Original cash cycle - Reduction in receivables period - Reduction in inventory period + Reduction in payables period
= 36 days - 4 days - 1 day + 2 days
= 33 days
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straight-line, declining-balance, and activity-based refer to methods commonly used to property, plant, and equipment.
Answer:
Depreciate
Explanation:
The volume of a cube is found with the formula V = s3, where s is the length of an edge of the cube. A container in the shape of a cube has a volume of 125 cm³. What is the depth of the container? Th
The depth of the container is 5 cm as the volume of a cube with 5 cm edge length is 125 cm³.
The given volume of the container is 125 cm³. We know that the volume of a cube is given by the formula V = s³, where s is the length of the cube. Therefore, we can use the formula to find the edge length of the container: V = s³ 125 = s³
Taking the cube root of both sides to solve for s, we have s = 5.
Therefore, the length of an edge of the container is 5 cm. Since the container is a cube, all three sides are of equal length. Therefore, the depth of the container is also 5 cm. Hence, the depth of the container is 5 cm.
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Z1) Introduction of the topic. Focus on the background of the topic and some relevant concepts which can be related to the work setting.
2) Application in life. Provide/Share own life experience/reflection and how the contents discussed can make an impact to the workplace. (Related to the topic)
Z1) The term Emotional Intelligence was introduced by Salovey and Mayer (1990). The idea of emotional intelligence states that an individual's ability to understand and manage their emotions as well as understanding the emotions of others is significant for personal and professional success in life.
Emotional Intelligence includes five major components, which include self-awareness, self-regulation, motivation, empathy, and social skills. The workplace is one place where emotional intelligence is highly regarded. Understanding the emotions of colleagues, managers, and subordinates is essential for a thriving and effective work environment. In addition, emotional intelligence can lead to improved communication, better relationships, and higher levels of job satisfaction.
2) I have been in the hospitality industry for over a decade now, and I have realized that emotional intelligence plays a significant role in customer service. As a front desk agent, I encounter different kinds of people with different emotions and needs. Understanding the emotions of customers and responding appropriately can make a difference in their satisfaction level and overall experience.
As a result, I have learned to practice emotional intelligence by being self-aware, regulating my emotions, and showing empathy towards customers. By understanding my emotions, I can control my reaction towards difficult customers. I have also learned to put myself in their shoes to understand their perspective better and respond accordingly. Understanding the emotions of customers has helped me to create a positive working environment, where I work more effectively with my colleagues to provide excellent customer service.
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Which of the following is an example of a variable cost?
. A Hourly labor
В. Interest on a loan
C. Insurance
D. Rent for an office
It is an example of a variable cost is Hourly labor. A fixed cost and a variable cost can be compared. The correct option is (A).
What do you mean by the variable cost?An expense that fluctuates in relation to production output or sales is referred to as a variable cost. Variable costs rise in response to rising production or sales, and fall in response to falling output or sales.
Fixed costs, in contrast to variable costs, are unaffected by changes in production or sales volume.
The contribution margin of a product, the parameter used to establish a company's break-even or target profit level, is heavily reliant on variable expenses.
Therefore, it is an example of a variable cost is Hourly labor. A fixed cost and a variable cost can be compared.
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which is a cause of system unavailability? A) natural disaster B) incomplete testing C) poor password practices D) poor physical security
Answer:
D) poor physical security
Explanation:
Answer:
A natural disaster
Explanation:
I know it seems weird but I put that and my test on Plato scored it as right
Two members of the Wisconsin state legislature wrote about the need for a constitutional amendment to balance the U.S. federal budget. They argued, "A few days ago, the federal deficit hit $1 trillion. That’s right, the United States spent $1,000,000,000,000 more than we could afford in this fiscal year alone. Wisconsin families know that is not sustainable. We don’t rack up credit cards to the max, add tens of thousands in car loans, a hefty mortgage we can’t afford, and then expect our grandchildren to pay it all back.
Embedded in these 4 sentences are three (3) arguments used to support a balanced budget amendment. Identify the 3 arguments made in the sentences above. What are the direct counter-arguments to the three (3) arguments identified above by those who oppose a balanced budget amendment.
The three arguments made to support a balanced budget amendment in the above-mentioned sentences are as follows:1. The U.S. federal deficit has hit $1 trillion, which is not sustainable.2. Wisconsin families know that overspending is not sustainable.
3. The idea of racking up credit cards to the max, adding tens of thousands in car loans, a hefty mortgage we can’t afford, and then expecting grandchildren to pay it all back is unreasonable. The direct counter-arguments to the three arguments identified above by those who oppose a balanced budget amendment are as follows:
1. Opponents of a balanced budget amendment argue that sometimes, governments must spend more than they collect in taxes to avoid a recession. For example, during the COVID-19 pandemic, the United States provided stimulus checks and implemented economic stimulus packages to prevent a deeper recession.
2. Opponents argue that a balanced budget amendment would make it challenging to address national crises, such as natural disasters, economic downturns, or public health crises, which require significant spending.
3. Opponents argue that the Constitution already provides the necessary mechanisms for a balanced budget by authorizing Congress to regulate commerce, levy taxes, and borrow money on the credit of the United States.
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Yuwwers are ad utically Hemaining Time: 18 minutes, 32 seconda Question Completion Status L Moving to another question will save this response: question Question 1 20 points As a bond analyst at Morgan Stanley Investment Banking, you are performing an analysis on bond yield You have the following data for a bond issued by Intel Corp The bond has 7% coupon and 20 year maturity The bond sells for $1,150 and is callable in 10 years at a call price of $1,200 The bond makes semiannual coupon payments a What is the annual Yield to Call? (sample answer 12.45%) b What is the annual Yield to Maturity? I (sample answer 12 45%) Question 105 Moving to another question will save this response. O
Answer : Annual Yield to Call = 10.47% and the annual Yield to Maturity is 6.06% (approx).
We can calculate the annual yield to call by using the following formula: Yield to Call = (Coupon Payment + ((Call Price - Bond Price) ÷ Number of Years until Call)) ÷ ((Call Price + Bond Price) ÷ 2). Where,Coupon Payment = $70Call Price = $1,200, Bond Price = $1,150, Number of Years until Call = 10 years.
Substituting the given values in the formula, we get ,Yield to Call = ($70 + (($1,200 - $1,150) ÷ 10)) ÷ (($1,200 + $1,150) ÷ 2) Yield to Call = 10.47% (approx). Therefore, the annual Yield to Call is 10.47% (approx).
We can calculate the annual yield to maturity by using the following formula : Yield to Maturity = (Coupon Payment + ((Face Value - Bond Price) ÷ Number of Years to Maturity)) ÷ ((Face Value + Bond Price) ÷ 2). Where , Coupon Payment = $70, Face Value = $1,000, Bond Price = $1,150. Number of Years to Maturity = 20 years. Substituting the given values in the formula, we get,Yield to Maturity = ($70 + (($1,000 - $1,150) ÷ 20)) ÷ (($1,000 + $1,150) ÷ 2) Yield to Maturity = 6.06% (approx)
Therefore, the annual Yield to Maturity is 6.06% (approx).
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following data:
Fixed overheads: £40,000
Selling price: £6
Variable cost per unit: £4
If the selling price is increased by 50% then the break-even level would
now be: *
(1 Point)
8,000 units
20.000 units
O 10,000 units
0 12500 units
Answer:
If the selling price is increased by 50% then the break-even level would now be 8,000 units.
Explanation:
The following are given in the question:
Fixed overheads = £40,000
Initial selling price = $6
Variable cost per unit = £4
Percentage increase in selling price = 50%
Therefore, we have:
New selling price = Initial selling price * (100% + Percentage increase in selling price) = £6 * (100% + 50%) = £9
New contribution margin per unit = New selling price - Variable cost per unit = £9 - £4 = £5
New break-even level = Fixed overheads / New contribution margin per unit = £40,000 / £5 = 8,000 units
Therefore, if the selling price is increased by 50% then the break-even level would now be 8,000 units.
Which descriptor relates to the income approach for valuing corporations? Multiplies the share price by the number of shares outstanding Reflects the equilibrlum between buyers and sellers of company stock Involves the capital asset pricing model Estimates the cost of replacing a company's resources
Option C. The description that relates to the income approach for valuing corporations is: Involves the capital asset pricing model .
What is the income approach ?One of the three main categories of methodology employed by appraisers is the income approach, also known as the valuation approach. It is particularly prevalent in corporate and commercial real estate evaluation. The basic math is comparable to how securities research, bond pricing, and financial valuation are done.
Any technique that transforms a stream of income into a measure of market worth is included in the income approach. Due to the fact that capitalization is the process of turning an expected income into a market value signal, the income approach is also known as the capitalization approach.
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Dan just lost his job. At 44 years old, he worked as a middle manager at a well-known advertising firm for 14 years. Due to a significant loss of clients, the company had to downsize despite Dan being an exemplary employee and winning several awards. The company decided to let Dan go instead of another middle manager who was in a minority group. In a business setting, this occurrence is referred to as
In a business setting, the given occurrence we called the reverse discrimination
Reverse discrimination is the non-fair treatment of members who belong to the majority group in the workplace that depends upon race, gender, etc.
Reverse discrimination might arise at the time when the majority group like white or males are to be overlooked for following things
JobsPromotionsOther types of opportunitiesThese should provide the preference to the minority group like for women
So therefore we can conclude that In a business setting, the given occurrence we called the reverse discrimination
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1. What is the difference between the consumer market and the business market?
Answer:
Business markets refer to organizations, businesses, or entities that acquire products and services for use in the production of other services and products. On the other hand, consumer markets refer to markets where producers sell their products or services directly to the final consumers.
Explanation:
Why would you write a complaint to a company?
Answer:
To discuss with a company about a problem you may be having with their service or product.
Explanation:
Ronald purchased a $4,500 bond that was paying a coupon rate of 6.30% compounded semi-annually and had 5 more years to mature. The yield at the time of purchase was 5.80\% compounded semi-annually. a. How much did Ronald pay for the bond? Round to the nearest cent . What was the amount of premium or discount on the bond? amount was Round to the nearest cent
To calculate the purchase price of the bond and the premium or discount, we need to use the bond pricing formula.
The bond pricing formula is:
Bond Price = (Coupon Payment / (1 + Yield Rate/2)^Number of Periods) + (Face Value / (1 + Yield Rate/2)^Number of Periods)
Given:
Coupon Rate = 6.30% (or 0.063 converted to decimal)
Yield Rate = 5.80% (or 0.058 converted to decimal)
Face Value = $4,500
Number of Periods = 5 years * 2 (since the coupon is compounded semi-annually)
Let's calculate the purchase price:
Bond Price = (Coupon Payment / (1 + Yield Rate/2)^Number of Periods) + (Face Value / (1 + Yield Rate/2)^Number of Periods)
Coupon Payment = Coupon Rate * Face Value / 2
Coupon Payment = 0.063 * $4,500 / 2
Coupon Payment = $141.75
Bond Price = ($141.75 / (1 + 0.058/2)^(5*2)) + ($4,500 / (1 + 0.058/2)^(5*2))
Bond Price ≈ $4,737.32
The purchase price of the bond is approximately $4,737.32.
Now, let's calculate the premium or discount:
Premium/Discount = Bond Price - Face Value
Premium/Discount = $4,737.32 - $4,500
Premium/Discount ≈ $237.32
The amount of premium or discount on the bond is approximately $237.32.
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What is a public good?
A A public good is a product or service that one consumer can prevent another consumer from using, and is not accessible without
payment
B A public good is a product or service that one consumer cannot present another consumer from using, and is accessible without
payment
C A public good is a product or service that one consumer cannot prevent another consumer from using, and is not accessible without
payment
D A public good is a product or service that one consumer can prevent another consumer from using, and is accessible without payment.
I believe your answer is B
A public good is a product or service that one consumer cannot present another consumer from using, and is accessible without payment
Which statement best describes the first draft of a piece of business writing?
A.
It’s the result of several rounds of revision.
B.
It’s usually ready to be published.
C.
It doesn’t have any grammatical errors.
D.
It needs further development and editing.
E.
It has clear organization in each section.
Answer:
D. It needs further development and editing.
Explanation: The first draft has the main ideas, but it probably has misspelled words, grammatical errors, and punctuation that must be corrected. It may need reorganization and more development before it is ready for publication.
Answer:
D It needs further development and editing.
Explanation:
plato edmentum
When a minimum-wage law forces the wage to remain above the equilibrium level, the result is a. both surplus of labor and a surplus of jobs. be. a shortage of labor and a surplus of jobs. c. a surplus of labor and a shortage of jobs. d. both a shortage of labor and a shortage of jobs.
Answer:
The answer is C. a surplus of labor and a shortage of jobs.
Explanation:
When the wage is above the equilibrium level, the quantity of labor supplied exceeds the quantity of labor demanded, this makes workers to be surplus in relative to the available jo vacancies. The surplus of labor being experienced is called unemployment.
And if the quantity of labor exceeds labor demanded, businesses will demand more of workers.
The result is a C. a surplus of labor and a shortage of jobs.
The following information should be considered:
In the case when the wage is over and above the level of equilibrium so the quantity of labor supplied should be more than the quantity of labor demanded. Due to this, there is the surplus of labor and this result in shortage of jobs.
Therefore we can conclude that the correct option is C.
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If the approximate market value for of a $1,000 corporate bond is $1,200 and it pays 6 percent interest, then what are comparable bonds paying?
The comparable bonds pay a 5% interest rate when the approximate market value of a $1,000 corporate bond is $1,200 and it pays 6 percent interest.
What are bonds?A bond is a type of financial security in which the issuer owes the holder debt and is obligated depending on the terms to repay the principal of the bond as well as interest over a specified period of time.
Given that,
Approximate market value of $1,000 is $1,200
Interest rate is 6%
\(\rm\,Annual \; Interest = (face \; value)\times Interest \; rate\\ \rm\,Annual \;Interest = 1,000 \times 6\%\\ \rm\,Annual \;Interest = 60\\\\Calculation of comparable bond interest rate:\\\\Approximate \;bond \;value = \frac{Annual\; interest}{Comparable \;interest\; rate} \\\\1200 =\frac{60}{Comparable\; Interest \;Rate} \\\\Comparable\; Interest\; Rate = 5\%\)
Hence, the comparable bonds pay a 5% interest rate.
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