Fill in the blank. if the fed reduced the reserve requirement from 20 percent to 16 percent, excess reserves in the commercial banking system would increase by _____ and the monetary multiplier would rise to ____.

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Answer 1

If the Fed reduced the reserve requirement from 20 percent to 16 percent, excess reserves in the commercial banking system would increase by 4 percentage points, and the monetary multiplier would rise to 6.25.

The reserve requirement is the percentage of deposits that banks are required to hold as reserves. When the reserve requirement is lowered, banks are allowed to hold a smaller portion of deposits as reserves and can lend out a larger proportion of their funds. In this case, the reduction in the reserve requirement from 20 percent to 16 percent means that banks can now hold 4 percentage points less as reserves.

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Jyanita borrrow 7000 interest free from her mom to buy a car. Juanita pays back 150 per month to her mother. How much will she still owe after 2 years if payments

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After two years, Jyanita would still owe her mother $3,400 after two years of making monthly
payments of $150.
Jyanita would have paid off $3,600 of the $7,000 she borrowed, leaving her with a remaining balance of $3,400.

If Jyanita borrows $7,000 interest-free from her mother to buy a car, and pays back $150 per month, the total amount of payments over two years would be $3,600 ($150 x 24 months).
Therefore, Jyanita would still owe her mother $3,400 after two years of making monthly . It is important for Jyanita to continue making her monthly payments on time and in full to ensure that she pays off the loan as quickly as possible and maintains a good relationship with her mother.

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Curtis Party Rentals offers party equipment such as tents, tables, chairs, and so on for outdoor events. The rental fees average $910 per event. Curtis receives a 15 percent deposit two months before the event, 60 percent the month before, and the remainder on the day the equipment is delivered and set up. Planners at Curtis estimate the following number of events for the last half of the current year: July August September October November December 300 320 370 280 240 270 Required: a. What are the expected revenues for Curtis Party Rentals for each month, July through December? Revenues are recorded in the month of the event. B. What are the expected cash receipts for each month, July through October?

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a. The expected revenues for Curtis Party Rentals for each month, July through December, are as follows:

July: $910/event * 300 events = $273,000

August: $910/event * 320 events = $291,200

September: $910/event * 370 events = $337,700

October: $910/event * 280 events = $254,800

November: $910/event * 240 events = $218,400

December: $910/event * 270 events = $245,700

b. The expected cash receipts for each month, July through October, considering the deposit received two months before, 60% the month before, and the remainder on the day of delivery, are as follows:

July: Deposit received: 15% * $273,000 = $40,950 Cash receipts: $0

August: Deposit received: 15% * $291,200 = $43,680 Cash receipts: 60% * $273,000 = $163,800

September: Deposit received: 15% * $337,700 = $50,655 Cash receipts: 60% * $291,200 = $174,720

October: Deposit received: 15% * $254,800 = $38,220 Cash receipts: 60% * $337,700 = $202,620

Note: The cash receipts for November and December were not provided in the question.

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All of the following are examples of why organizations source worldwide except _____.
a. access to the only source available
b. react to buying patterns of competitors
c. higher ethics
d. cost/price benefits
e. establish a presence in another country market

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The correct answer to the question is "higher ethics." All of the other options listed - access to the only source available, reacting to buying patterns of competitors, cost/price benefits, and establishing a presence in another country market - are valid reasons why organizations source worldwide so the correct answer is option (c).

Access to the only source available can be important for organizations that need a specific type of material or product that is not available in their home country. Reacting to buying patterns of competitors is also important, as organizations need to stay competitive in their respective markets. Cost/price benefits are often the most important reason why organizations source worldwide, as they can save significant amounts of money by outsourcing to countries with lower labor costs. Finally, establishing a presence in another country market can be important for organizations that want to expand their customer base and increase their global reach.

Overall, there are many reasons why organizations source worldwide, and understanding these reasons is essential for businesses that want to succeed in the global marketplace.

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when it is predicted that a stock will go up or down, investors usually buy or sell stocks accordingly. for example, selling when a stock goes down, or buying when a stock goes up. this example best illustrates .

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This example best illustrates the concept of market timing. Market timing refers to the practice of attempting to predict the future movements of stock prices or market trends in order to make buy or sell decisions.

In the given example, investors are making decisions based on their prediction that the stock will either go up or down. They sell stocks when they anticipate a decrease in price (stock goes down) and buy stocks when they expect an increase in price (stock goes up). This behavior reflects an attempt to time the market based on anticipated price movements. However, it's important to note that market timing is a challenging strategy, as accurately predicting short-term price movements is difficult and can be influenced by various factors.

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what would happen to research and development of new products and technologies if the u.s. eliminated

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If the U.S. eliminated patent protection, it would likely have a significant impact on research and development (R&D) of new products and technologies. Here are a few potential consequences: Decreased incentives for innovation, Increased risk of imitation and competition, Reduced funding for R&D, Limited knowledge sharing

Decreased incentives for innovation: Patents provide legal protection and exclusivity to inventors and innovators, granting them the right to profit from their inventions for a limited period. By eliminating patent protection, inventors would lose the financial incentives and competitive advantage associated with exclusive rights. This could reduce the motivation to invest in R&D, as companies may be less willing to spend resources on developing new technologies if they cannot recoup their investment.
Increased risk of imitation and competition: Without patent protection, there would be fewer barriers for competitors to replicate and imitate innovative products and technologies. This could lead to a more competitive market environment, with companies being less willing to invest in R&D if they cannot establish a temporary monopoly on their inventions. The increased risk of imitation may deter companies from pursuing high-risk and costly R&D projects.
Reduced funding for R&D: Patents can serve as valuable assets that attract investment and funding for R&D efforts. Investors are often more willing to finance projects with the potential for patent protection and future profitability. Without this protection, it may become more challenging for companies and individuals to secure funding for R&D initiatives, leading to a decline in overall R&D investment.
Limited knowledge sharing: Patents require inventors to disclose their inventions publicly in exchange for protection. This disclosure contributes to the advancement of knowledge and encourages further innovation. By eliminating patents, there could be a reduction in the sharing of new ideas and technological advancements, as inventors may be more hesitant to disclose their innovations without the guarantee of exclusivity.
It's important to note that the impact of eliminating patent protection would depend on various factors and could have different effects across different industries and sectors. However, in general, patent protection plays a crucial role in incentivizing and fostering innovation by providing legal rights, exclusivity, and economic incentives for R&D efforts.

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if an organization fails to count or value inventory correctly, ____

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If an organization fails to count or value inventory correctly, it can lead to inventory inaccuracies and financial misstatements.

Accurate counting and valuation of inventory are critical for organizations to maintain proper financial records and make informed business decisions. When an organization fails to count or value inventory correctly, it can have several negative consequences.

Firstly, inaccurate inventory counts can result in discrepancies between the physical inventory on hand and the recorded inventory in the financial statements. This can lead to financial misstatements, such as overstating or understating the value of inventory and affecting the accuracy of the organization's balance sheet and income statement.

Secondly, incorrect valuation of inventory can impact the cost of goods sold (COGS) and gross profit figures. Over or underestimating the value of inventory can distort the organization's profitability metrics and financial performance analysis.

Moreover, inaccurate inventory counts and valuation can lead to poor decision-making. Management relies on accurate inventory information to determine reorder points, manage production levels, plan for seasonal fluctuations, and assess the overall financial health of the organization. Without reliable inventory data, organizations may face challenges in meeting customer demands, controlling costs, and maximizing operational efficiency.

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why is the amercan beer industry regarded as one of the most oligopolistic industries?

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The American beer industry is regarded as one of the most oligopolistic industries because it is dominated by a few large companies, such as Anheuser-Busch InBev, MillerCoors, and Constellation Brands.

These companies control a significant portion of the market share and have the power to influence prices, limit competition, and control the supply chain. Additionally, the high costs associated with entering the industry, such as marketing and distribution expenses, make it difficult for smaller companies to compete. The result is a market with limited competition and a few dominant players, which is a defining characteristic of an oligopoly.

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What is the internal rate of return of a current cash value of $400 that is worth $577 five years in the future? A. 6.25% B. 8.49% C. 7.60% D. none of the given choices

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None of the given choices (A, C, D) accurately represent the calculated IRR..

To calculate the internal rate of return (IRR), we need to find the discount rate that equates the present value of the cash inflows to the initial cash outflow. In this case, the initial cash outflow is -$400 (negative because it's an outgoing payment), and the future cash inflow is $577.

Using the IRR function in a financial calculator or software, we find that the IRR is approximately 8.49%. Therefore, the correct answer is B. 8.49%.

Note: None of the given choices (A, C, D) accurately represent the calculated IRR.

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which of the following is a limitation of gdp? it measures the income inequality in the society. it does not consider the non-market transactions. it implies that growth is sustainable. it accounts for all household work done by housewives. it does not show the consumption expenditure in the economy.

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It measures the income inequality in the society: is a limitation of GDP in a economy. Thus, option A is the correct option.

One of the shortcomings of the gross domestic product (GDP) is that it excludes the profits of home enterprises doing business overseas. A country's or nations' gross domestic product is a monetary indicator of the market value of all the finished products and services produced and sold within a certain time period.

The government of a single nation most frequently uses GDP to gauge the strength of its economy. This measurement is frequently changed before being regarded as a trustworthy signal because of how complicated and subjective it is.

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6. banks and the fractional reserve system when a check drawn against bank a clears the system, bank a loses: neither reserves nor deposits both reserves and deposits reserves deposits

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When a check is drawn against a bank, the bank is obligated to transfer the funds from the account of the check writer to the account of the payee. However, if the bank does not have enough funds in reserves to cover the check, it can utilize the fractional reserve system.

This system allows banks to keep only a fraction of the deposits made by customers as reserves and lend out the rest of the funds to earn interest.
In this case, if bank A loses reserves, it means that it did not have enough reserves to cover the check and had to use some of its reserves to cover the payment. However, if bank A loses deposits, it means that the account of the check writer was debited, which would reduce the amount of deposits in the bank. Therefore, the correct answer to the question would be "reserves". Bank A would lose reserves if it did not have enough funds to cover the check.
In conclusion, the fractional reserve system allows banks to lend out most of the deposits made by customers and keep only a fraction as reserves. Therefore, it is crucial for banks to maintain adequate reserves to cover any withdrawals or checks drawn against them.

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what is the future value of $3,400 per year for 22 years at an interest rate of 7.35 percent?

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The future value of $3,400 per year for 22 years at an interest rate of 7.35 percent is $167,952.98.

The future value of an annuity is calculated using the following formula:

FV = PMT * [(1 + r)^n - 1] / r

Where:

FV is the future value

PMT is the periodic payment

r is the interest rate

n is the number of periods

In this case, we have:

PMT = $3,400

r = 7.35%

n = 22

Plugging these values into the formula, we get:

FV = $3,400 * [(1 + 0.0735)^22 - 1] / 0.0735

= $167,952.98

The future value of $3,400 per year for 22 years at an interest rate of 7.35 percent is $167,952.98. This means that if you invest $3,400 per year for 22 years at an interest rate of 7.35 percent, you will have a total of $167,952.98 at the end of 22 years.

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alice has a loan of $24,820. this loan has a simple interest rate of 3.5% per year. no payments will be made on the loan until the end of one year. how much interest will alice pay on this loan at the end of one year? f $868.70 g $72.39 h $8,687.00 j $25,688.70

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The interest will alice pay on this loan at the end of one year is (f) $868.70.

To calculate the interest on the loan, we can use the formula:

Interest = Principal * Rate * Time

Here, the principal is $24,820, the rate is 3.5% per year, and the time is 1 year. Substituting the values, we get:

Interest = $24,820 * 0.035 * 1

Interest = $868.70

Therefore, Alice will have to pay $868.70 in interest on the loan at the end of one year.

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True or false, a market segment is defined as the group of people to whom a marketer sells its products.

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The statement "a market segment is defined as the group of people to whom a marketer sells its products" is True.

What is a market segment?

A market segment is a group of consumers that share similar interests and needs. When a marketer is selling products, they look for groups of people who might be interested in their product.The market segmentation process identifies the different customer needs and wants within a specific market. After identifying these needs and wants, the marketer designs and delivers customized offerings to different segments. For instance, a company that sells shoes would segment its market into different groups based on gender, income, age, and other factors. It would then create specific shoes to cater to each of these groups' needs.

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at which stage of the venture's life cycle is best characterized by revenues starting to grow and cash flows from operations begin covering cash outflows?

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The stage of the venture's life cycle best characterized by revenues starting to grow and cash flows from operations beginning to cover cash outflows is the growth stage.

The venture life cycle typically consists of several stages: introduction, growth, maturity, and decline. During the growth stage, the business experiences increasing sales and revenue. The products or services gain market acceptance, and the company starts to generate positive cash flows from its operations that are sufficient to cover its cash outflows, including expenses and investments.

This stage is crucial for the sustainability and expansion of the venture. The focus shifts from establishing a customer base and product development to scaling operations, expanding market share, and maximizing profitability. Companies in the growth stage often invest in marketing, research and development, production capacity, and talent acquisition to further accelerate growth. It is a critical phase where the business establishes its position in the market and aims to achieve sustainable profitability.

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the stage of team development in which conflicts are resolved and members focus on problem solving is called reforming. true false

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False.The stage of team development in which conflicts are resolved and members focus on problem-solving is called the norming stage, not "reforming."

During the norming stage, team members establish norms, develop closer relationships, and work collaboratively to resolve conflicts and achieve common goals. This stage is characterized by increased cooperation, open communication, and a shared focus on finding solutions to problems.
The term "reforming" is not commonly used in the context of team development stages. The four commonly recognized stages of team development are forming, storming, norming, and performing. These stages describe the typical progression of a team from its initial formation to becoming a highly functioning and cohesive unit.

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missy corp. issues two bonds with 25-year maturities. both bonds are callable at $1,050. the first bond is issued at a deep discount with a coupon rate of 4.5% and a price of $680 to yield 7.32%. the second bond is issued at par value with a coupon rate of 8.85%. a) what is the yield to maturity of the par bond? why is it higher than the yield of the discount bond? b) if you expect rates to fall substantially in the next two years, which bond would you prefer to hold?

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a) The yield to maturity of the par bond can be calculated as follows:

PV = $1,000

Coupon Payment = $88.50

Maturity = 25 years

FV = $1,000

Using a financial calculator or spreadsheet, the yield to maturity of the par bond is approximately 8.85%, which is the same as the coupon rate.

The yield to maturity of the discount bond is 7.32%, which is lower than the yield to maturity of the par bond. This is because the discount bond is priced below its par value and has a lower coupon rate than the par bond. As a result, investors are willing to accept a lower yield to maturity in order to purchase the bond at a discount.

b) If an investor expects rates to fall substantially in the next two years, they would prefer to hold the callable bond with the lower coupon rate and higher yield to maturity. This is because the callable bond would be more likely to be called by the issuer if rates fall, and the investor would receive the call price of $1,050, which is higher than the market value of the bond.

In contrast, if rates fall, the par bond would continue to pay its high coupon rate, and its market value would likely increase. As a result, the investor would miss out on the opportunity to benefit from the lower rates.

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True or False : for a given change in interest rates, fixed-rate assets with long-term maturities will have smaller changes in price than assets with shorter maturities.

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True. When interest rates change, fixed-rate assets with longer maturities will generally experience smaller changes in price compared to assets with shorter maturities.

This relationship is known as the "duration" of the asset. Duration measures the sensitivity of an asset's price to changes in interest rates.

Fixed-rate assets with longer maturities have higher durations. This means that for a given change in interest rates, the percentage change in price of these assets will be smaller compared to assets with shorter maturities. This is because the longer the time until maturity, the more cash flows are expected to be received, reducing the impact of interest rate changes.

On the other hand, assets with shorter maturities have lower durations and will experience larger price changes for a given change in interest rates. Their cash flows are concentrated within a shorter time frame, making them more sensitive to interest rate fluctuations.

However, it's important to note that duration is not the only factor that determines price changes in response to interest rate movements. Other factors, such as credit quality, market conditions, and liquidity, can also influence the price volatility of fixed-rate assets.

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uppose different countries have different savings rates, but the same rate of technological growth. explain any differences that these countries will experience in levels of output and growth of output

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The intended consumption equation demonstrates that consumption depends on output in a positive way () desired consumption equations since as income rises, so does the amount of money available for spending.

S = 0.90Y - 692 + 1800r is the equation linking desired national saving (S) to production (Y). According to the coefficient of 0.10, consumption grows by 0.10 for every $1 rise in output. The negative coefficient of -600r shows that as real interest rates rise.

People's propensity to spend on consumption decreases since borrowing money becomes more expensive. The desired investment equation demonstrates that the real interest rate has a negative relationship with investment because higher interest rates make it more expensive for businesses to borrow money for investments. The difference between output and spending is known as national saving (Y - C -G-). We may replace them in the national saving equation using the desired consumption and desired investment equations:

S=Y-C-G-|

S=Y- (1100 - 600r + 0:10Y)–300 -(292-1200r)

S=Y- 1100 + 600r- 0.10Y - 300-292+ 1200r

S= 0.9OY – 692+ 1800r.

Complete question:

uppose different countries have different savings rates, but the same rate of technological growth. explain any differences that these countries will experience in levels of output and growth of output?

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if a nation has a comparative advantage in the production of x, then that nation:group of answer choicesis not subject to increasing opportunity costs.cannot benefit by producing and trading product x.must give up less of other goods produced compared to other nations producing product x.must produce x at a lower money cost compared to other nations producing product x.

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If a nation has a comparative advantage in the production of X, then that nation must give up less of other goods produced compared to other nations producing product X.

This means that the opportunity cost of producing X is lower in that nation than in other nations. As a result, it is more efficient for that nation to specialize in producing X and trade with other nations to obtain goods that it cannot produce as efficiently. This is the basis for the theory of comparative advantage, which suggests that nations should specialize in producing goods in which they have a comparative advantage and trade with other nations to obtain goods in which they do not have a comparative advantage.

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Footsteps Co. has a bond outstanding with a coupon rate of 5.1 percent and annual payments. The bond currently sells for $1,016.53, matures in 15 years, and has a par value of $1,000. What is the YTM of the bond?

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The YTM (yield to maturity) of the bond is 4.84 percent. To calculate the YTM, we need to use the bond pricing formula, which is: P = (C / r) x [1 - 1 / (1 + r)^n] + (F / (1 + r)^n)


Where:
P = current market price of the bond
C = annual coupon payment
r = YTM (unknown)
n = number of years until maturity
F = par value of the bond


$1,016.53 = ($51 / r) x [1 - 1 / (1 + r)^15] + ($1,000 / (1 + r)^15)

Solving for r using a financial calculator or Excel, we get 4.84 percent as the YTM. Therefore, the bond is currently yielding 5.1 percent annually in coupon payments, but because it is selling at a premium, the YTM is lower at 4.84 percent.

To find the YTM, you can use the following bond pricing formula:
Bond price = (C × (1 - (1 + YTM)^(-n)) / YTM) + (FV / (1 + YTM)^n)

Where:
- Bond price is the current price of the bond ($1,016.53)
- C is the annual coupon payment (5.1% × $1,000 = $51)
- YTM is the yield to maturity (unknown)
- n is the number of years until maturity (15)
- FV is the face value or par value of the bond ($1,000)

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you sell a 6 percent $10,000 bond for $9,180 plus $156 in accrued interest for a total of $9,336. soon thereafter the company makes a $300 interest payment. you are in the 20 percent income tax bracket. how much tax do you owe on the interest? compare your answers for problems 2 and 3. why do they differ?

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You owe $60 in tax on the $300 interest payment. The answer for this problem is different from problem 2 because in problem 2, you purchased the bond and in problem 3, you sold the bond.

When you sell a bond, you may receive accrued interest that has accumulated since the last interest payment. In this case, you received $156 in accrued interest when you sold the bond for a total of $9,336. When the company makes its next interest payment of $300, you will owe income tax on that amount. Since you are in the 20% income tax bracket, you will owe $60 in tax on the $300 interest payment. When you purchase a bond, you pay accrued interest to the seller, but when you sell a bond, you receive accrued interest from the buyer. This difference in accrued interest affects the amount of taxable interest you receive, and therefore the amount of tax you owe on that interest.

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health insurance costs have been increasing at a rate greater than the cpi.
T/F

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True. Health insurance costs have been increasing at a rate greater than the Consumer Price Index (CPI).

It is true that health insurance costs have been rising at a faster rate than the CPI. The CPI is a measure of average price changes in a basket of goods and services over time, reflecting general inflation. On the other hand, health insurance costs are influenced by various factors specific to the healthcare industry, such as medical advancements, increased utilization of healthcare services, rising prescription drug prices, and administrative costs.

The healthcare industry has experienced significant cost pressures, leading to higher premiums and out-of-pocket expenses for individuals and businesses. Factors like the aging population, chronic diseases, and the complexity of medical treatments contribute to the rising healthcare costs.

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the margin of safety is determined as a. sales minus sales at break-even point divided by sales. b. contribution margin divided by income from operations. c. total sales equal total costs. d. fixed costs divided by unit contribution margin.

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The correct answer to your question is option A - the margin of safety is determined as sales minus sales at break-even point divided by sales. This is a ratio that measures the difference between actual or projected sales and the level of sales at which a company would break even.

Margin of safety is an important financial metric for businesses as it indicates the level of sales cushion a company has before it starts incurring losses. The higher the margin of safety, the greater the level of protection a business has against unexpected events or declines in sales. In order to calculate the margin of safety, we need to determine the sales at the break-even point first. This is the point where a company's total revenue equals its total costs, resulting in zero profit or loss. The margin of safety is then calculated by subtracting the break-even sales from the actual or projected sales and dividing the result by the actual or projected sales. This gives us a percentage that indicates how much sales can decline before a company starts to incur losses. Understanding the margin of safety can help businesses make informed decisions about pricing, cost control, and resource allocation. By monitoring this metric, businesses can identify potential risks and opportunities and take action to mitigate them. In summary, the margin of safety is a key financial indicator that businesses should track and analyze regularly to ensure their long-term success.

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purchases that have substantial social or economic consequences: group of answer choices represent routine purchases that pose little risk. represent high-involvement purchase decisions. usually require relatively less investment of time and effort. require independent decision making.

Answers

Purchases that have substantial social or economic consequences typically represent high-involvement purchase decisions. Option 2 is Correct.

These are purchases that are likely to have a significant impact on an individual or organization and require a great deal of thought and consideration. Examples of high-involvement purchase decisions might include buying a house, investing in a new business, or selecting a new healthcare plan.

Routine purchases that pose little risk are typically considered to be low-involvement purchase decisions. These are purchases that are made frequently and do not have a significant impact on an individual or organization. Examples of low-involvement purchase decisions might include buying groceries, filling a prescription, or buying a new pair of shoes. Option 2 is Correct.

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Correct Question:

Purchases that have substantial social or economic consequences: group of answer choices

1. represent routine purchases that pose little risk.

2. represent high-involvement purchase decisions.

3. usually require relatively less investment of time and effort.

4. require independent decision making.

Firm ABC had operating profits of $100,000, taxes of $17,000, interest expense of $34,000, and preferred dividends of $5,000. What was the firm's net profit after taxes? $83,000 $49,000 $66,000 $44,000

Answers

Interest expense, or preferred dividends from the operating profits: Net Profit = Operating Profits - Taxes - Interest Expense - Preferred Dividends. Net Profit = $100,000 - $17,000 - $34,000 - $5,000. Net Profit = $44,000. Therefore, the firm's net profit after taxes is $44,000.

Net profit is a crucial financial metric that indicates a company's profitability after deducting all expenses from its total revenue. It represents the amount of money remaining for the business after accounting for costs such as taxes, interest expenses, and dividends. Calculated by subtracting total expenses from total revenue, net profit serves as a measure of a company's financial health and performance. It is an essential indicator for investors and stakeholders to assess a company's profitability and potential for growth.

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The Ford Motor Company recently acquired Mazda, a Japanese auto maker, and Jaguar, a British auto maker.This is an example of cross-border M&A.This was a Greenfield investment.none of the optionsThis is an example of cross-border M&A, and was also a Greenfield investment.

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This is an example of cross-border M&A, as Ford Motor Company acquired two foreign auto makers, Mazda and Jaguar.

Cross-border M&A refers to the merger or acquisition of companies from different countries, with the aim of gaining market share or expanding the business globally. In this case, Ford Motor Company aimed to expand its product offerings and strengthen its presence in the global automotive industry.

However, this was not a Greenfield investment, which typically involves establishing a new business or investing in a new project in a foreign country. Instead, Ford Motor Company acquired existing companies with established brands and operations. This allowed the company to leverage the existing infrastructure and resources of Mazda and Jaguar to achieve its strategic goals.

In conclusion, the acquisition of Mazda and Jaguar by Ford Motor Company is an example of cross-border M&A, but not a Greenfield investment. It represents a strategic move by Ford to expand its business globally and strengthen its position in the automotive industry.

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research shows that the extent to which members of a given culture are likely to be generous in allocating resources to strangers depends on the degree to which members of the culture

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Research indicates that the likelihood of individuals in a particular culture being generous in allocating resources to strangers is influenced by the level of cooperation and trust within that culture.

The extent to which members of a culture are likely to be generous in resource allocation to strangers depends on the degree of cooperation and trust within the culture. Cultures that emphasize cooperation and have a high level of trust among their members are more likely to exhibit generous behavior towards strangers. In such cultures, individuals are more willing to share their resources and help others, even if they have no personal relationship or direct benefit from doing so.

This pattern can be explained by the fact that in cultures with high cooperation and trust, individuals perceive others as reliable and trustworthy, and therefore feel more comfortable sharing resources with strangers. Additionally, cultural norms and values play a role in shaping individuals' behavior. Cultures that prioritize collective well-being and view generosity as a positive trait are more likely to have members who exhibit generous behavior towards strangers.

On the other hand, cultures with lower levels of cooperation and trust may exhibit less generosity towards strangers. In such cultures, individuals may be more cautious and hesitant to share resources with those outside their immediate social circle or kinship network. The level of cooperation and trust within a culture has a significant impact on the generosity and resource allocation behaviors of its members towards strangers.

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opportunity costs should be included in a make or buy analysis. multiple choice question. never sometimes always

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The answer to this multiple choice question is "always". Hence, option C is correct. Opportunity costs should always be included in a make or buy analysis as they represent the potential benefits that will be forgone when making a certain decision.

A make or buy analysis involves comparing the costs and benefits of producing a product or service in-house versus outsourcing it to a third-party supplier. By considering opportunity costs, businesses can better understand the potential trade-offs involved in each option. For example, if a company decides to make a product in-house, it may have to forego the potential benefits of outsourcing such as reduced costs and increased efficiency. On the other hand, if a company decides to outsource, it may have to forego the potential benefits of having greater control over the production process and maintaining the quality of the product. By including opportunity costs in a make or buy analysis, businesses can make more informed decisions and choose the option that provides the greatest overall value. This helps to ensure that businesses are making the most efficient use of their resources and maximizing their returns. Therefore, it is important to always include opportunity costs in a make or buy analysis.

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during 2024, a software company incurred development costs of $2,000,000 related to a new software project. of this amount, $400,000 was incurred after technological feasibility was achieved. the project was completed in the middle of the year and the product was available for release to customers on july 1. revenues from the sale of the new software in 2024 were $500,000 and the company anticipated future additional revenues of $4,500,000. the economic life of the software is estimated at four years. what is amortization in 2024?

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The amortization in 2024 for the software development costs is $100,000. The company uses the straight-line method to calculate the amortization expense by dividing the total development costs by the estimated economic life of the software.

In this case, the total development costs are $2,000,000, and the estimated economic life of the software is four years. Therefore, the annual amortization expense is $500,000. Since the software was available for release on July 1, the company can only amortize the development costs for half of the year, which is $250,000. However, since $400,000 was incurred after technological feasibility was achieved, only $1,600,000 can be amortized. Therefore, the amortization in 2024 is $100,000 ($1,600,000 / 4 years).

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listenif there are 10,000 firms and each produces 5 units, then total market production would be 50,000 units. if a cartel organized the production in the same market, a good guess at the production in the market would be:

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In the scenario you presented, there are 10,000 firms, each producing 5 units, which results in a total market production of 50,000 units.

If a cartel organizes the production in the same market, a good guess at the production in the market would be lower than 50,000 units.
Cartels typically work together to control the supply and manipulate prices to maximize their collective profits. They may agree to limit production, thus reducing the overall supply of the good in the market. As a result, prices for the good will likely increase, leading to higher profits for the cartel members. However, the reduced supply could mean that consumers face higher prices and limited choices.
In summary, when a cartel organizes production in a market with 10,000 firms, the total market production will likely be lower than the initial 50,000 units. This is because the cartel aims to limit supply and manipulate prices to increase profits for its members.

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