Answer:
They Answer is B im pretty sure
Explanation:
An economic system Multiple Choice requires a grouping of private markets linked to one another. is a particular set of institutional arrangements and a coordinating mechanism used to respond to the economizing problem. requires some sort of centralized authority (such as government) to coordinate economic activity. is a plan or scheme that allows a firm to make money at some other firm's expense.
Answer:
The correct answer is the second option: Is a particular set of institutional arrangements and a coordinating mechanism used to respond to the economizing problem.
Explanation:
To begin with, in the economic science the term known as "economic system" refers specifically to the set of institutions that are bound together with the only purpose of fighting against all the economic problems inside the economy itself. Therefore that those institutions work together concious and unconciously in order to avoid macroeconomic chaos in the country, so that the devolpment and growth of that particular economy can succeded in the process of making the most relevant activities in the main focus of it, like selling and buying, etc.
one of the Nigerian international seaport is in where
Answer:
The Lagos Port Complex is Nigeria's biggest and busiest seaport, situated in Apapa, Lagos state over an area of about 200 hectares of land. Together with the Tin Can Island Port, this seaport serves the western region of the nation. The Lagos Port Complex serves as the country's economic gateway.
Explanation:
how much time does a bike with an acceleration of 2ms2 takes to increase its velocity from 10ms-2 to 30ms-2
Answer:
Time, t = 10 seconds.
Explanation:
Given the following data;
Initial velocity, u = 10 m/s
Final velocity, v = 30 m/s
Acceleration, a = 2 m/s²
To find the time, we would use the first equation of motion;
[tex] v = u + at[/tex]
Where;
v is the final velocity. u is the initial velocity. a is the acceleration. t is the time measured in seconds.Making time, t the subject of formula, we have;
[tex] t = \frac{v - u}{a}[/tex]
Substituting into the equation, we have;
[tex] t = \frac{30 - 10}{2}[/tex]
[tex] t = \frac{20}{2}[/tex]
Time, t = 10 seconds.
R. E. Lee recently took his company public through an initial public offering. He is expanding the business quickly to take advantage of an otherwise unexploited market. Growth for his company is expected to be 40 percent for the first three years and then he expects it to slow down to a constant 15 percent. The most recent dividend was $0.75. Based on the most recent returns, the beta for his company is approximately 1.5. The risk-free rate is 8 percent and the market risk premium is 6 percent. What is the current price of Lee's stock
Answer: $77.13
Explanation:
Based on the information given in the question, the current price of Lee's stock will be calculated thus:
First, the required rate of return will be:
= 8% + (1.5 × 6%) = 8% + 9% = 17%
Year 1:
Cash flow: 1.05
Present value: 0.90
Year 2:
Cash flow: 1.47
Present value: 1.07
Year 3:
Cash flow: 2.06
Present value: 1.28
Year 4:
Cash flow: 118.34
Present value: 73.88
The current price of Lee's stock will be:
= 0.90 + 1.07 + 1.28 + 73.88
= 77.13
The current price of Lee's stock is $77.13.
A finance question that I need help with.
If your business is not efficient, where will your numbers fall on the Production Possibility Frontier?
Answer:
Inside the Production Possibility Frontier.
Explanation:
PPF is a curve that shows the various combination of 2 goods that an economy produces when resources are fixed. Thus, any point or bundle inside the production possibility frontier shows inefficiency in the production while the point on the production possibility frontier shows the efficient production from the available resources. But, the point outside the PPF exhibits a non-achievable point.
Answer: inside or under the curved line of the graph
Explanation: (Acellus)
why is freshness of ingredients important in salad preparation
Entrepreneur respond to the incentives of profit
A. True
B. False
Answer:
True
Explanation:
When the economy is in short-run equilibrium, Question 8 options: there are increases in inventory. there are decreases in inventory. total expenditures equal total production. people want to buy more than will be produced.
Answer: total expenditures equal total production.
Explanation:
If an economy is going through a short-term equilibrium, it means that people/ consumers are buying/ demanding the same amount of goods being produced in the market.
Total expenditure shows the amount people spend on goods and services and total production shows the total amount produced. If these two are equal then the situation above holds true as it means that consumers are demanding the same quantity of goods and services produced.
An American marketing research company wanted to use a survey to determine if it was feasible to build shopping centers in several countries. Since all of the countries spoke a different language, the company used two translators for each country—one to translate it into the native language, and one to translate it back into English. The original document was revised repeatedly until the translated version matched it in meaning. This describes the process of
Answer:
decentering
Explanation:
From the question we are informed about An American marketing research company who wanted to use a survey to determine if it was feasible to build shopping centers in several countries. Since all of the countries spoke a different language, the company used two translators for each country—one to translate it into the native language, and one to translate it back into English. The original document was revised repeatedly until the translated version matched it in meaning. This describes the process of decentering.
Decentering can be regarded as a central change strategy which involves Mindfulness-Based Cognitive Therapy, it entails a process of stepping outside of mental events of individuals which could leads to non-judging stance as well as objective towards the self
Macro Electric has a predominantly non-Hispanic workforce, but the population from which they draw their electricians is largely Hispanic. Macro Electric is trying to make amends for their past hiring practices, so they set a goal of hiring 20% Hispanic electricians, a percentage that is more in line with the existing population. Macro Electric managers are now advertising their jobs on Spanish language radio stations and by posting flyers in Hispanic neighborhoods. What is Macro Electric doing as a company with these actions
Answer: C. Affirmative action
Explanation:
Sometimes a particular group (race, gender, nationality etc) might not be adequately represented in the workforce of an organization be it government or private. This organization can take actions to ensure that an adequate number of that group is represented in their workforce and when this happens, it is called Affirmative Action.
Affirmative action came by as a result of a realization that the U.S. was dominated by particular groups even though many groups lived there so action was needed to balance out this situation.
The Red Bud Co. pays a constant dividend of $1.20 a share. The company announced today that they will continue to do this for another 3 years after which time they will discontinue paying dividends permanently. What is one share of this stock worth today if the required rate of return is 7 percent
Answer:
the one share of this stock worth today is $3.15
Explanation:
The computation of the one share of this stock worth today is shown below:
= Dividend per share ÷ (1 + required rate of return^years) + Dividend per share ÷ (1 + required rate of return^years) + Dividend per share ÷ (1 + required rate of return^years)
= ($1.20 ÷ 1.07^1) + ($1.20 ÷ 1.07^2) + ($1.20 ÷ 1.07^3)
= $3.15
hence, the one share of this stock worth today is $3.15
How could government – sponsored grants for the private development of new technologies result in a lower national debt?
Answer: Making initial development private saves the government from funding all of the research.
Explanation:
A grant refers to an amount of money that is financial assistance thats given by the government or an organization to an individual or firm for a specific purpose. A grant is different from a loan as it isn't meant to be paid back.
Government award grants for the development of technologies, community projects, home insulation etc.
With regards to the question, a government – sponsored grants for the private development of new technologies may result in a lower national debt when the government makes the initial development private thereby saving the government from funding all of the research.
Greg's average balance checking account pays simple interest of 5.4% annually, and he made $7.20 in interest last month. What was Greg's average balance last month?
Answer:
Greg's average balance last month was $ 1,600.
Explanation:
Given that Greg's average balance checking account pays simple interest of 5.4% annually, and I have made $ 7.20 in interest last month, to determine what was Greg's average balance last month the following calculation must be performed:
5.4 / 12 = 7.20
100 = X
0.45 = 7.20
100 = X
100 x 7.20 / 0.45 = X
720 / 0.45 = X
1600 = X
Therefore, Greg's average balance last month was $ 1,600.
You are considering buying a share of stock in a firm that has the following two possible payoffs with the corresponding probability of occurring. The stock has a purchase price of $15.00. You forecast that there is a 40% chance that the stock will sell for $30.00 at the end of one year. The alternative expectation is that there is a 60% chance that the stock will sell for $10.00 at the end of one year. What is the expected percentage one−year return on this stock, and what is the return standard deviation?
Answer and Explanation:
The computation is shown below;
Purchase price = $15.00
Forecasted price of $30.00 with probability of 40%:
Now
Rate of Return = (Selling Price - Purchase Price) ÷ Purchase Price
= ($30.00 - $15.00) ÷ $15.00
= 100.00%
And,
Forecasted price of $10.00 with probability of 60%:
Now
Rate of Return = (Selling Price - Purchase Price) ÷ Purchase Price
= ($10.00 - $15.00) ÷ $15.00
= -33.33%
Now
Expected Return = 0.40 × 1.0000 + 0.60 × (-0.3333)
= 0.20 or 20.00%
and,
Variance = 0.40 ×(1.00 - 0.200)^2 + 0.60 × (-0.3333 - 0.200)^2
= 0.426645
Finally
Standard Deviation = (0.426645)^(1 ÷ 2)
= 0.6532 or 65.32%
All of the following are TRUE of a covered call writing strategy EXCEPT: (A) The strategy works best in a bull market. (B) The cost basis of the stock should be considered for tax purposes. (C) The call writer is expecting little change or a fall in the price of the underlying stock. (D) Repurchasing the calls in a closing transaction could lead to a loss.
Answer:
(A) The strategy works best in a bull
Explanation:
In the case of the call writing strategy, the following statement should be considered
a. the stock cost basis should be relevant for the tax purpose
b. The call writer should predict the little much change or there may be the decline in the price of the stock
c. If repurchasing is done for closing the transaction so it would result a loss
Therefore the option a is to be considered
Shredder is an example of paper cutter. True or false
Answer:
Yes, it shreds up the paper which is just small cups.
Explanation:
I'm sorry in advance if this is incorrect if it is let me know and I will fix it.
If interest rate parity holds between the US and a foreign country, transaction costs are zero, and the forward rate is an unbiased predictor of future spot rate, then the effective financing rate for a U.S company that borrows the foreign currency on a covered basis would be: Group of answer choices More than the foreign interest rate. Less than the foreign interest rate. Equal to the U.S. interest rate. Less than the U.S. interest rate. Equal to the foreign interest rate.
Answer:
E) Equal to the foreign interest rate
Explanation:
In the case when the US company borrowed the foreign currency so here the interest rate is applied and considered to be the foreign interest rate. When it is borrowed on a covered basis, the foreign currency risk should be hedged and the interest rate should be equivalent to the foreign country
Therefore the last option is correct
While buying refreshments for an upcoming party, you notice that a six-pack of Americana Beer costs $2 and a six-pack of Bavarian Beer costs $4. You buy the six-pack of Bavarian Beer, although you wonder if maybe two six-packs of Americana Beer would have been a better choice. The opportunity cost of the Bavarian Beer is: a six-pack of Americana Beer. two six-packs of Americana Beer. $4 and the six-pack of Americana Beer. $4.
Answer:
B. two six-packs of Americana Beer.
Explanation:
A. a six-pack of Americana Beer.
B. two six-packs of Americana Beer.
C. $4 and the six-pack of Americana Beer.
D. $4.
six-pack of Americana Beer = $2
six-pack of Bavarian Beer = $4
1 six-pack of Bavarian Beer = $4
1 six-pack of Americana Beer = $2
2 six-pack of Americana Beer = $4
Therefore,
1 six-pack of Bavarian Beer = 2 six-pack of Americana Beer
You buy the six-pack of Bavarian Beer
The opportunity cost of the Bavarian Beer is two six-packs of Americana Beer.
B. two six-packs of Americana Beer.
Opportunity cost is the cost of satisfying a want at the expense of another. It can also be called real cost or true cost
Assume that you are willing to postpone consumption of $1,000 today and buy a certificate of deposit (CD) at your local bank with the $1,000. Holding the CD for one year provides you with an 8% reward for saving or postponing consumption. This reward for postponing consumption implies that at the end of the year you will have how much more money for spending?
Answer:
the amount that should be show more money for spending is $80
Explanation:
The computation of the amount that should be show more money for spending is as follows;
= Certificate of deposit × reward for saving or postponing consumption percentage
= $1,000 × 8%
= $80
hence, the amount that should be show more money for spending is $80
During 2013, Going, Going, Gone sold 100 hot air balloons for $4,000 each. The balloons carry a 5-year warranty for defects. Estimates indicate that repair costs will average 4% of the total selling price. The estimated warranty liability at the beginning of the year was $42,000. $11,000 in claims was actually incurred during the year to honor their warranty. What was the balance in the estimated warranty liability at the end of the year
Answer:
Value of addition into warranty during the current year = Total Selling price * 4%
= (100*$4000) * 4%
= $400,000 * 4%
= $16,000
Warranty liability balance Amount ($)
Opening $42,000
Add: Addition during the year $16,000
Less: Claims actually incurred $11,000
Closing balance $47,000
Between 2003 and 2005, there was huge growth in the market for premium blue jeans priced at $200 or more per pair. Popular magazines showing celebrities wearing certain brands largely fueled the growth. Then, in the summer of 2005, major department stores started cutting prices on the jeans; they were also found on websites that offer jeans at discount prices. Use the economic concepts that you learned to describe what is happening in this market.
Answer:
Following are the solution to the given question:
Explanation:
Huge demand increase inside the Blue Jeans market led to rising costs between 2003 and 2005. The contour of desire went right.
With pricing just above the previous level, the producers are motivated to create more and therefore to increase the demand side and shift its supply curve to the right.
Greater amounts supplied produced a surplus in blue jeans that could only be sold if the prices decreased to attract buyers (the supply side), creating a new balance at a clean cost.
give 5 numbers smaller than -2 and 5 numbers bigger than -2
hich of the following situations will disqualify a single individual from claiming the Premium Tax Credit? A. Marriage to an individual enrolled in a qualified health plan B. Increase in household income to 390% of the Federal poverty line C. Inheritance of $1,100,000 non-income producing vacation home D. Becoming eligible as a dependent on his or her parent's joint tax return
Answer:
D. Becoming eligible as a dependent on his or her parent's joint tax return
Explanation:
In the case when the individual is disqualify from claiming the premium tax credit at the time when it become eligible as a dependent based on joint tax return of his or her parent
So this is the case when a single individual disqualify from the tax credit
Therefore as per the given situtation, the option d is correct
Question 5 of 30
In economic terms, which statement is true about the U.S. government?
A. It determines what will be produced.
B. It is a consumer.
c. It controls everything that is produced in the country.
O D. It has removed itself from all international trade.
SUNIT
Answer:
C It controls everything that is produced in the country.
A customer wishes to give a gift of securities to her nephew under the Uniform Gifts To Minors Act. When the minor reaches legal age in that state, the: A custodian can continue in that capacity with the express permission of the minor B account must be transferred into the name of the minor C account must be liquidated and the proceeds paid to the new adult D custodian must pay the minor the highest market value that the account has had over its life
Answer:
account must be transferred into the name of that minor
Explanation:
The Uniform Gift to Minors Act was enacted in 1956 and revised in 1966 and allows people to transfer assets to underage beneficiaries.
Usually parents or relatives to their underaged wards.
In the given scenario where a customer wishes to give a gift of securities to her nephew, when the minor reaches legal age in that state the account must be transferred into the name of that minor.
This will allow the minor to now have full access to the assets.
Market research is used to gather information needed to make a business
Answer:
Yvonne observe ochre oxen
Keynes believed that Question 8 options: Say's law would hold in a laissez-faire economy. the economy would always be near or on its production possibilities frontier. wages and prices are often inflexible in the downward direction. the equilibrium level of output will always be at the full-employment level of output.
Answer:
wages and prices are often inflexible in the downward direction.
Explanation:
John Maynard Keynes was a British economist born on the 5th of June, 1883 in Cambridge, England. He was famous for his brilliant ideas on government economic policy and macroeconomics which is known as the Keynesian theory. He later died on the 23rd of April, 1946 in Sussex, England.
Keynes believed that wages and prices are often inflexible in the downward direction.
In Economics, when there are monetary disturbances and a great level of macroeconomic factors in the economy of a particular country, this usually result in prices of goods and services being sticky.
2. The stock is currently selling for $15.25 per share, and its noncallable $1,000 par value, 20-year, 7.25% bonds with semiannual payments are selling for $875.00. The beta is 1.25, the yield on a 6-month Treasury bill is 3.50%, and the yield on a 20-year Treasury bond is 5.50%. The required return on the stock market is 11.50%, but the market has had an average annual return of 14.50% during the past 5 years. The firm's tax rate is 25%. 3. 4. Refer to the data for the Collins Group. Based on the CAPM, what is the firm's cost of common stock
Answer:
The firm's cost of common stock is 13%
Explanation:
Use the following CAPM formula to calculate the cost of common stock
Cost of common stock = Risk free rate + beta x ( Market return - Risk free rate )
Where
Risk free rate = 5.5%
Market return = 11.50%
Beta = 1.25
Placing values in the formula
Cost of common stock = 5.5% + 1.25 x ( 11.50% - 5.5% )
Cost of common stock = 13%
capital and drawings are classified as
Answer:
Since the capital account and owner's equity accounts are expected to have credit balances, the drawing account (having a debit balance) is considered to be a contra account. In addition, the drawing account is a temporary account since its balance is closed to the capital account at the end of each accounting year.
Explanation:
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