We conclude that garbage collector's average pickup is more than four tons of waste every day.
What does P stand for?The following details are provided in relation to the issue:
We first create the null and alternative hypotheses.
Level of significance = 5% = 0.05
Value P = 0.04
The chance of getting the test's observed results, if the null hypothesis is true, is known as the p-value.
The strength with which the sample data support the null hypothesis is measured by its P value.
P-value is a metric or indicator that enables us to determine whether or not the sample is representative of the population.
The sample is a member of the population, according to the null hypothesis.
A high p-value indicates that the sample belongs and the null hypothesis is true.in relation to the populace.
A low p-value denotes that the sample has sufficient proof that the null hypothesis is false and that it does not represent the population.
To get at our conclusion, we compare p-value to significant threshold.
Here,
p-value = 0.04 and 0.05 is the significance level.
We are unable to accept the null hypothesis and reject it since the p-value is less than the significance level. As a result, we infer that the sample does not represent the population as a whole and that an average day's rubbish collection involves more than four tons of waste.
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A large farm wants to try out a new type of fertilizer to evaluate whether it will improve the farm's corn production. the land is broken into plots that produce an average of 1,215 pounds of corn with a standard deviation of 94 pounds per plot. the owner is interested in detecting any average difference of at least 40 pounds per plot. how many plots of land would be needed for the experiment if the desired power level is 90%
Answer:
sample size, n = 116 land plots
Explanation:
n = sample size = (confidence level² · standard deviation²) / standard error²
assuming that we want a two tailed bell curve, z = 0.1 / 2 = 0.5, so z score = 1.645standard deviation = 94 poundsstandard error = 14.35n = (1.645² · 94²) / 14.35² = 23,910.4369 / 205.953 = 116.1 ≈ 116 land plots
A Bank with the following capital levels: common equity of 47,000, Tier 1 of 38,000, Tier 2 of 17,000. If total assets are 850,000 and risk adjusted assets are 650,000, the capital classification of the bank is
The capital classification of the bank would be "Adequately Capitalized" as its Tier 1 capital ratio.
To determine the capital classification of the bank, we need to compare its capital levels to the risk-adjusted assets. The capital classification is typically based on regulatory requirements and ratios set by the relevant financial authorities.
One common capital adequacy ratio used for classification is the Tier 1 capital ratio.
The Tier 1 capital ratio is calculated by dividing Tier 1 capital (including common equity) by risk-adjusted assets. Let's calculate the Tier 1 capital ratio:
Tier 1 capital ratio = (Tier 1 capital / Risk-adjusted assets) * 100
In this case:
Tier 1 capital = 38,000
Risk-adjusted assets = 650,000
Tier 1 capital ratio = (38,000 / 650,000) * 100
= 5.846%
Now, let's determine the capital classification based on the Tier 1 capital ratio:
Well-Capitalized: Tier 1 capital ratio ≥ 6%
Since the calculated Tier 1 capital ratio is 5.846%, it does not meet the well-capitalized threshold.
Adequately Capitalized: Tier 1 capital ratio ≥ 4%
The calculated Tier 1 capital ratio is above the adequately capitalized threshold, which is 4%.
Undercapitalized: Tier 1 capital ratio < 4%
Since the calculated Tier 1 capital ratio is above 4%, the bank is not classified as undercapitalized.
Therefore, based on the given information, the capital classification of the bank would be "Adequately Capitalized" as its Tier 1 capital ratio exceeds the minimum regulatory requirement of 4%.
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1. What competitive advantages do these motivated veteran accountants bring to their new employers? Cite several examples.2. List three specific outcomes received by organizational members who have moved to these smaller accounting firms from senior positions in larger organizations.
1. The motivated veteran accountants bring several competitive advantages to their new employers. Some of these advantages include Extensive experience,Strong work ethic, Leadership skills, Industry connection.
2. The organizational members who have moved to these smaller accounting firms from senior positions in larger organizations have received several specific outcomes, including Greater autonomy,Closer relationships with colleagues,diverse responsibilities.
1. Extensive experience: These accountants have worked in the field for many years and have accumulated a wealth of knowledge and expertise that they can apply to their new roles.
- Strong work ethic: As veterans, these accountants are likely to be highly motivated and dedicated to their work, which can translate into increased productivity and better results for their new employers.
- Leadership skills: Many of these accountants held senior positions in larger organizations, which means they have developed strong leadership skills that they can use to guide and mentor their new colleagues.
- Industry connections: These accountants have likely developed a wide network of contacts and connections within the accounting industry, which can be valuable to their new employers in terms of business development and networking opportunities.
2. The organizational members who have moved to these smaller accounting firms from senior positions in larger organizations have received several specific outcomes, including:
- Greater autonomy: In smaller firms, these individuals may have more freedom and flexibility to make decisions and implement their own ideas, which can be both professionally and personally rewarding.
- Closer relationships with colleagues: Smaller firms often have a more close-knit and collaborative work environment, which can lead to stronger relationships with colleagues and a greater sense of camaraderie.
- More diverse responsibilities: In smaller firms, these individuals may be required to take on a wider range of responsibilities, which can provide them with new challenges and opportunities for professional growth.
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(Solving for n with non-annual perlods) Approximatery how many years would it take for an investinent to grow sixfold if it were invested at 8 percent compounded quarterly? Assume that you invest 51 today. If you invest $1 at 8 percent compounded quarterly, about how many years would it take for your investmont to grow sidold to 96? (Hint. Remenber to convert your calculotor solution to year.) years (Round to one decimal place.)
It would take approximately 17.6 years for an investment to grow sixfold at an 8% interest rate compounded quarterly. If $1 is invested at 8% compounded quarterly, it would take around 16.2 years for the investment to grow sixfold to $96.
To calculate the number of years required for the investment to grow sixfold at an 8% interest rate compounded quarterly, we can use the formula for compound interest:
Future Value = Present Value × (1 + Interest Rate/Number of Compounding Periods)^(Number of Compounding Periods × Number of Years)
For the first scenario with an initial investment of $51, we need to solve for the number of years:
6 = $51 × (1 + 0.08/4)^(4 × Number of Years)
Number of Years ≈ 17.6 years
For the second scenario with an initial investment of $1, we need to solve for the number of years:
6 = $1 × (1 + 0.08/4)^(4 × Number of Years)
Number of Years ≈ 16.2 years
Therefore, it would take approximately 17.6 years for the investment of $51 to grow sixfold, and around 16.2 years for the investment of $1 to grow sixfold.
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Which information would most likely cause a company's stock price to go up?
Answer:
The company releases an innovative car with unique features
Explanation:
A person who works full time for a power company in the Energy cluster is considered a consultant.
True or False?
Answer:
True
Explanation:
It's true
the margin of safety ratio can be defined as the: excess of budgeted sales over break-even sales divided by break-even sales. excess of budgeted sales over break-even sales divided by budgeted sales. excess of budgeted sales over fixed costs divided by budgeted sales. excess of budgeted sales over variable costs divided by budgeted sales.
The margin of safety ratio can be defined as the excess of budgeted sales over break-even sales divided by break-even sales. This definition is the correct definition of margin of safety ratio. The margin of safety is the extra sales that a business needs to make in order to ensure that it reaches its break-even point. Therefore, the correct option is a
This extra sales is called the margin of safety. The excess of budgeted sales over break-even sales divided by break-even sales. The break-even point is the point where the total revenue of a company or business is equal to the total costs. In other words, it is the point where the total cost of producing or providing a product or service is equal to the total revenue earned from selling that product or service.
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Arrange the following revenues in the federal government, from greatest to
least.
Drag each item to put them in the correct order.
(2 points)
= excise taxes
= Social Security and Medicare taxes
= corporate income taxes
= individual income taxes
= customs duties
= miscellaneous revenue
Which of the following is NOT one of the drivers of the move toward economic nationalism?global inequalitydependency on individual commodities for government revenueregime changessuccessful free trade zones
Successful free trade zones is one of the drivers of the move toward economic nationalism.
Successful free trade zones are not one of the drivers of the move toward economic nationalism. Economic nationalism generally refers to policies or ideologies that prioritize domestic economic interests over international trade and globalization. The drivers of economic nationalism typically include factors such as global inequality, dependency on individual commodities for government revenue, and regime changes. Successful free trade zones, on the other hand, promote international trade and economic cooperation, which aligns with globalization rather than economic nationalism.
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What is Woolworths environmental impact in relation to the triple bottom line
Woolworths has disclosed the results of its participation in the statewide MySchool initiative as part of the triple-bottom-line reporting that the company is required to complete. Too far, R23 million has been generated for educational institutions and dispersed as a result of a project that incorporates a number of retail partners.
This is further explained below.
What are educational institutions?Generally, Preschools, daycare, elementary-middle schools, secondary-high schools, and universities are educational institutions. They provide several learning locations and surroundings.
In conclusion, Woolworths has disclosed the outcomes of its involvement in the national MySchool initiative as part of its triple-bottom-line reporting. This project, which includes many shop partners, has so far raised and given R23 million to schools.
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List qualities a good manager should have. What are the advantages and drawbacks of being in a position of authority?The qualities of a good manager are:The advantages of being a manager are:The drawbacks of being a manager are:
do professional money managers add value by picking the ""right"" (profitable) investments?
It is a common belief that professional money managers add value by picking the "right" (profitable) investments. However, the truth is that it is very difficult for money managers to consistently outperform the market.
According to research, most professional money managers do not outperform the market in the long run. This is because they are competing against other professional money managers who are also trying to pick the "right" investments. As a result, it is very difficult for any one manager to consistently outperform the market.
Additionally, professional money managers often charge high fees for their services, which can reduce the returns of their clients' investments. Therefore, it is important for investors to consider the fees and performance of a money manager before choosing to invest with them.
In conclusion, while professional money managers may add value in some cases, it is important for investors to carefully consider the fees and performance of a manager before choosing to invest with them.
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reduced government spending, in response to demand-pull inflation, shifts the aggregate demand (ad) curve to the
As shown in Diagram A on the left above, higher government expenditure causes AD to move to the right, whereas reduced government spending will cause AD to shift to the left, as shown in Diagram B on the right above.
AD can change based on government macroeconomic policy decisions. Regardless of tax policy, aggregate demand declines as government expenditure does, moving the economy to the left. When the Congress takes action to lower tax rates or boost government expenditure, the aggregate demand curve is moved to the right. This is known as expansionary fiscal policy.
When Congress increases tax rates or reduces government expenditure, the aggregate demand is shifted to the left. This is known as a contractionary fiscal policy. Government reduces expenditure to lower aggregate demand to close an inflationary imbalance. The impact does this have on the curve representing total demand: Left shift occurs.
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Correct Question:
Reduced government spending, in response to demand-pull inflation, shifts the aggregate demand (ad) curve to the:
Identify and explain one advantage and one disadvantage of leasing all the equipment used in the business.
Answer:
Advantage Is You Save Money, Disadvantage Is The Way That There's Not Enough Or Its Not Good Enough
Explanation:
Basically Yea
how much does it cost to tent a house for termites
give short introduction about tourism industry
Answer:
Tourism industry is the industry that manages all the resources related to the tourism like hotel management, guides and many more. Tourism industry is very beneficial for the developing countries like Nepal, India and many more. Through it there will be economic development in the country. And from the economical development the citizens of the country can get facilities.
Answer:
Explanation: Tourism is the activities of people traveling to and staying in places outside their usual environment for leisure, business or other purposes for not more than one consecutive year.1.Domestic Tourism -Domestic tourism is the act of travelling for business or leisure within one’s home country2.International tourism-International tourisminvolves tourist who are traveling to different countries.
discuss how businesses can use mind mapping and brainstorming to identify new and innovative business opportunities
Answer: A mind map can be used by businesses to brainstorm thoughts and ideas organically.
Explanation:
By plotting ideas into a diagram, you can turn often complex, monotonous information into an organized, colorful, and memorable centralized format.
What could the central bank do to lessen the effect of the
depreciating rand?
a.
decrease the domestic interest rate
b.
supply less USD to the market
c.
supply more USD to the market
d.
supply more ZA
To lessen the effect of the depreciating rand, the central bank could opt to supply more USD to the market (option c). By increasing the supply of USD, the central bank can help stabilize the exchange rate and reduce the rate at which the rand is depreciating.
The central bank could supply more USD to the market to lessen the effect of the depreciating rand. This would increase the supply of dollars and potentially decrease their value in relation to the rand, making imports cheaper and exports more expensive. Decreasing the domestic interest rate could also help stimulate economic growth, but it may not directly address the issue of the depreciating rand. Supplying less USD to the market or supplying more ZA may not have a significant impact on the exchange rate.
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In the theoretical framework of sport communication, explain what 'genre' and 'context' refer to (3 marks). A- BI E %$!
In the theoretical framework of sport communication, 'genre' refers to the specific category or classification of communication within the context of sports.
It is a way of grouping and categorizing different forms of communication based on their common characteristics, conventions, and purpose. Examples of sport communication genres include sports news reporting, commentary, interviews, documentaries, and advertising.
On the other hand, 'context' in sport communication refers to the circumstances or setting in which communication takes place. It encompasses the broader social, cultural, and historical factors that influence and shape the communication process within the realm of sports.
Context can include elements such as the specific sporting event or competition, the target audience, the media platforms or channels used, and the cultural and societal norms and values surrounding sports.
Both genre and context are important concepts in the theoretical framework of sport communication as they help us understand and analyze the various forms of communication in sports and the factors that influence their production, reception, and impact.
They provide insights into the specific characteristics and dynamics of different communication genres within the specific contexts in which they occur.
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which of the following is not a common fee associated with prepaid debit cards?
Minimum payment fee is not a common fee associated with prepaid debit cards. The answer is option D.
Prepaid debit cards are a popular financial tool that allows users to load money onto the card and use it for various transactions. While prepaid debit cards may have certain fees associated with them, such as late fees, annual membership fees, and balance transfer fees, a minimum payment fee is not a common fee found in prepaid debit card programs.
A late fee is typically charged when the cardholder fails to make a payment by the due date. An annual membership fee is a fee charged annually for maintaining the prepaid debit card account. A balance transfer fee may apply when transferring funds from one prepaid card to another. However, a minimum payment fee is not typically associated with prepaid debit cards.
It's important to note that different prepaid debit card providers may have varying fee structures, and some may have additional fees not mentioned here. Therefore, it is advisable for individuals to carefully review the terms and conditions of a prepaid debit card before obtaining one to understand the specific fees and charges that may apply.
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The complete question is:
Which of the following is not a common fee associated with prepaid debit cards?
A. Late fee.
B. Annual membership fee.
C. Balance transfer fee.
D. Minimum payment fee.
why is the vegetables market necessary . give reason
Answer:
Abstract: Vegetables are vital to the general good health of human beings, providing essential vitamins and minerals, dietary fiber, and phytochemicals, and reducing risk from dangerous diseases and other medical conditions. ... Most of the vegetables are marketed fresh with only a small portion processed.
Explanation:
Vegetables are vital to the general good health of human beings, providing essential vitamins and minerals, dietary fiber, and phytochemicals, and reducing risk from dangerous diseases and other medical conditions. ... Most of the vegetables are marketed fresh with only a small portion processed.
Using the same quiz format, steps required to answer questions, and submission deadlines for both pars and kcs are examples of which of the eight golden rules for hci design?.
Examples of the eight golden standards for hci design's Strive for consistency include using the same quiz structure, procedures needed to answer questions, and submission dates for both pars and kcs.
In interface design, every component, theme, animation, and action should stay consistent throughout the experience. The user will probably be perplexed, for instance, if the interface alters the button's color and Strive for consistency font while the user is using it. The concept of consistency extends beyond a single application. For instance, websites frequently share basic elements like the corporate logo in the upper left corner and the top menu. These patterns have emerged through time, been described by usability professionals, and incorporated by designers into common practice.
Between pages of one application or between still-related applications, Strive for consistency is required. The key is that authorized users, including the majority of inexperienced users, can still view sites that are seen as still being in dialogue or as still having a connection to the program in use. Users won't be afraid to switch applications as a result of feeling at ease with the application.
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The question was incomplete. Check below the full question.
Using the same quiz format, steps required to answer questions, and submission deadlines are examples of which of the Eight Golden Rules for HCI Design?
a. Supporting internal locus of control
b. Offering informative feedback
c. Strive for consistency
d. Reducing short-term memory load
In the absence of market failures, a perfectly competitive market equilibrium is efficient for which of the following reasons?
a. Consumer surplus is maximized and consumers are better off relative to producers.
b. Producer surplus is maximized and producers are better off relative to consumers.
c. Total economic surplus is maximized and all mutually beneficial transactions are exhausted.
d. Total economic surplus is distributed equally between producers and consumers.
e. The quantity of output is produced at a constant cost so that every consumer pays the same price.
A perfectly competitive market equilibrium is effective for most purposes when market failures are not present. All mutually beneficial transactions are completed, and the overall economic surplus is maximized.
Market supply and demand must balance one another to reach equilibrium, which leads to stable prices. In general, when there is an abundance of goods or services, prices decline, which increases market failures demand, while when there is a shortage, prices rise, which decreases demand.
The equilibrium price is where the supply of goods matches demand. When a major index experiences a period of consolidation or sideways momentum, it can be said that the forces of supply and demand are equilibrium relatively equal and the market is in a state of equilibrium.
Economists find that prices tend to fluctuate around the equilibrium levels. If the price rises too high, market forces will incentivize sellers to come in and produce more. If the price is too low, additional buyers will market failures bid up the price. These activities keep the equilibrium level in relative balance over time.
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How do you calculate the profit margin for a business?
Answer:
by dividing your net income by your revenue (net sales)
then multiply your answer by 100
(ni/r)×100
The formula for calculating profit margin is:
( Total Revenue - Total Expenses ) / Total Revenue.
how did the members of the accounting firms violate the standards of integrity and credibility? sabenes act
The Sarbanes-Oxley Act (SOX) of 2002 was enacted in reaction to a number of accounting scandals that jeopardized the integrity and credibility of the financial statements of public firms.
The members of the accounting firms violated the standards of integrity and credibility in a number of ways, including the following: Auditors who were previously employed by the company they are auditing are prohibited from working on the audit for at least one year after leaving the company.
The audit committee is given the responsibility of selecting the external auditor, and it must be independent of the business it is auditing.Auditors must retain all papers related to the audit for at least seven years, and the CEO and CFO must certify the accuracy of the financial statements.Auditors must disclose to the public the company's internal controls over financial reporting.
The Public Company Accounting Oversight Board (PCAOB) was established to oversee and regulate public accounting firms, which must register with the PCAOB to audit public companies.
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Bailey enjoys working with her hands. She wants to choose a career path that would allow her to create things. Which career would be best for
her?
O A. zoologist
O B. greenhouse nursery worker
O C. energy auditor
O D.
civil engineer
• E. jeweler and metal worker
Answer:
Jewerly and metal worker.
Explanation:
If you want to create thing with your hands and allowing her to create things a jewlery worker and a metal worker is the best for making stuff out of your imagination.
what are some things you can do to help prevent debit card fraud?
Debit card fraud is a serious issue that can result in the loss of your hard-earned money. Here are some things you can do to help prevent debit card fraud:
Keep your card safe: Keep your debit card in a secure place, and do not share your card details with anyone.Use secure ATMs: Use ATMs that are located in secure, well-lit areas, and avoid using ATMs that look suspicious or tampered with.Monitor your accounts regularly: Check your bank accounts and credit card statements regularly to look for any unauthorized transactions.Sign up for alerts: Many banks offer alerts to notify you of suspicious activity on your account, such as large purchases or unusual transactions.Use chip and PIN technology: Use chip and PIN technology whenever possible, as it is more secure than traditional swipe and sign transactions.Be wary of phishing scams: Be wary of phishing scams, where criminals send fraudulent emails or text messages to trick you into giving away your personal information.Use strong passwords: Use strong, unique passwords for your online banking and avoid using the same password for multiple accounts.Report any suspicious activity: If you notice any suspicious activity on your account, contact your bank or credit card company immediately to report it and take appropriate action.By following these tips, you can help prevent debit card fraud and protect your finances.
TRUE/FALSE. When no par value stock does not have a stated value, the entire proceeds from the issuance of the stock become legal capital
The given statement "When no par value stock does not have a stated value, the entire proceeds from the issuance of the stock become legal capital" is false because when no par value stock does not have a stated value, the entire proceeds from the issuance of the stock do not become legal capital.
When a company issues no par value stock, it means that the stock does not have a predetermined value assigned to it. In such cases, the proceeds from the issuance of the stock are not automatically considered legal capital. Legal capital refers to the minimum amount of capital that a company must maintain to protect the interests of its creditors.
In the absence of a par value, the company needs to allocate the proceeds to different accounts, such as additional paid-in capital or retained earnings, based on the specific legal requirements of the jurisdiction in which it operates. Therefore, the entire proceeds from the issuance of no par value stock do not automatically become legal capital.
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floyd's income statement for the current year showed operating profits of $45,000, and his balance sheet showed total assets of $300,000. his return on assets is percent. a. 15 b. 12 c. 6 d. 30
Floyd's return on assets is 15 percent.
What is a return on assets?Return on assets is described as a ratio that highlights the profitability of a company concerning the assets of the company. It is important to mention that the return on investment can be used effectively to determine how assets can be used to make a profit. The return on investment is represented in the form of a percentage.
Given that,
Operating profits or the net income of Floyd = $45,000
Total assets in the balance sheet = $300,000
According to the formula,
Return on investment = (net income/total assets) x 100 = (45,000/300,00) x 100 = 0.15 x100 = 15%
It can be concluded that Floyd's return on assets is 15 percent.
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Question 26 2pts Suppose that the U.S. begins in Loos. Run Macroeconomic Equilbrium. Next, suppose that Canads. Mexico, the UK and otter najor tradiris partners begin to experieoce sifniticant economic expansions, increasing their incomes and wealth. "Using your knowiedge of the Asgresate Sepply \& Demand model, how would we model the mpact of this event on the U.5? Tr Question 27 2pts thing vour hegrepate Demand and Supply knowiedse, based on vour conect answer above. What would be the expecied etfect upon the US, econonw P V and Ul in the short run" Dieintry and U fYitit P V and Usethe folloaingscensio to answer the nexc free questions, Sippose that the US, begins in Long-Run Macroeconomic Equilibrium. Next, suppose that Canada, Mexico, the U.K. and other major trading partners begin to experience significant economic expansions, increasing their incomes and wealth. Using your knowledge of the Agsregate Supply \& Demand model, how would we model the impact of this event on the U.S.? Question 27 2pts Whits your Aggregate Demand and Supply knowledge, based on pour correct answer aliove. What would be the expected efiect upon the US econony (T,Y and in in the shove run? Elve in PY and W गah h Qx andu
The impact of significant economic expansions in major trading partners, such as Canada, Mexico, the U.K., and others, on the U.S. can be analyzed using the Aggregate Supply and Demand model.
In the short run, an economic expansion in these trading partners would result in an increase in their incomes and wealth. This increase in income and wealth would lead to higher demand for goods and services, including those produced by the U.S. This increased demand would be reflected in an upward shift of the U.S. Aggregate Demand (AD) curve. The shift in the AD curve would result in a higher level of output (Y) and potentially higher prices (P) in the U.S. economy. As demand for U.S. goods and services increases, firms would respond by increasing production to meet the higher demand, leading to an expansion in the U.S. economy.
However, the impact on prices (P) in the short run would depend on various factors, including the responsiveness of U.S. firms to increased demand and the availability of spare capacity in the economy. If firms are able to increase production without facing capacity constraints, the impact on prices may be limited. On the other hand, if production capacity is already stretched, the increased demand may lead to upward pressure on prices.
Therefore, in the short run, an economic expansion in major trading partners would lead to an upward shift in the U.S. AD curve, resulting in higher output (Y) and potentially higher prices (P) in the U.S. economy.
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