The answer to the question is that if Republicans in Congress had passed laws requiring a balanced budget in 2018, the government may have difficulty implementing fiscal policies during a recession.
The answer is that during a recession, the government often implements expansionary fiscal policies such as increasing government spending or cutting taxes to stimulate the economy. However, if the government is required to maintain a balanced budget, it may be unable to do so and this could lead to a contractionary fiscal policy such as reducing government spending or raising taxes, which could worsen the recession. Therefore, the implementation of a balanced budget policy during a recession may limit the government's ability to use fiscal policy to counteract economic downturns.
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Calculate the forward discount or premium if the spot rate is $2.00/£1 and the three-month forward rate is $2.01/E1. (A) The pound is at a forward premium of 2% per year with respect to the dollar. (B) The pound is at a forward discount of 2% per year with respect to the dollar. (C) The dollar is at a forward premium of 2% per year with respect to to the pound. (D) The dollar is at a forward discount of 0,5% per year with respect to to the pound.
The pound is at a forward premium of 2% per year with respect to the dollar. Option A is the correct answer.
In order to calculate the forward discount or premium, we compare the spot rate (current exchange rate) with the forward rate (exchange rate for a future date). In this case, the spot rate is $2.00/£1 and the three-month forward rate is $2.01/£1.
To determine the forward discount or premium, we calculate the percentage difference between the spot rate and the forward rate. Here, the forward rate is higher than the spot rate, indicating a premium. The difference is $0.01/£1, which is equivalent to a 0.5% increase. Since this is the three-month forward rate, we can annualize the percentage by multiplying it by 4 (assuming 4 quarters in a year). Therefore, the pound is at a forward premium of 2% per year with respect to the dollar.
Option A is the correct answer.
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Carolina accepted her first job and moved out of her parents' house and into an apartment. What is most likely to be important from now on to keep her credit healthy?
a
Her rental history
b
Her salary
c
Her taxes
d
Her job benefits
A company sells 800 units at $16 each, has variable costs of $12 per unit, and fixed costs of $1,200. Income is $
Assuming a company sells 800 units at $16 each, has variable costs of $12 per unit. The after-tax income is $1,200.
After-tax incomeUsing this formula
After-tax income=(Selling units×Selling price)-[(Variable costs×Selling price)+Fixed costs]×(1- tax rate)
Let plug in the formula
After-tax income=(800 units× $16 each)-[(800 units × $12 each)+$1200]×(1-.40)
After-tax income=$12,800-($9,600+$1,200)×0.60
After-tax income=$12,800-$10,800×0.60
After-tax income=$2,000×0.60
After-tax income=$1,200
Inconclusion the after-tax income is $1,200.
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How is Ramadan celebrated?
Answer:
As a Muslim, you can celebrate Ramadan with family or/and with friends and other families. In Ramadan if you are young you get a certain amount of money form your elders and the most important thing is eat! After one month of not eating you should have fun and eat really good foods. I hope this helped!! :)
Answer:
During Ramadan Muslims abstain from food and drink during daylight hours. This fast, called sawm, is one of the five pillars of Islam. To get through a long day without food, Muslims will often wake up early to eat a meal called suhur before daybreak.
Explanation:
A blind help-wanted ad is usually for door-to-door salespeople.
True or False
the effect of capitalizing a cost that should have been expensed causes ______.
The effect that capitalization of the cost that supposed to be expensed will have is that; The assets will have to be overstated on the balance sheet, while we have to understate the expenses.
A capitalized cost can be regarded as expense that is been added to the cost basis of a fixed asset when working on a balance sheet of a company.It is usually incurred during purchasing of fixed assets.We can conclude that an asset will need to be overstated once there is capitalization of cost.
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When it is necessary to inform a customer about a delay in their order, the proper communication format should be a ______.
Answer:
Business letter
Explanation:
A BUSINESS LETTER is type of letter which a company or an organization can use to communicate with their client or with other company or organization and the main aim or purpose of a BUSINESS LETTER include the following; It help to inform a customer or a client about an order , it can be use to make inquiring and it can be use to help inform a customer or client concerning the delay in the order the Customer made from the company or the reason why the order was delay among others, which is why BUSINESS LETTER is of paramount or important it enables a company or organization to pass information to their clients or to another company.
Therefore the proper communication format a commpany or an organization can use to inform a customer about a delay in their order should be a BUSINESS LETTER.
Answer:
b
Explanation:
edge
Does the term integrated channel imply a certain type of firm
behavior and coordination?
The term "Integrated channel" implies a certain type of firm behavior and coordination. The integration of channels can lead to closer coordination and greater efficiencies.
When firms integrate channels, they are more likely to have greater control over the distribution process and reduce costs associated with marketing, promotion, and sales. An integrated channel is a channel that is closely coordinated and managed, often by a single entity. The term implies a certain type of firm behavior and coordination. When firms integrate channels, they are more likely to have greater control over the distribution process and reduce costs associated with marketing, promotion, and sales. This allows the firm to better meet customer needs and reduce the overall cost of doing business.
An integrated channel can be beneficial for both the manufacturer and the retailer.The term integrated channel has become more common in recent years as firms seek to reduce costs and improve efficiency in the distribution process. With the rise of e-commerce and other digital technologies, firms are increasingly looking for ways to streamline their operations and better meet the needs of their customers. By integrating channels, firms can better manage the flow of goods and services and reduce the need for intermediaries. This can lead to greater efficiencies, lower costs, and improved customer satisfaction.
In conclusion, the term "Integrated channel" implies a certain type of firm behavior and coordination. When firms integrate channels, they are more likely to have greater control over the distribution process and reduce costs associated with marketing, promotion, and sales. The integration of channels can lead to closer coordination and greater efficiencies, and can be beneficial for both the manufacturer and the retailer. An integrated channel can help firms better meet the needs of their customers, reduce costs, and improve overall efficiency.
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If velocity = 3.5, the quantity of money = 15,000, and the price level = 1.2, then the real value of output is:______
The real value of output can be calculated using the equation of the quantity theory of money, which states that the money supply multiplied by the velocity of money is equal to the price level multiplied by the real value of output. the real value of output is $43,750.
Given that the velocity is 3.5, the quantity of money is 15,000, and the price level is 1.2, we can use these values to find the real value of output.
Using the equation, we have:
Money Supply * Velocity = Price Level * Real Value of Output
15,000 * 3.5 = 1.2 * Real Value of Output
52,500 = 1.2 * Real Value of Output
To find the real value of output, we divide both sides of the equation by 1.2:
Real Value of Output = 52,500 / 1.2
Real Value of Output = 43,750
Therefore, the real value of output is $43,750.
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Deborah must deny a request made by one of her employees. The most effective statement in a bad-news message denying this request would be
The line "Letters establish a record of what happened more convincingly than other communication methods" would be the most impactful in a bad-news message denying this request.
Which of the following suggestions is the best one to use when giving the reasons behind the terrible news?Which of the following suggestions is the best one to use when giving the reasons behind the terrible news? To emphasize your point, use phrases like "impossible," "regret," and "sadly." Cite reader or other advantages if they are tenable.
What is the statement that best describes making complaints online?Complainers may appear unreasonable in social media posts. Business letters continue to be an effective tool for promoting goods and services, increasing traffic to websites and stores, and improving relationships with clients.
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1 Point A coffee shop uses an online system to engage customers. After cach transaction, anstrimers receive a tod asking them to rate their experience with either a smiley, neutral or sad face emoji.
To engage customers, a coffee shop employs an online system. Customers receive a text after each transaction asking them to assess their experience with a smiley, neutral, or sad face emoji. This practice exemplifies feedback control.
A strategic control system, according to top executives, is "a system to assist managers in assessing the importance of the organization's strategy to its progress in achieving its goals, and if discrepancies exist, to support areas requiring attention." A fundamental strategic control model depicts three types of control: feedforward, concurrent, and feedback.
Based on an analysis of inputs to stakeholders and the remote environment, feedforward control assists managers in anticipating changes in the external and internal environments. Concurrent control provides managers in real-time information about processes and activities in some cases, and acts to influence actions and behaviour in others.
Managers receive information about the outcomes of organisational activities through feedback control. Managers set goals using feedback control.
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Professor Patricia Werhane divides rights between basic/primary rights and secondary/nonbasic rights. Werhane lists life, basic health, food, water, shelter, and freedom from torture as basic/primary rights. Werhane lists private property ownership, on the other hand, as a secondary/nonbasic right. Do you agree with Werhane that private property ownership is a secondary/nonbasic right? Explain.
In the opinion of many political scientists and philosophers, including John Locke, owning property is a fundamental right. Professor Patricia Werhane divides rights between basic/primary rights and secondary/nonbasic rights.
Werhane lists life, basic health, food, water, shelter, and freedom from torture as basic/primary rights. She also lists private property ownership as a secondary/nonbasic right. However, Professor Patricia Werhane asserts that the right to own property is a secondary/nonbasic right in response to the question posted above. Werhane defends her position by claiming that the right to property ownership is secondary/nonbasic because it is established by law. Property rights are not naturally endowed, according to Werhane; rather, they are a construct of the law.
This means that if a person's right to property ownership is granted, it is because they are protected by the state or government, and if that protection is withdrawn, they will no longer have that right. Thus, Werhane considers property ownership to be a secondary/nonbasic right because it is dependent on a person's socioeconomic status. In her view, whether or not a person has the right to own property is determined by their social and economic position in society. This right is more of a privilege granted to a person by the government rather than a fundamental right.
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John borrowed $6,000,000 for a period of 15 years.is interest rate is 8%. How much interest will John pay in all?
Based on the information given the amount of interest that John pay in all is his $7,200,000.
Interest:Using this formula
Interest=Amount borrowed×Number of years×Interest rate
Where:
Amount borrowed=$6,000,000
Number of years=15 years
Interest rate=8%
Let plug in the formula
Interest=$6,000,000×15×8%
Interest=$7,200,000
Inconclusion the amount of interest that John pay in all is his $7,200,000.
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"You are the curator of a museum. The museum is running short of funds, so you decide to increase revenue. What should you do to increase revenue if the price elasticity of demand is greater then 1? a. Lower the admission price
b. Raise the admission price c. Nothing, revenue is maximized at current admission price"
The option that should be chosen in order to increase revenue if the price elasticity of demand is greater than one is (a) Lower the admission price. If the price elasticity of demand is greater than 1, this means that the demand for the museum decreases as the admission price increases.
By lowering the admission price, the museum can attract more visitors and increase revenue. When the demand for a particular good or service is highly responsive to price changes, it is referred to as elastic demand. This means that the percentage change in demand is greater than the percentage change in price. As a result, lowering the admission price in this case would increase the revenue.
The price elasticity of demand (PED) is a measure of the responsiveness of demand for a product to a change in its price. The PED is calculated by dividing the percentage change in the quantity demanded by the percentage change in the price. If the PED is greater than 1, then the demand is elastic. In conclusion, if the curator of a museum wants to increase revenue, then he or she should lower the admission price if the price elasticity of demand is greater than one. This will increase the demand for the museum and increase the revenue.
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The cost to manufacture shoes decreases. Which statement describes the expected outcome?
Supply of the shoes will decrease, and market price will decrease.
Supply of the shoes will decrease, and market price will increase.
Supply of the shoes will increase, and market price will decrease.
Supply of the shoes will increase, and market price will increase.
The statement that describes the expected outcome is: c. Supply of the shoes will increase, and market price will decrease.
What is supply?Supply can be defined as the amount of goods or product produce that is available for buyers to buy or purchase.
If the cost of production is lower ,this will lead to increase in production as companies will be able to buy more materials and the outcome of this is that the market price of goods or product will reduce because the cost to manufactures has reduced.
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Answer: Supply of the shoes will increase, and market price will decrease.
Explanation:
How is aggregate demand by different factors and determinants?
Answer:
Aggregate demand is calculated as the sum of consumer spending, investment spending, government spending, and the difference between exports and imports. Whenever one of these factors changes and when aggregate supply remains constant, then there is a shift in aggregate demand.
Please help!!!
A major revision task involves assessing the clarity of your message. A clear message is one that is easily
understood. Describe three techniques that can improve the clarity of your writing. Include an example of each
technique
Answer:
1) Know what you want to say
2) Know who you're talking to
3) Define unfamiliar words
4) Create a sentence outline
5) Write one-sentence paragraphs
6) Make your sentences short
7) Don't use long words
8) Leverage writing tools
What makes an Interior Design Business so successful
Answer:
the soft ness of the fabric
Which of the following accounts could not be classified as a current liability? A.) notes payable (due in 5 years). B.)accounts payable. C.)current portion of long-term note
The account that could not be classified as a current liability is: A.) notes payable (due in 5 years).
A current liability is a debt or obligation that is expected to be settled within the normal operating cycle of a business, typically within one year. It includes obligations that are due and payable in the short term.
Accounts payable represents the amount owed by a business to its suppliers for goods or services received on credit. It is a typical current liability as it is expected to be paid within a relatively short period.
The current portion of long-term note refers to the portion of a long-term loan that is due within the next year. Since it is expected to be settled in the short term, it is also classified as a current liability.
However, notes payable due in 5 years represents a long-term debt obligation that extends beyond the normal operating cycle or one year. Therefore, it would not be classified as a current liability but rather as a long-term liability.
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Prepare a balance sheet in proper format for the company as of December 31st based on the following accounts. Answer questions 8 through 10 based on this balance sheet.
Answer:
Total liabilities = $25,000
Explanation:
Missing information;
Accounts Payable = $5,000
Long-term Notes Receivable = $10,000
Accounts Receivable = $15,000
Accrued Expenses = $3,000
Cash = $10,000
Short-term Notes Payable = $7,000
Retained Earnings = $2,000
Accumulated depreciation = $2,000
Prepaid Expenses = $3,000
Capital Stock = $8,000
Supplies = $7,000
Find:
Total liabilities
Computation:
Total liabilities = Accounts Payable + Capital Stock + Short-term Notes Payable + Accrued Expenses + Retained Earnings
Total liabilities = 5000 + 8000 + 7000 + 3000 + 2000
Total liabilities = $25,000
can someone help with my accounting paper?
sure.. where is it? can u show?
The Kingdom of Mocha enjoys no absolute advantage in crude oil, diamonds, or wool. However, the Mochans manufacture high-quality bows and arrows. Which statement about the Mochans is true?
Answer:
The Mochans have a comparative advantage in the production of bows and arrows.
Explanation:
Comparative advantage is defined as the ability of a country to produce a product at a lower cost compared to other countries.
In such a situation it will be cheaper for other countries to buy the products than to produce it themselves.
In this scenario the Mochans manufacture high-quality bows and arrows, so they have comparative advantage in producing these goods.
However they have no absolute advantage in crude oil, diamonds, or wool. So they do not have comparative advantage in producing these products and will be better off buying them from other countries that produce them at a cheap rate
Aubrey is considering different options for paying for college. Which option would require her to repay the money plus interest?A. Student loanB. ScholarshipC. GrantD. Work-study
Answer:
A student loan
Explanation:
A student loan would be the answer because a loan is something that is borrow so you would have to pay back all of the money that you use therefor Aubrey would get a student loan because that requires her to pay the money back.Hope it helps you!
what is meant by business
Answer:
A business is defined as an organization or enterprising entity engaged in commercial, industrial, or professional activities.
_____ or short saying of wisdom or truth were used to teach lessons to the people
Answer:
ygyvuyvuhuvhuh
Explanation:
To reduce the consumption of sugary soft drinks, suppose the government imposes a $2 per-unit sales tax on soft drinks.per-unit sales tax on soft drinks.Will the price of soft drinks increase by the full amount of the sales tax? Explain.Calculate the tax revenue the government can collect from the sale of soft drinks. Show your work.Will the consumer surplus increase, decrease, or stay the same after the tax?Calculate the deadweight loss created by the tax. Show your work.
The prices of the drinks are going to rise by the same amount as the sales tax imposed on the drinks.
It would rise by this same amount if the tax burden is on the producer of the drink and not the consumer.
Calculation of the tax revenueThe tax revenue is going to be the sales tax of $2 times the number of the soft drinks that was sold.
= $2*n
Where n is the number sold.
The consumer surplus is going to fall(decrease) due to the fact that there would be decreased demand. This would shift the demand curve backward.
The deadweight loss is the fall in demand that is due to market inefficiency. This is the cost.
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7. Another example of opportunity cost is a company's cost of capital. Suppose a manufacturer wants to add
microwave ovens to its product line. To do this, it must invest $500,000 in new equipment.
Besides the original investment, the company estimates it would spend $200,000 per year on production
costs for labor and materials. It also estimates that it could sell about $225,000 worth of microwave ovens
each year. Would it benefit the company to manufacture the microwave ovens if it could earn 10 percent
interest by purchasing U.S. Treasury bonds with the $500,000? Explain your answer.
Answer:
You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.
Explanation:
alternative 1, build and sell microwave ovens:
initial outlay = $500,000
net cash flow per year = $225,000 - $200,000 = $25,000
alternative 2, invest in US securities:
investment = $500,000
net cash flow per year = $500,000 x 10% = $50,000
Opportunity costs are the benefits lost or extra costs resulting from choosing one activity or investment over another.
If you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000 = -$25,000.
Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000 = $25,000.
You should invest in US bonds because you will be able to earn a higher return than if you build and sell microwaves.
The calculation is as follows:alternative 1, build and sell microwave ovens:
initial outlay = $500,000
So,
net cash flow per year = $225,000 - $200,000 = $25,000
now
alternative 2, invest in US securities:
investment = $500,000
net cash flow per year = $500,000 x 10% = $50,000
In the case when you choose to build and sell microwaves, you will not be able to invest in bonds, and therefore, your net income will decrease by $25,000 - $50,000
= -$25,000.
Now
Instead, if you invest in bonds and not microwaves, your net income will increase by $50,000 - $25,000
= $25,000.
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Advise someone on the implications of CPA on businesses
Answer:
Impact of the CPA on businesses
The main function of the Consumer Protection Act now is to protect consumers against product liability. Protection against product liability means that consumers are protected if the product they purchase from you is defective and causes further damage.
Explanation:
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if x company continues to make the part, it will save a: $597 b: $746 c: $933 d: $1,166 e: $1,457 f: $1,822 tries 0/99
If company X continues to make the part, it will save an amount between $597 and $1,822. The correct option is a, $597.
The exact amount of savings would depend on various factors, such as the cost of production, demand for the part, and market competition. However, it is clear that the savings would be significant, ranging from a minimum of $597 to a maximum of $1,822.
Therefore, it would be beneficial for company X to continue producing the part, as it would lead to considerable cost savings. By doing so, the company could improve its profitability and competitive position in the market. It is important for companies to constantly evaluate their production processes and make decisions that optimize their resources and generate maximum value. In this case, continuing to make the part would be a prudent decision for company X. The correct option is a, $597.
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Melissa is a salaried employee who earns roughly the same amount in every paycheck. Why would it be a great idea for her to set up an automatic transfer every pay period into her savings account
It will be a good idea to set up an automatic transfer every pay period because its prevents anyone from forgetting to pay yourself first as well as preventing to spend the said money.
What is an automatic transfer?An automatic transfer refers to an arrangement whereby a preset transfers is done from customer's account on a regular basis to another accounting.
In conclusion, the automatic transfer is very effective in maintaining a strict saving culture because its prevent the spending of disposable income.
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