the following tables describe supply and demand curves for a market. suppose the government imposes a tax of $15 on sellers and a tax of $25 on buyers. what is the quantity traded after the tax?

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Answer 1

After the implementation of taxes of $15 on sellers and $25 on buyers, the quantity traded in the market would be 20 units with an after-tax price of $65, found by identifying the intersection of the after-tax supply and demand curves.

After the  $15 of tax on sellers and $25 on buyers, 20 units of quantity is traded in the market.

At this quantity, $65 would be the after-tax price and the after-tax quantity demanded and supplied would be equal. This can be found by identifying the quantity in the given graph where the after-tax supply curve intersects the after-tax demand curve.

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--The given question is incomplete, the complete question is given

" the following graph describe supply and demand curves for a market. suppose the government imposes a tax of $15 on sellers and a tax of $25 on buyers. what is the quantity traded after the tax? "--

The Following Tables Describe Supply And Demand Curves For A Market. Suppose The Government Imposes A

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find the time required for an investment of $5000 to grow to$12,000 at an interest rate of 9% per year compounded monthly giveyour answer accurate to two decimal places

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It would take approximately 9.41 years for an investment of $5000 to increase in value to $12,000 at an interest rate of 9% per year compounded monthly.

To find the time required it would take approximately 9.41 years for an investment of $5000 to grow to $12,000 at an interest rate of 9% per year compounded monthly, we can use the formula:
A = P(1 + r/n)^(nt)
where A is the final amount, P is the initial investment, r is the interest rate, n is the number of times the interest is compounded per year, and t is the time in years.
In this case, we have:
A = $12,000
P = $5000
r = 9% = 0.09
n = 12 (since the interest is compounded monthly)
t = unknown
Plugging these values into the formula, we get:
$12,000 = $5000(1 + 0.09/12)^(12t)
Dividing both sides by $5000 and taking the natural logarithm of both sides, we get:
ln(2.4) = 0.0075t
Solving for t, we get:
t = ln(2.4)/0.0075
t ≈ 9.41 years
Therefore, it would take approximately 9.41 years for an investment of $5000 to grow to $12,000 at an interest rate of 9% per year compounded monthly.

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Ecco Company has total fixed costs of $5,000, sells a product whose contribution margin is $50 and selling price per unit is $125, and has current sales of $15,000. The company's margin of safety ratio is 20%.TRUE OR FALSE

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The statement "Ecco Company has total fixed costs of $5,000, sells a product whose contribution margin is $50 and selling price per unit is $125, and has current sales of $15,000. The company's margin of safety ratio is 20%." this is FALSE because, the company's margin of safety ratio is actually 16.67%, not 20%.

Here's the explanation:

1. Fixed costs: $5,000
2. Contribution margin per unit: $50
3. Selling price per unit: $125
4. Current sales: $15,000

First, we need to calculate the break-even point in units:

Break-even point (units) = Fixed costs / Contribution margin per unit = $5,000 / $50 = 100 units

Now, we need to find the actual number of units sold:

Units sold = Current sales / Selling price per unit = $15,000 / $125 = 120 units

Next, calculate the margin of safety in units:

Margin of safety (units) = Units sold - Break-even point (units) = 120 units - 100 units = 20 units

Finally, calculate the margin of safety ratio:

Margin of safety ratio = (Margin of safety (units) / Units sold) x 100% = (20 units / 120 units) x 100% = 16.67%

The company's margin of safety ratio is actually 16.67%, not 20%.

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Suppose that a study conducted by the Pew Research Center found the following: • 38% of adults do not exercise regularly. • 63% of the population is older than 44 years of age. • 75% of the adult population is either aged 18-44 or exercises regularly. Find the probability that... (Enter your answers as numbers between 0 and 1 (not percentages), and round them to two decimal places, if necessary.) 1a. a randomly selected adult exercises regularly. 1b. a randomly selected adult is aged 18-44. 1c. a randomly selected adult is 18-44 and exercises regularly. 1d. a randomly selected 18-44 adult exercises regularly.

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1a. Probability that a randomly selected adult exercises regularly is 0.62

1b. Probability that a randomly selected adult is aged 18-44 is 0.37

1c.Probability that a randomly selected adult is 18-44 and exercises regularly is 0.09

1d. Probability that a randomly selected 18-44 adult exercises regularly is 0.66

1a. Probability that a randomly selected adult exercises regularly is:

P(exercises regularly) = 1 - P(does not exercise regularly) = 1 - 0.38 = 0.62

Answer: 0.62

1b. Probability that a randomly selected adult is aged 18-44 is:

P(aged 18-44) = 1 - P(older than 44) = 1 - 0.63 = 0.37

Answer: 0.37

1c. Probability that a randomly selected adult is 18-44 and exercises regularly is:

P(aged 18-44 and exercises regularly) = P(aged 18-44) * P(exercises regularly | aged 18-44)

We are not given P(exercises regularly | aged 18-44) directly, but we can calculate it using the information provided:

P(exercises regularly | aged 18-44) = (P(aged 18-44 and exercises regularly) / P(aged 18-44))

P(aged 18-44 and exercises regularly) = P(exercises regularly) - P(older than 44) + P(aged 18-44 and does not exercise regularly)

P(aged 18-44 and does not exercise regularly) = P(aged 18-44) - P(aged 18-44 and exercises regularly)

Substituting the given values:

P(aged 18-44 and exercises regularly) = 0.75 - 0.63 + (0.37 - P(aged 18-44 and exercises regularly))

Simplifying:

2P(aged 18-44 and exercises regularly) = 0.49

P(aged 18-44 and exercises regularly) = 0.245

Now we can calculate P(aged 18-44 and exercises regularly):

P(aged 18-44 and exercises regularly) = P(aged 18-44) * P(exercises regularly | aged 18-44) = 0.37 * 0.245 = 0.09065 ≈ 0.09

Answer: 0.09

1d. Probability that a randomly selected 18-44 adult exercises regularly is:

P(exercises regularly | aged 18-44) = (P(aged 18-44 and exercises regularly) / P(aged 18-44)) = 0.245 / 0.37 ≈ 0.6622 ≈ 0.66

Answer: 0.66

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DIV 2 HAS DM EQUIVALENT UNITS IN ENDING WIP = 5,600. TOTAL DM EQUIVALENT UNITS = 16,000. DM COST ALLOCATED TO UNITS TRANSFERRED OUT = $81,120. IDENTIFY THE FOLLOWING: DM COST PER EQUIVALENT UNIT (DON’T ROUND)?

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The Direct Material cost per equivalent unit without rounding is $7.80.

How to determine the DM cost

Based on the information provided, we can calculate the Direct Material (DM) cost per equivalent unit.

To do this, we can follow these steps:

1. Determine the total DM equivalent units: In this case, it's 16,000. 2. Identify the DM cost allocated to units transferred out: In this case, it's $81,120.

3. Calculate the DM equivalent units in Ending Work in Process (WIP):

In this case, it's 5,600.

4. Subtract the DM equivalent units in Ending WIP from the total DM equivalent units to find the units transferred out: 16,000 - 5,600 = 10,400.

5. Divide the DM cost allocated to units transferred out by the number of units transferred out to find the DM cost per equivalent unit: $81,120 / 10,400 = $7.80.

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youmake a one time deposit of $6000 in an account earning 6% interestcompounded monthly how much will you have an account in 15years

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Assuming no additional deposits or withdrawals, after 15 years, the one-time deposit of $6000 in an account earning 6% interest compounded monthly will grow to approximately $15920.4.

To find out how much you will have in the account in 15 years after making a one-time deposit of $6000 in an account earning 6% interest compounded monthly, we can use the formula for compound interest:

A = P(1 + r/n)^(nt)

Where:
A = the future value of the investment/loan, including interest
P = the initial deposit (the principal)
r = the annual interest rate (decimal)
n = the number of times that interest is compounded per year
t = the number of years

In this case, we have:
P = $6000 (the deposit)
r = 0.06 (6% interest as a decimal)
n = 12 (compounded monthly)
t = 15 (number of years)

Now we can plug these values into the formula:

A = 6000(1 + 0.06/12)^(12 * 15)

A = 6000(1 + 0.005)^(180)

A = 6000(1.005)^(180)

A ≈ 6000(2.6534)

A ≈ $15920.4

So, after 15 years, you will have approximately $15,920.40 in the account.

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The amount of Section 1245 depreciation recapture that will be taxed as ordinary income is the _________________ of (1) the recognized gain on the sale or (2) total accumulated depreciation on the asset. The remainder of any gain is characterized as Section _____________ gain, which may be taxed at capital gain rates.

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The amount of Section 1245 depreciation recapture that will be taxed as ordinary income is the lesser of (1) the recognized gain on the sale or (2) total accumulated depreciation on the asset. The remainder of any gain is characterized as Section 1231 gain, which may be taxed at capital gain rates.

Depreciation is an accounting technique used to distribute a tangible asset's cost over the course of its useful life. It depicts the asset's declining value over time as a result of damage, obsolescence, or other issues. In a company's financial statements, depreciation is normally computed and recorded as a cost on a yearly basis. The initial cost of the asset, the projected lifespan of the asset, and the salvage value (the estimated worth of the asset after its useful life) all contribute to determining the amount of depreciation. The straight-line method, the decreasing balance method, and the sum-of-years' digits method are the three most used approaches to figuring depreciation.

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ensuring that all goods shipped and all services provided are charged to customers at authorized prices and terms is the main responsibility of the

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Ensuring that all goods shipped and all services provided are charged to customers at authorized prices and terms is the main responsibility of the Sales and Billing Department.

This department ensures accurate invoicing and pricing for goods and services, which aligns with the authorized prices set by the company, maintaining a positive customer experience.

The management of sales and billing contributes to maintaining a healthy company's cash flow. Sending of Solicitations, Neglecting the Installments, Subsequent meet-ups of the Installments are the regions covered under these.

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According to the information presented in this​ video, organizations have options for responding to problematic​user-generated social media content that include all of the following EXCEPT​ _____.
A. leaving it B. deleting it C. changing it D. responding to it E. taking no action

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According to the information presented in the video, organizations have options for responding to problematic user-generated.

What is social media

Social media is a collective term for websites and applications that focus on communication, community-based input, interaction, content-sharing and collaboration.

People use social media to stay in touch and interact with friends, family and various communities. Businesses use social applications to market and promote their products and track customer concerns.

Business-to-consumer websites include social components, such as comment fields for users. Various tools help businesses track, measure and analyze the attention the company gets from social media, including brand perception and customer insight.

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to respond to clientele groups, some departments and agencies were formed to ______.

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To respond to clientele groups, some departments and agencies were formed to provide specific services or address specific needs of those groups.

These departments and agencies may be part of government organizations, non-profit organizations, or private companies, and they may focus on a variety of areas, such as healthcare, education, social services, environmental protection, or consumer advocacy.

For example, a government agency like the Environmental Protection Agency (EPA) may be formed to address the needs of individuals and communities impacted by environmental pollution and other hazards. Similarly, a non-profit organization like the American Cancer Society may be formed to provide support and resources to individuals and families affected by cancer. In the private sector, companies may form specialized departments or divisions to address the needs of specific customer segments, such as a customer service department that provides support to consumers who have purchased their products or services.

By forming these departments and agencies, organizations can more effectively serve the needs of their clientele groups, and better understand and respond to their unique challenges and concerns. This can help build stronger relationships with customers or stakeholders, and improve the overall quality of services provided.

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abc common stock is expected to have extraordinary growth in earnings and dividends of 20% per year for 2 years, after which the growth rate will settle into a constant 7%. if the discount rate is 15% and the most recent dividend was $1, what should be the approximate current share price (in $ dollars)? $ .abc common stock is expected to have extraordinary growth in earnings and dividends of 20% per year for 2 years, after which the growth rate will settle into a constant 7%. if the discount rate is 15% and the most recent dividend was $1, what should be the approximate current share price (in $ dollars)? $ .

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The approximate current share price of ABC common stock is $21.82.

To calculate the current share price of ABC common stock, we need to use the dividend discount model, which is based on the present value of future dividends.

First, we need to calculate the dividends for the next two years, using the 20% growth rate:

Year 1 dividend = $1 x (1 + 20%) = $1.20

Year 2 dividend = $1.20 x (1 + 20%) = $1.44

Next, we need to calculate the present value of the dividends for the first two years, using the discount rate of 15%:

PV of Year 1 dividend = $1.20 / (1 + 15%) = $1.04

PV of Year 2 dividend = $1.44 / (1 + 15%)² = $1.11

Then, we can calculate the present value of all future dividends beyond the first two years, using the constant growth rate of 7%:

PV of future dividends = $1.44 x (1 + 7%) / (15% - 7%) = $19.67

Finally, we can calculate the current share price by adding up the present value of all future dividends:

Current share price = PV of Year 1 dividend + PV of Year 2 dividend + PV of future dividends

Current share price = $1.04 + $1.11 + $19.67 = $21.82

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campbell company has current assets of $10 million of which $3,000,000 are accounts receivable. its current liabilities total $7 million of which $2,000,000 are accounts payable and $500,000 are wages payable. campbell's net credit is:

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Based on the provided accounts receivable, accounts payable, and wages payable, the campbell's net credit is $500,000.

To calculate Campbell Company's net credit, we will consider its accounts receivable, accounts payable, and wages payable. The question states that Campbell Company has:

Current assets of $10,000,000

Accounts receivable of $3,000,000

Current liabilities of $7,000,000

Accounts payable of $2,000,000

Wages payable of $500,000

To find the net credit, follow these steps:

1. Subtract the accounts payable and wages payable from the accounts receivable.

Net credit = Accounts receivable - (Accounts payable + Wages payable)

Net credit = $3,000,000 - ($2,000,000 + $500,000)

2. Calculate the final value.

Net credit = $3,000,000 - $2,500,000

Net credit = $500,000

So, Campbell's net credit is $500,000.

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Projects that repair, replace or rehabilitate existing assets are Modified Sunk Cost Projects Conventional Projects Replacement Projects Unconventional Projects

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Projects that repair, replace or rehabilitate existing assets are generally referred to as Replacement Projects. These projects focus on maintaining or improving the functionality and efficiency of existing assets, rather than investing in entirely new ones.

Replacement projects are projects that involve replacing an existing asset with a new one. For example, replacing an old machine with a new one.

Modified sunk cost projects are projects that involve modifying an existing asset to extend its useful life or improve its performance. For example, retrofitting an old building with energy efficiency features.

Conventional projects are projects that follow standard industry practices and are considered routine. For example, resurfacing a road that has deteriorated over time.

Unconventional projects are projects that deviate from standard industry practices and require creative solutions. For example, reusing a former industrial site in a mixed-use development.

In summary, projects that repair, replace or rehabilitate existing assets can be classified in different ways depending on the nature and scope of the work involved.

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All of the following are tools available to the Fed for controlling the money supply except
A. The reserve requirement.
B. The discount rate
C. Open market operations
D. Taxes

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The tool that is not available to the Fed for controlling the money supply is D. Taxes. The Fed does not have direct control over taxation, which is primarily the responsibility of the federal government.

The other tools listed, such as the reserve requirement, discount rate, and open market operations, are all methods that the Fed can use to influence the money supply.The reserve requirement, B. The discount rate, C. Open market operations, or D. Taxes.
The correct answer is D. Taxes. The Fed uses tools like the reserve requirement (A), the discount rate (B), and open market operations (C) to control the money supply. However, taxes (D) are not a tool used by the Federal Reserve for controlling the money supply, as they fall under the purview of fiscal policy and are managed by the government.

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when the nuclide carbon-10 undergoes positron emission: the name of the product nuclide is

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The nuclide produced when carbon-10 undergoes positron emission is known as 10c6.

Electron capture is the type of nuclear decay that carbon-10 goes through. While some researchers categorize this as a form of beta decay, others do not. Positron emission, also known as positive beta decay (+-decay), occurs when a proton in the parent nucleus decays into a neutron that stays in the daughter nucleus.

The daughter nucleus then releases a neutrino and a positron, a positive particle with mass similar to an ordinary electron but an opposite charge. A positron is released by carbon-11 as it passes through positron emission decay. Before it collides with an electron, the positron only travels a brief distance through the tissue around it. A pair of gamma rays are produced during the annihilation.

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Why should investors be careful about using the CAPM forvaluation purposes?

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The CAPM is a widely-used finance theory that establishes a relationship between the expected return of an investment and its risk.

1. Market efficiency: CAPM assumes that markets are efficient, meaning that all relevant information is already factored into the prices of assets. However, markets may not always be efficient, which can lead to incorrect estimates of expected returns.

2. Risk-free rate: The model uses a risk-free rate as a base for calculating expected returns. In reality, a truly risk-free investment does not exist, as even government bonds carry some degree of risk.

3. Beta as a measure of risk: CAPM uses beta to represent the systematic risk of an investment. However, beta may not accurately capture all the risks associated with an investment, especially for individual stocks or assets with unique characteristics.

4. Linearity: The model assumes a linear relationship between risk and return, but this may not always be the case. In some situations, the relationship could be nonlinear or more complex.

Due to these limitations, investors should be cautious when using the CAPM for valuation purposes and consider supplementing it with other methods or tools to obtain a more accurate and comprehensive valuation.

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many banks have a natural mismatch between the maturities of assets and liabilities; liabilities are primarily short term deposits and assets are mostly long term loans. this characteristic can make banks suffer serious decreases in net worth when . multiple choice question. stock prices drop sharply interest rates decrease unexpectedly stock prices rise unexpectedly interest rates increase unexpectedly

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This characteristic can make banks suffer serious decreases in net worth when Interest rates decrease unexpectedly.

The correct option is B.

When interest rates decrease unexpectedly, banks can suffer serious decreases in net worth due to the natural mismatch between the maturities of assets and liabilities. Banks tend to have short-term liabilities such as deposits, while their assets are primarily long-term loans.

When interest rates decrease unexpectedly, the value of the bank’s assets decrease, which leads to a decrease in the bank’s net worth. In addition, the decreased interest rates mean that the bank’s income from loans will also decrease, exacerbating the problem. Fortunately, banks can mitigate the risk by investing in investments that have higher returns than the lower interest rates, but this is a costly and risky strategy.

The correct option is B.

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Monetary policy is used by many countries to achieve most of their economic goals. However, the application of monetary policy has limitations in terms of which are less or less developed?

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Monetary policy is used by many countries to achieve most of their economic goals. However, the application of monetary policy has limitations, especially in less developed countries.

Monetary policy is a tool used by many countries to achieve their economic goals such as controlling inflation, promoting economic growth, and stabilizing the economy.

However, the application of monetary policy has its limitations, especially in less developed countries. One of the main limitations is the lack of a well-developed financial system that can effectively transmit changes in monetary policy to the broader economy.

In addition, less developed countries may have less flexibility in their monetary policy due to factors such as high levels of debt, unstable exchange rates, and limited access to international financial markets. These limitations can make it difficult for policymakers to effectively use monetary policy to achieve their economic goals.

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We collected data about the characteristics of households and draw conclusions about the individuals in those households. This approach may suffer fromChoose matching definition
assessing the measurability of concepts
the ecological fallacy.
all the other answers are true
a pretest

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We collected data about the characteristics of households and draw conclusions about the individuals in those households. This approach may suffer from ecological fallacy.

The correct answer is (C)

The ecological fallacy is a type of error in reasoning that occurs when conclusions about individuals are drawn based solely on data collected at the group level (e.g., households, neighborhoods, cities, etc.). This fallacy assumes that characteristics of the group are representative of the individuals within that group, which is not always the case.

Assessing the measurability of concepts and conducting pretests are important steps in research to ensure that data is collected accurately and that concepts are well-defined. However, they are not directly related to the issue of the ecological fallacy.

Therefore, the correct answer is option (c)

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these are customers who might be categorized as satisfied, but do not enthusiastically support the company. they are vulnerable to competitive offerings.

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These customers can be described as passively satisfied, as they are content with the company's offerings but not enthusiastic supporters, making them susceptible to competitors' offerings.

Passively satisfied customers may have their needs met by a company's products or services, but they don't have strong loyalty or attachment to the brand. These customers may not have any major complaints, but they also don't actively promote the company or become brand advocates.

This lack of enthusiasm can make them vulnerable to competitive offerings, as they are more likely to switch to another provider if they perceive a better deal, product, or service.

To retain these customers and turn them into loyal supporters, companies should focus on building stronger relationships, improving customer experiences, and offering more value than their competitors.

This can include personalized offers, exceptional customer service, and continuously improving the quality of products and services.

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in mass service and professional service, the operations manager should focus extensively on: group of answer choices automation. equipment maintenance. sophisticated scheduling. human resources. cost-cutting initiatives.

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For service processes, Mass service and Professional service require the operations manager to focus extensively on human resources and sophisticated scheduling.

Mass service often involves a large volume of customers, making it crucial for operations managers to have a well-trained and motivated workforce to handle customer interactions efficiently. Professional service, on the other hand, involves highly skilled and knowledgeable employees who require proper scheduling and coordination to provide quality service to clients. While automation, equipment maintenance, and cost-cutting initiatives may still be important factors, they are not as critical as human resources and scheduling in ensuring service quality and customer satisfaction.

Complete question:

For Service processes, Mass service and Professional service require the operations manager to focus extensively on:

a. automation.

b. equipment maintenance.

c. sophisticated scheduling.

d. human resources.

e. cost-cutting initiatives.

The correct answer is C and D.

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The processes for capturing lessons learned continue to evolve, but there are still barriers to effectively mining lessons learned.
T/F

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The given statement, 'the processes for capturing lessons learned continue to evolve, but there are still barriers to effectively mining lessons learned' is true because these barriers may include issues with communication, knowledge sharing, and organizational culture.

While the processes for capturing lessons learned continue to evolve, there are still several barriers to effectively mining lessons learned. Some of these barriers include:

Lack of a culture of continuous learning: Organizations that do not prioritize learning and improvement may not see the value in capturing and analyzing lessons learned.Failure to prioritize lessons learned: Even when organizations do capture lessons learned, they may not prioritize the implementation of those lessons, or may not allocate resources to ensure that they are integrated into the organization's processes.Inadequate data collection: Organizations may not collect enough data to effectively analyze and learn from their experiences.Resistance to change: Even when organizations do identify lessons learned and have the resources to implement changes, there may be resistance to change from employees or other stakeholders.Lack of communication and knowledge sharing: Organizations may not have effective communication channels or knowledge management systems in place to ensure that lessons learned are shared across the organization.

Therefore, while there are ongoing efforts to improve the processes for capturing lessons learned, it is important to address these barriers in order to effectively mine and apply lessons learned to improve organizational performance.

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True False
If the economy has an inflationary GDP gap, one possible solution is to increase government expenditures.

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If the economy has an inflationary GDP gap, one possible solution is to increase government expenditures. This statement is false.

An inflationary gap is the difference between the GDP under full employment and the actual reported GDP number. It measures the difference in output between the natural rate of unemployment and the reported GDP figure as assessed by GDP.

For the gap to be inflationary, the current real GDP must be greater than the potential GDP. Governments impose strategies to close an inflationary gap, such as cuts in government spending and increases in taxes and interest rates.

An inflationary gap occurs when demand for goods and services exceeds supply. This might be produced by increased employment, increased commercial activity, or increased government spending.

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Intermediaries who are agents of investors and match buyers with sellers of securities are called:
-investment bankers.
-traders.
-brokers.
-dealers.
-None of these.

Answers

Intermediaries who are agents of investors and match buyers with sellers of securities are called brokers. So, correct option is C.

They typically work for brokerage firms and earn commissions for each transaction they facilitate. Brokers do not hold securities themselves but instead connect buyers and sellers for a fee.

Investment bankers, on the other hand, help companies raise capital by underwriting and issuing securities. They work closely with companies to determine the best type of security to issue and help set the price.

Traders buy and sell securities for their own accounts, typically working for investment banks, hedge funds, or other financial institutions. Dealers buy and sell securities for their own accounts, either as market makers or as traders. Therefore, the correct answer is brokers.

So, correct option is C.

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which of the following is one of the five basic questions that a good mission statement should answer? who are our competitors? what is our market position? what is our operating philosophy? what are our opportunities? where have we been?

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While all these questions may not be explicitly stated in a mission statement, a well-crafted mission statement should convey a clear understanding of the organization's operating philosophy, market position, opportunities, competitors, and historical context.

What is Philosophy?

Philosophy is a branch of knowledge and inquiry that explores fundamental questions about the nature of reality, existence, knowledge, ethics, values, and the meaning of life. It is a discipline that seeks to understand and critically examine the fundamental concepts and principles that govern human existence, thought, and behavior.

A mission statement is a concise statement that outlines an organization's purpose, core values, and overall direction. It helps to define the organization's identity, clarify its objectives, and guide its actions.

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Ratio Analysis (Total Marks : 25) • The following information is extracted from the 2020 financial statements of two companies working in the same industry. Fashion Ltd Beauty Ltd £ £ Sales 160,000 196,000 Cost of goods sold (38,000) (48,000)Expenses (90,000) (74,000)Current Assets 10,000 10,000 Current liabilities 8,000 12,000Long-term loan 24,000 36,000 Share capital and reserves 88,000 32,000 Question 1 For each company, calculate the following ratios: .• Use the formula sheet provided. • You must round your answers to TWO decimal places. . • You are advised to show your workings. There is no requirement to rewrite the formula. i. Gross Profit percentage ii. Return on Capital employediii. Current ratio iv. Capital Gearing percentage

Answers

These ratios provide useful information about the financial performance and position of each company. The gross profit percentage indicates the profitability of the companies, with higher percentages indicating more efficient operations.

i. Gross Profit percentage = (Sales - Cost of goods sold) / Sales

For Fashion Ltd:

Gross Profit percentage = (160,000 - 38,000) / 160,000 = 82%

For Beauty Ltd:

Gross Profit percentage = (196,000 - 48,000) / 196,000 = 84%

ii. Return on Capital employed = Earnings before Interest and Taxes (EBIT) / Capital Employed

For Fashion Ltd:

Return on Capital employed = (82% * 160,000) / 88,000 = 1.96

For Beauty Ltd:

Return on Capital employed = (84% * 196,000) / 84,000 = 2.16

iii. Current ratio = Current Assets / Current Liabilities

For Fashion Ltd:

Current ratio = 10,000 / 8,000 = 1.25

For Beauty Ltd:

Current ratio = 10,000 / 12,000 = 0.83

iv. Capital Gearing percentage = Long-term loan / Share capital and reserves

For Fashion Ltd:

Capital Gearing percentage = 24,000 / 88,000 = 27.14%

For Beauty Ltd:

Capital Gearing percentage = 36,000 / 32,000 = 1.18%

The return on capital employed measures the efficiency of the use of capital by the companies, with higher percentages indicating better use of capital. The current ratio indicates the liquidity of the companies, with higher ratios indicating that the companies have sufficient current assets to cover their current liabilities. The capital gearing percentage indicates the level of debt used by the companies, with higher percentages indicating higher levels of debt.  

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A ____ may be as simple as golden arches or may be a stylistic font that identifies a popular soda. group of answer choices - logo - business set - brand - coupon

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A logo is an important part of a business set as it represents the brand identity. It serves as the visual symbol that customers associate with the company. It can be as simple as the golden arches, which represent McDonald's, or a stylistic font that identifies a popular soda such as Coca-Cola.

The logo is an essential component of a company's marketing strategy as it helps to establish brand recognition and create a lasting impression on potential customers. It is important for the logo to be visually appealing, easily recognizable, and memorable to make a significant impact on the target audience.

A business set typically includes several items, such as  business cards, and envelopes, all of which feature the company logo. These items create a cohesive brand identity and help to reinforce the brand image in the minds of customers.

In conclusion, a logo is a critical element of a business set that helps to establish brand identity and recognition. Whether it's a simple symbol like the golden arches or a more intricate design, a logo should be visually appealing, memorable, and easily recognizable to make a lasting impression on customers.

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The company's shipments of newly-produced branded and private-label footwear from its facilities to its regional distribution centers are subject to shipping charges of $2 per pair on all pairs shipped and exchange rate adjustments on pairs shipped from a plant in one region to one or more distribution centers in different region(s). 2-million pair import quotas on the part of the geographic regions to which pairs are shipped plus exchange rate adjustments on pairs shipped from one region to another. prevailing per pair shipping charges from plant(s) to regional distribution center(s) plus any applicable import tariffs and exchange rate adjustments on cross-region shipments. export fees equal to 5% of the manufacturing costs of the pairs shipped and exchange rate adjustments on cross-regional shipments. tariffs of $6 per pair, shipping fees of $1.50 per pair, and exchange rate adjustments on cross-region shipments.

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prevailing per pair shipping charges from plant(s) to regional distribution center(s) plus any applicable import tariffs and exchange rate adjustments on cross-region shipments.

Tariffs are taxes imposed by a government on imported or exported goods. They are often used as a way to protect domestic industries from foreign competition by making imported goods more expensive and therefore less attractive to consumers.

Tariffs can also be used as a source of revenue for the government. Tariffs may be specific (a fixed amount per unit) or ad valorem (a percentage of the value of the goods).

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If net income is $2,700 and owner withdrawals are $6,000, how much did the owner contribute (owner, capital)? beggening of year assets: 26000 liabilities: 15000 ..End of year assets 61,000 liabilites: 29000

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Answer: $24,300

Explanation:

Assets = Liabilities + Owner's Equity.

At the beginning of the year:
Assets = $26,000
Liabilities = $15,000
Owner's Equity (Beginning) = Assets - Liabilities = $26,000 - $15,000 = $11,000

At the end of the year:
Assets = $61,000
Liabilities = $29,000
Owner's Equity (End) = Assets - Liabilities = $61,000 - $29,000 = $32,000

Now, let's consider the changes in Owner's Equity during the year:
Net Income = $2,700
Owner Withdrawals = $6,000


To find the owner's capital contribution, we can use the following equation:
Owner's Equity (End) = Owner's Equity (Beginning) + Net Income - Owner Withdrawals + Owner's Capital Contribution

$32,000 = $11,000 + $2,700 - $6,000 + Owner's Capital Contribution
Owner's Capital Contribution = $32,000 - $11,000 - $2,700 + $6,000 = $24,300

The owner contributed $24,300 during the year.

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A _____ is a form element used for entering data and running commands.a. macrob. form commandc. moduled. form control

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The correct answer is d. form control. A "form control" is a form element used for entering data and running commands.

It can be used in various types of forms such as data entry forms, survey forms, and contact forms. Form controls allow users to interact with a form by entering data, selecting options, and submitting information.

Examples of form controls include text boxes, drop-down lists, radio buttons, checkboxes, and buttons. They are an essential component of user-friendly forms as they provide a convenient and intuitive way for users to input and manipulate data.

Overall, form controls play a crucial role in ensuring the usability and effectiveness of web forms.

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which of the following costs is relevant in a decision-making process? a. sunk costs b. historical costs c. prepaid insurance costs d. variable costs

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The correct  option is d. Variable cost. In the context of decision-making and considering the given options, the relevant cost is d. variable costs.

Variable costs are relevant in the decision-making process because they change based on the level of output or production, which can directly affect a company's profitability and decision-making strategy. Sunk costs, historical costs, and prepaid insurance costs are not relevant as they are already incurred, cannot be changed, and do not affect future decisions.

Thus, the correct option is d. variable cost.

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