Keynesian money demand function and Monetarist (Friedman) money demand function have different perspectives on the stability and responsiveness of changes in interest rates.
Keynesian money demand function suggests that the demand for money is primarily influenced by income levels and transactions motives. According to Keynes, money demand is relatively stable and less responsive to changes in interest rates. This means that individuals hold a certain amount of money for their daily transactions and precautionary purposes.
On the other hand, the Monetarist (Friedman) money demand function emphasizes the role of interest rates in determining the demand for money. Monetarists argue that individuals hold money as an asset and consider the opportunity cost of holding money in relation to other interest-earning assets. Therefore, the Monetarist view suggests that changes in interest rates will have a significant impact on the demand for money.
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in order to assess the performance of their firms and their supply chains, what do managers need to do to determine the needs of those customers?
a. Look at each segment of the markets they serve
b. Help identify new customer requirements
c. Rely on traditional performance measures
d. Collaborate in pricing of products
The correct option to the given question about assess the performance of their supply chains is option a) . Take a look at each market category they serve.
A corporation can generally use one of six major models to direct its supply chain management procedures.
The continuous flow model, one of the more established supply chain strategies, works best for developed sectors. The continuous flow model assumes that a producer will consistently produce the same good and that customer demand will be relatively stable. Agile Strategy: This model works best for businesses that provide products that customers order or have unexpected demand. This model places a premium on adaptability because a business must be ready to change course at any time in the event of a specific requirement.
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That a company may need security clearance is a possible reason for offering which type of tender?
A company may need security clearance is a possible reason for offering a Restricted tender.
What is a security clearance?Upon the execution of a comprehensive criminal record check, persons are given the status of having possession of restricted locations or classified material.
With restricted tendering, only a small group of manufacturers, suppliers, or telecommunications companies are invited to submit bids. This is due to the possibility that the firm requires clearance with regard to security.
This provides them with the security that the company is a legit one and would not be any complications in future.
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Suppose the price of apples doubles to $3.00 between year 1 and year 2 but that nothing else in the economy changes Instructions: Round your answers to one decimal placea. What would be the percentage change in nominal GDP? b. What would be the percentage change in real GDP?Suppose the prices of both apples and bread double between year 1 and year 2 and quantities remain unchanged. Instructions: Round your answers to one decimal place a) What would be the percentage change in nominal GDP?% b) What would be the percentage change in real GDP?
Answer:
1. Suppose Quantity of Apple sold in year one & two = 100Kg.
Price in year 1 = $1.50 per kg
Price in year 2 = $3.00 per kg
Nominal GDP 1 = Price * Quantity = 1.50*100 = $150
Nominal GDP year 2 = 3*100 = $300
Change in Nominal GDP = $150
Percentage change in Nominal GDP = 100%
b. Real GDP of year 1 = Nominal GDP of year 1 = $150
Real GDP of year 2 = 1.50*100 = $150
Change in Real GDP = 0%
2. Quantity of Bread = 100 units price = $ 1 per unit, year 2 price = $ 2 per units
a. Nominal GDP year 1 = 1*100+1.5*100 = $250
Nominal GDP year 2 = 2*100+3*100 = $500
Percentage change in Nominal GDP = 500-250/500 * 100 = 100%
b. Real GDP year 1 = $250
Real GDP year 2 = 1*100 + 1.5*100 = $250
Percentage change in Real GDP = 0%
The percentage change in nominal GDP is 100% and the Change in Real GDP is 0%.
Percentage change in nominal GDP1. Price in year 1
Price in year 1= $1.50 per kg
Price in year 2 = $3.00 per kg
Nominal GDP 1 = Price ×Quantity
Nominal GDP 1 = 1.50×100
Nominal GDP 1 = $150
Nominal GDP year 2 = 3×100
Nominal GDP year 2 = $300
Change in Nominal GDP = $150
Percentage change in Nominal GDP = 100%
b. Real GDP of year 1
Real GDP of year 2 = 1.50×100
Real GDP of year 2 = $150
Change in Real GDP = 0%
2a. Nominal GDP year 1
Nominal GDP year 1 = 1×100+1.5×100
Nominal GDP year 1 = $250
Nominal GDP year 2 = 2×100+3×100
Nominal GDP year 2= $500
Percentage change in Nominal GDP = 500-250/500 ×100
Percentage change in Nominal GDP = 100%
b. Real GDP year 1
Real GDP year 2 = 1×100 + 1.5×100
Real GDP year 2= $250
Percentage change in Real GDP = 0%
Inconclusion the percentage change in nominal GDP is 100%.
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Which of the following is the least profitable investment for a candy shop that earns $1 revenue per pound of candy? (5 points) Group of answer choices Worker at $10 per hour, producing eight pounds of candy per hour Worker at $12 per hour, producing 16 pounds of candy per hour Machine with $5 per hour operating cost, producing 10 pounds of candy per hour Machine with $8 per hour operating cost, producing 14 pounds of candy per hour
Answer:
d
Explanation:
it was on the test really simple
Answer:
Worker at 10 dollars per hour, producing 8 pounds of candy
Explanation:
Got it right on the test
The United States enjoys a free market economy in which _____. most economic decisions are made by the central government the states have all of the authority to make economic decisions regarding businesses that do not operate across state lines most economic decisions are allowed to occur naturally as a result of market changes made by government intervention none of the above all of the above
Answer:
none of the above
Explanation:
I think its none of the above because in free economy the businesses basically do whatever they want and government/state has little to no interference.
Consider a retailer that is contemplating offering a 33 percent off sale on blenders currently priced at $54. The retailer pays $29 per blender from the manufacturer
The volume needs to increase by around 248% for the retailer to maintain profits during the 33% off sale on blenders.
To determine how much the volume needs to increase for the sale to maintain profits, we need to consider the cost and revenue implications of the discount. Let's break it down step by step:
1. Calculate the original profit per blender:
Original selling price = $54
Cost per blender = $29
Original profit per blender = Selling price - Cost per blender
= $54 - $29
= $25
2. Calculate the discounted selling price after a 33% off:
Discounted price = Original selling price - (33% of Original selling price)
= $54 - (0.33 * $54)
= $54 - $17.82
= $36.18
3. Calculate the new profit per blender after the discount:
New profit per blender = Discounted selling price - Cost per blender
= $36.18 - $29
= $7.18
4. Determine the required increase in volume:
Let's assume the original volume of blenders sold is V.
Original total profit = Original profit per blender * V
= $25 * V
To maintain profits, the total profit after the sale should be the same:
New total profit = New profit per blender * (V + X)
where X is the increase in volume needed.
Setting the equations equal and solving for X:
$25 * V = $7.18 * (V + X)
$25V = $7.18V + $7.18X
$17.82V = $7.18X
X = ($17.82V) / $7.18
Therefore, the volume needs to increase by approximately 2.48 times (or 248%) to maintain profits if the retailer offers a 33-percent-off sale on the blenders.
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Imagine a retailer considering a 33-percent-off sale on blenders currently priced at $54. The retailer pays $29 per blender from the manufacturer. How much has the volume to increase for the sale to maintain profits?
______ If an employer enforces an English-only policy in all areas of the workplace and at all times, including break times and other free time, the:A) employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).B) employer is much safer from a charge of national origin discrimination than an employer who only enforces the policy in certain areas and at certain times.C) employer impermissibly violates Title VII of the Civil Rights Act, which protects the ability of workers to express their cultural heritage at the workplace.D) employer’s policy is not unlawful because all individuals, irrespective of their national origin, are required to speak English in the United States.
Answer:
A) employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).
Explanation:
The Equal Employment Opportunity Commission (EEOC) is a federal agency that was established by US Congress on the 2nd of July, 1965 based on the Civil Rights Act of 1964 so as to uphold and enforce all civil rights law against workplace discrimination by the employers or employees in the United States of America.
Equal Employment Opportunity Commission (EEOC) guidelines asserts that employers of labor wouldn't be held liable for national origin discrimination after implementing an "English-only" rule, if the employer can show that it is necessary for the following;
I. To communicate with customers who can speak English only.
II. To efficiently promote cooperative work assignments among teams (employees).
III. To enhance or facilitate safety during an emergency.
Hence, if an employer enforces an English-only policy in all areas of the workplace and at all times, including break times and other free time, the employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).
What is a similarity between a term life insurance policy and a whole life insurance policy?
OA
OB
Both provide coverage for the policyholder's medical and outpatient surgery costs
Both can be held by the policyholder for a minimum of 5 years and a maximum of 25 years,
Both include a cash value component that the policyholder can receive at the end of the policys term,
Both provide financial compensation to the beneficiaries upon the policyholder's death,
Ос. .
OD
A similarity between a term life insurance policy and a whole life insurance policy is that both provide financial compensation to the beneficiaries upon the policyholder's death. The correct option is d.
Term and whole life insurance are two of the most frequent types of life insurance. Whole life insurance is a type of permanent life insurance that lasts as long as you live (provided you pay your premiums). It also includes a cash value account, which is a form of savings account that grows tax-free over time and can be withdrawn or borrowed from while you are living. Term life insurance, on the other hand, is only valid for a set number of years (the term) and has no monetary value.
Term insurance only protects you for a set number of years, whereas whole life insurance protects you for the rest of your life—if you can keep up with the premium payments. Whole life insurance rates might be five to fifteen times higher.
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dozen or so of its outlets before relwasing it nationwide. when the company does this, it is engaged in
When a company releases a dozen or so of its outlets before releasing it nationwide, it is engaged in the process of market testing.
The process of market testing is where a company releases a product to a small segment of the population before releasing it to the public or to a larger market. This is done to test the product and its effectiveness before spending money on mass production. Market testing is used to determine the following aspects of a product:
The quality of the product: The price range that is acceptable to consumers. If the product meets customer needs.
Marketing of the product: The success of the product in the market
Thus, a company releases a dozen or so of its outlets before releasing it nationwide when they want to conduct market testing. This is done to ensure that the product is successful in the market and meets the customers' needs before releasing it to a larger market.
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Sergio needs to reach his supervisor as soon as possible to make a decision about an important client who is threatening to take their business elsewhere if they do not get an immediate response. What is the MOST logical channel of communication for Sergio to use to contact his supervisor and why?
Answer: The most logical channel of communication for Sergio to use to contact his supervisor would be a phone call or an instant messaging service. This is because phone calls and instant messaging allow for immediate, real-time communication. Sergio needs to reach his supervisor as soon as possible to make a decision about an important client and these two channels of communication allow for the fastest and most direct form of communication. Email or text message may take longer for the supervisor to receive and respond to, which would not be ideal for Sergio's situation.
Explanation:
Explain how the U.S. economic system differs from the economic system in Cuba.
X Company, which uses the gross method and a perpetual inventory system, sold $2,000 of merchandise on account with credit terms of 2/10,n/30. If the customer pays within the discount period and takes the discount, X will record a journal entry that includes ______. (Check all that apply.)
Answer.
Explanation.
20 Characters long
Explain how the three (3) characteristics of Jojo Salvador, Cecilio Pedro, and Illac Diaz be applied: (a) in a student’s life; and (b) in a career person’s life
The three characteristics of Jojo Salvador, Cecilio Pedro and Illac Diaz that can be applied in a student's life and a career person's life are persistent, innovative and creative.
How Salvador, Pedro and Diaz can influence a person's career?Salvador, Pedro and Diaz can influence a person's career because they are persistent, creative, and innovative. Setting goals and achieving them are the keys to success, and many people will agree that being persistent is the key to it.
For students, having that trait is important, and we must study hard until we achieve success in life, no matter how many Fs we get. Each student was creative in his or her own ways. When students are working on a project, they might come up with new ideas, and being innovative is also important because it promotes education and encourages students to apply greater thinking to solve problems.
Persistence is also important at work since it helps us learn on the determination to keep on trying.
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can someone help me? got till the end of the day :/
Answer:
A
Explanation:
The____ will not approve a promotion if the apprentice fails to measure up in all categories to local JATC ____and ____ ? .
The answer to your question is that the Joint Apprenticeship and Training Committee (JATC) will not approve a promotion if the apprentice fails to measure up in all categories to local JATC standards and requirements.
The JATC is responsible for ensuring that apprentices receive high-quality training and education in order to become skilled tradespeople. They set the standards and requirements that apprentices must meet in order to progress through their training and become journeypersons.
These standards and requirements are typically based on a combination of classroom instruction and on-the-job training, as well as evaluations of the apprentice's skills and knowledge in various areas. For example, apprentices may be required to demonstrate proficiency in areas such as safety, tool usage, math, and reading blueprints. If an apprentice fails to meet these standards and requirements, the JATC may delay or deny their promotion, or require them to repeat certain portions of their training in order to improve their skills.
Overall, the JATC plays a crucial role in ensuring that apprentices receive the training and education they need to become successful tradespeople, and that the standards and requirements for promotion are fair and consistent across different regions and industries.
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Q 1.7: A small business owner has decided to form a ______________ after deciding that she wants to maximize revenue, minimize taxes, give back to the community, and exercise total control over her business.
Answer:
Sole proprietorship
Explanation:
A sole proprietorship is a business form of an organization in which there is only a single owner who operates and controls the business. The main motive of every organization is to maximize revenue, minimize losses and taxes. Also it has unlimited liability
Therefore in the given situation, the sole proprietorship would be the appropriate and the same is to be considered
The "Middle Colonies" were originally settled by the
A. Swedes
B. Vikings
C. English
D. Spanish
E. Dutch
\The Middle Colonies were originally settled by the Dutch. During the early colonization of the Americas, the region that would eventually become the Middle Colonies was largely ignored by European powers. However, in the early 1600s.
The Dutch established settlements in what is now New York and New Jersey, and these colonies were eventually taken over by the English. In addition to the Dutch, other European groups such as the Swedes and English also settled in the region, but the primary settlers were the Dutch. The Middle Colonies were a group of British colonies located in the middle of the eastern coast of North America.
The Middle Colonies were originally settled by a number of different European groups, including the Dutch, English, and Swedes. However, the primary settlers were the Dutch, who established settlements in what is now New York and New Jersey. The Dutch established these colonies as trading posts, and they quickly became important economic centers. In addition to the Dutch, other European groups also settled in the region, but the primary settlers were the Dutch.
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Gloria Catering provided $1,000 of catering services and billed its client for the amount owed. Determine the general journal entry that Gloria Catering will make to record this transaction.
The general journal entry that Gloria Catering will make to record this transaction is: Debit Accounts receivable $1000; Credit Catering revenue $1000.
Journal entryAssuming Gloria Catering provided the amount of $1,000 of catering services and billed its client for the amount owed. The appropriate journal entry to record this transaction is :
Gloria Catering Journal entry
Debit Accounts receivable $1000
Credit Catering revenue $1000
(To record account receivable)
Inconclusion the general journal entry that Gloria Catering will make to record this transaction is: Debit Accounts receivable $1000; Credit Catering revenue $1000.
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A client suffering a thrombotic stroke is brought into the emergency department by ambulance and the health care team is preparing to administer a synthetic tissue plasminogen activator for which purpose
A client suffering a thrombotic stroke is brought into the emergency department by ambulance .The purpose of administering a synthetic tissue plasminogen activator (tPA) in the case of a thrombotic stroke is to dissolve or break up the blood clot that is causing the obstruction in a cerebral blood vessel.
tPA is a medication that helps to restore blood flow to the affected area of the brain by activating the body's natural clot-dissolving mechanism. By administering tPA, the healthcare team aims to reduce the extent of brain damage caused by the clot and improve the patient's chances of recovery. It is important to note that the administration of tPA should be done within a specific time window and under strict clinical guidelines to ensure patient safety and maximize the benefits of the treatment by the emergency department.
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Jenco Co. imports raw materials from Japan, invoiced in U.S. dollars. The price it pays is not expected to change for the next several years. If the Japanese yen appreciates, Jenco’s imports from Japan will probably ____ and if the Japanese yen depreciates, its imports from Japan will probably ____.
Answer:
stay the same; stay the same
Explanation:
Since in the question it is mentioned that Jenco Co. imported the raw material from Japan and the price is not changed as predicted now if the Japanese yen rises so the imports would remain the same and the same case with the decline i.e the imports from Japan would also stays the name
Therefore there would be no change in case of appreciation and depreciation
in order for merit pay to be motivating: a. the organization must have clear and accurate methods for assessing performance b. all employees should receive a raise that covers the cost of living increase c. it should exceed what an employee would receive under a commission or piece-rate incentive system d. an organization should pursue a bargain laborer hr strategy
In order for merit pay to be motivating, Option A. the organization must have clear and accurate methods for assessing performance.
In order for merit pay to be motivating, what must organizations do?Option A. The organization must have clear and accurate methods for assessing performance.Organizations must have clear and accurate methods for assessing performance in order for merit pay to be motivating.
It is important for the organization to have clear and accurate methods for assessing performance in order for merit pay to be motivating. Furthermore, all employees should receive a raise that covers the cost of living increase. Ideally, the merit pay should exceed what an employee would receive under a commission or piece-rate incentive system. Finally, an organization should pursue a bargain laborer hr strategy.
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g what does an income statement represent? a company's total assets and liabilities on a certain date the total revenue and expenses a company used to do business over a period of time the amount of cash a company currently has in the bank the total income of a company's president or ceo
An Income statement represents An income statement (also known as a profit and loss or P&L statement) that documents a business' revenue and expenses.
The Income statement offers facts on the monetary effects of an enterprise's enterprise sports over a time frame. The earnings assertion communicates how a great deal of revenue the business enterprise generated throughout a length and what prices it incurred in reference to generating that revenue.
The income assertion displays the alternate in internet assets related to working in a commercial enterprise, as shown with the aid of sales and prices. charges may end result from a lower in belongings or growth in liabilities.
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PLEASE HELP ME (ECONOMICS ASSIGNMENT)!!! ASAPPP
Answer:
1. Classical Economics
2. Keynesian Economics
3. Demand-Side Economics
4. Supply-Side Economics
Explanation:
a certain city reports the following year-end total assets: general fund $ 18,400,000 library fund (a special revenue fund) 2,900,000 debt service fund 2,600,000 total governmental funds 26,300,000 total governmental and enterprise funds combined 51,250,000 based on this information, which funds should be reported as major funds?
The general fund ($18,400,000) and the debt service fund ($2,600,000) should be reported as major funds.
Major funds are defined as those funds that are considered significant in terms of size and scope. In the case of a city, the general fund and the debt service fund are typically considered major funds because they play a significant role in the overall financial operations of the city. The general fund is the main operating fund for the city and is used to finance the day-to-day operations, while the debt service fund is used to pay for long-term debt obligations.
Based on the information provided, the general fund and the debt service fund should be reported as major funds.
Total governmental funds: $26,300,000 (sum of the general fund, library fund, and debt service fund)
Total governmental and enterprise funds combined: $51,250,000
So, the general fund ($18,400,000) and the debt service fund ($2,600,000) should be reported as major funds.
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Product enhancements
A) do not really change the basic product.
B) include guarantees and warranties.
C) include features and options
D) reduce the number of target markets one product can satisfy.
Answer:
C or A
Explanation:
I could answer better with more context
Which of the following functions is using the correct syntax? =SUM(A2:A8,E2:E8) SUM=(A2:A8,E2:E8) SUM(A2:A8,E2:E8)= =A2:A8(SUM) E2:E8
The correct syntax is =SUM(A2:A8,E2:E8). This formula uses the SUM function followed by parentheses, within which the ranges A2:A8 and E2:E8 are specified, separated by a comma.
This syntax instructs the spreadsheet software to calculate the sum of the values within the specified ranges and return the result. The other options provided do not follow the correct syntax for the SUM function.
The correct syntax is =SUM(A2:A8,E2:E8). In this syntax, the function "SUM" is used, followed by parentheses (). Within the parentheses, we specify the ranges A2:A8 and E2:E8, separated by a comma. This instructs the spreadsheet software to calculate the sum of the values within these ranges and return the result.
The other options provided do not follow the correct syntax for the SUM function. For example, "SUM=(A2:A8,E2:E8)" uses an equal sign (=) before the function name, which is incorrect. Similarly, "SUM(A2:A8,E2:E8)=" places an equal sign (=) at the end, which is also incorrect. The other options either have the function name placed within the range (e.g., "A2:A8(SUM)") or lack the equal sign (=) before the function name (e.g., "E2:E8").
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which situations correspond to the case where the nominal policy interest rate is at the zero lower bound? c. which situation has the highest risk premium? what two factors in bond markets lead to a positive risk premium?
The zero lower bound refers to a situation where the nominal policy interest rate is at or near zero.
This usually occurs when central banks have lowered interest rates to stimulate economic growth but are unable to lower them further. The zero lower bound poses challenges for monetary policy as it limits the central bank's ability to stimulate the economy through further interest rate reductions.
The highest risk premium is usually associated with situations where there is a higher likelihood of default or greater uncertainty. For example, countries or companies with poor credit ratings or unstable economic conditions are considered riskier, resulting in higher risk premiums.
Two factors in bond markets that lead to a positive risk premium are credit risk and liquidity risk. Credit risk refers to the possibility that the issuer of a bond may default on their payments. Bonds from issuers with lower creditworthiness have higher credit risk and thus command higher risk premiums. Liquidity risk refers to the ease with which a bond can be bought or sold without impacting its price. Bonds that are less liquid or have fewer buyers and sellers generally have higher risk premiums.
In summary, the zero lower bound occurs when the nominal policy interest rate is at or near zero. The highest risk premium is associated with situations of higher default risk or greater uncertainty. Credit risk and liquidity risk are two factors in bond markets that lead to a positive risk premium.
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what is another name for interest-sensitive whole life insurance
Another name for interest-sensitive whole life insurance is "adjustable life insurance."
Interest-sensitive whole life insurance, also known as adjustable life insurance, is a type of permanent life insurance that combines elements of both traditional whole life insurance and universal life insurance. It offers policyholders the flexibility to adjust their premium payments and death benefits based on changes in interest rates. The cash value of the policy is tied to a specified interest rate, which can fluctuate over time. If interest rates rise, the policyholder may benefit from higher cash value growth. Conversely, if interest rates decrease, the cash value growth may be lower. This type of insurance allows policyholders to have some control over their policy's performance and adapt it to changing financial circumstances.
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Popularity increases a product’s
A. price
B. utility
C. life cycle
D. trial period
Answer:
life cycle
Explanation:
When a product has been popularized with adverts, people will know d product and will wanna try it out.Once this happens,the product will still be in existence prolonging the life cycle
on january 1 of year 1, congo express airways issued $3,250,000 of 5% bonds that pay interest semiannually on january 1 and july 1. the bond issue price is $2,930,000 and the market rate of interest for similar bonds is 6%. the bond premium or discount is being amortized at a rate of $10,667 every six months. the company's december 31, year 1 balance sheet should reflect total liabilities associated with the bond issue (including interest) in the amount of:
The December 31, Year 1 balance sheet should reflect total liabilities associated with the bond issue (including interest) in the amount of $3,204,667 ($3,193,000 + $10,667).
Let's start by figuring out the bonds' yearly interest payment:
Bond face value times coupon rate is $3,250,000 times 5% for an annual interest payment of $162,500.
The semiannual interest payment is as follows since the interest is paid every six months:
Semiannual interest payment Equals Yearly interest payment divided by two, or $162,500 divided by two, or $81,250.
Let's now determine the bond discount amortised over the course of the year:
Bond discount amortised equals $10,667 multiplied by two amounts equals $21,334.
This means that $21,334 of the bond discount was amortized during the year.
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