I apologize for the confusion, but there is no credible information or official sources suggesting that "Fire Emblem Awakening" was planned to be the last game in the franchise. "Fire Emblem Awakening" was actually a highly successful entry in the Fire Emblem series, revitalizing the franchise and gaining a significant fan base. If you are interested in learning more about the Fire Emblem series and its development, I recommend referring to official sources such as Nintendo's website.
The Fire Emblem series, developed by Intelligent Systems and published by Nintendo, has a long-standing history and continues to release new games regularly. While there may have been discussions or rumors about the future of the franchise at various points, there is no substantiated evidence to support the claim that "Fire Emblem Awakening" was intended as the final installment.
To learn more about, franchise, click here:
https://brainly.com/question/30281810
#SPJ11
Excuse me,
(ಠ_ಠ)
ง ง
What makes a budget such a powerful tool? Read the article 6 Reasons Why You Need a Budget. Use complete sentences to answer the following questions: 1. Out of the six reasons provided, which is the most important to you? Why? 2. Despite these six reasons for keeping a budget, many people do not have a budget. Why do you think this is?
A budget is a powerful tool because it helps you track your spending, save money, achieve financial goals, and avoid debt. Additionally, having a budget allows you to make informed decisions about where your money goes and to prioritize your spending based on your values and goals.
In the article 6 Reasons Why You Need a Budget, the most important reason to me is that a budget helps to reduce financial stress and anxiety. By knowing exactly how much money you have and where it is going, you can feel more in control of your finances and avoid the worry that comes with not knowing where your money is going.
Despite the benefits of having a budget, many people still do not have one. This may be due to a lack of financial education or understanding of how to create and stick to a budget. Additionally, some people may feel that budgeting is restrictive or boring, and prefer to spend their money freely without worrying about the consequences. It can also be difficult to stick to a budget if unexpected expenses or emergencies arise, causing people to abandon their budgeting efforts altogether.
Learn more about financial stress: https://brainly.com/question/26725354
#SPJ11
On january 1, 20x1, popular creek corporation organized suntime company as a subsidiary in switzerland with an initial investment cost of swiss francs (sfr) 60,000. suntime's december 31, 20x1, trial balance in sfr is as follows:
credit debit
cash sfr 7,000
accounts receivable (net) 20,000
receivable from popular creek 5,000
inventory 25,000
plant & equipment 100,000
accumulated depreciation sfr 10,000
accounts payable 12,000
bonds payable 50,000
common stock 60,000
sales 150,000
cost of goods sold 70,000
depreciation expense 10,000
operating expense 30,000
dividends paid 15,000
total sfr 282,000 sfr 282,000
additional information
1. the receivable from popular creek is denominated in swiss francs. popular creek's books show a $4,000 payable to suntime.
2. purchases of inventory goods are made evenly during the year. items in the ending inventory were purchased november 1.
3. equipment is depreciated by the straight-line method with a 10-year life and no residual value. a full year's depreciation is taken in the year of acquisition. the equipment was acquired on march 1.
4. the dividends were declared and paid on november 1.
5. exchange rates were as follows:
sfr $
january 1 1 = 0. 73
march 1 1 = 0. 74
november 1 1 = 0. 77
december 31 1 = 0. 80
20x1 average 1 = 0. 75
the u. s. dollar is the functional currency.
required:
prepare a schedule remeasuring the december 31, 20x1, trial balance from swiss francs to dollars.
The schedule remeasuring the December 31, 20x1, trial balance from swiss francs to dollars are: Debit $219,650; Credit $219,650.
Trial balanceSuntime company Trial Balance Translation for the month of December 31, 20X1
Swiss Translation U.S.
Francs Rate Dollars
Cash SFr 7,000 0.80 $5,600
(7,000×0.80=$5,600)
Accounts Receivable (net) 20,000 0.80 $16,000
(20,000×0.80=$16,000)
Receivable from Popular Creek 5,000 0.80 $4,000
(5,000×0.80=$4,000)
Inventory 25,000 0.80 $20,000
(25,000×0.80=$20,000)
Plant and Equipment 100,000 0.80 $80,000
(100,000×0.80=$80,000)
Cost of Goods Sold 70,000 0.75 $52,500
(70,000×0.75=$52,500)
Depreciation Expense 10,000 0.75 $7,500
(10,000×0.75=$7,500)
Operating Expense 30,000 0.75 $22,500
(30,000×0.75=$22,500)
Dividends Paid 15,000 0.77 $11,550
(15,000×0.77=$11,550)
Total Debits SFr282,000 $219,650
Accumulated Depreciation SFr 10,000 0.80 $8,000
(10,000×0.80=$8,000)
Accounts Payable 12,000 0.80 $9,600
(12,000×0.80=$9,600)
Bonds Payable 50,000 0.80 $40,000
(50,000×0.80=$40,000)
Common Stock 60,000 0.73 $43,800
(60,000×0.73=$43,800)
Sales 150,000 0.75 $112,500
(150,000×0.75=$112,500)
Total SFr282,000 $213,900
Accumulated Other Comprehensive
Income - Translation
Adjustment (credit) $5,750
($219,650-$213,900)
Total Credits $219,650
Therefore the schedule remeasuring the December 31, 20x1, trial balance from swiss francs to dollars are: Debit $219,650; Credit $219,650.
Learn more about trial balance here:https://brainly.com/question/14476257
#SPJ1
It’s in the picture pleaseee I need this today
Answer:
Could you make it bigger?
Answer:
What are u asking
Explanation:
Each of the following is a supply shifter EXCEPT: A. Number of sellers in a given market B. Cost of production of a specific good C. Change in consumer price expectations D. Change in producer price expectations Please select the best answer from the choices provided A B C D.
The correct answer is C. Change in consumer price expectations.
Each of the following is a supply shifter EXCEPT a change in consumer price expectations. A shift in supply occurs when the conditions of production for a good or service change. There are six major supply shifters, including:
Changes in resource prices: A decrease in the cost of the necessary components of a good or service would lead to a shift in supply to the right. On the other hand, if the cost of resources increases, the supply curve will shift to the left.Technology: Advances in technology that make production more efficient and less expensive, as well as those that open up new market opportunities, will cause the supply curve to shift to the right.Government policy: The imposition of taxes, subsides or regulations by the government can shift the supply curve for goods and services.Nature and disasters: Natural disasters such as hurricanes, earthquakes, floods, or pandemics can reduce the availability of resources, shift the supply curve to the left, and raise prices.Future expectations: Anticipated changes in the price of a good or service in the future can lead to shifts in the supply curve. When businesses anticipate that the price of a product will rise in the future, they are more likely to stockpile goods and sell them later.Producer price expectations: If a producer expects prices to rise in the future, they will want to supply fewer goods today so they can sell them at a higher price tomorrow. This will shift the supply curve to the left.To know more about consumer visit:
https://brainly.com/question/27773546
#SPJ11
Does the Federal Reserve pay taxes?
Answer:
Federal Reserve banks are exempt from paying taxes at the federal, state and local levels, except on real estate holdings. This is because of rules on taxation set forth in Section 7(c) of the Federal Reserve Act.
Explanation:
Beth needs to multiply the values of two cells in her worksheet. What should she enter into the formula bar?
=CD/D4
=CD+D4
=CD*D4
=(CD)(D4)
Answer:
C4*D4
must be the correct one but its not mentioned there
Answer:
I would say =(CD)(D4) it makes the most sense
Explanation:
Describe the balance sheet effect. Describe the vicious cycle
of deleveraging. Why is it
necessary for the government to step in to halt a vicious
cycle of deleveraging? (Write 300-
500 words).
The balance sheet effect is the direct impact of changes in a firm's assets, liabilities, and owner's equity that occurs as a result of changes in exchange rates. When a domestic currency falls in value against a foreign currency, the dollar amount of the firm's foreign-currency-denominated assets increases and the dollar amount of its foreign-currency-denominated liabilities decreases.
The vicious cycle of deleveraging
The vicious cycle of deleveraging occurs when one entity's reduction in spending results in another entity's reduction in revenue, which leads to another entity's reduction in spending, and so on, creating a downward spiral of economic activity. Deleveraging, which is the process of reducing leverage, can exacerbate the vicious cycle by causing credit contraction and asset price deflation that result in additional spending cuts and revenue declines.
Why is it necessary for the government to step in to halt a vicious cycle of deleveraging?
The government is often called upon to break the vicious cycle of deleveraging by providing stimulus and liquidity to the economy. The government can increase spending and reduce taxes to stimulate demand, which can result in higher revenues and increased economic activity. The government can also provide liquidity to the financial system by injecting capital into banks and other financial institutions that are facing insolvency. Additionally, the government can use its regulatory authority to prevent systemic risk by ensuring that banks and other financial institutions maintain adequate capital and liquidity buffers. By halting the vicious cycle of deleveraging, the government can prevent a deep and prolonged recession that can result in widespread unemployment and economic hardship.
To know more about Balance sheet effect visit:
https://brainly.com/question/28592209
#SPJ11
how might emotional factors in decision making influence the potential purchase of a business franchise, such as dunkin' donuts among hundreds of others?
Emotional factors can significantly influence decision-making when purchasing a commercial franchise, such as Dunkin' Donuts.
These factors may include the feelings of security, control, satisfaction or excitement that the buyer/investor experiences when considering a particular brand or franchise.
For example, if the buyer feels secure with the Dunkin' Donuts brand and business model, the buyer may feel it is a safe investment and choose it over other franchises. If the buyer feels they have control over the brand and business, they may be more inclined to choose Dunkin' Donuts over other brands. If the buyer feels satisfaction and happiness at the thought of the Dunkin' Donuts brand and business model, they may choose that franchise for their investment.
Or if the buyer is excited about the prospect of working with a brand as well-known as Dunkin' Donuts, they might be more inclined to choose that franchise over others. Ultimately, emotional factors can significantly influence decision-making when purchasing a retail franchise, such as Dunkin' Donuts, among hundreds of others.
Lear More About Commercial franchise
https://brainly.com/question/3687222
#SPJ11
7. apple just issued a 30 year bond that pays a 3% annual coupon with a face value of $1,000. what is the amount of the semi-annual coupon? a. $1.50 b. $3.00 c. $15.00 d. $30.00
The semi-annual coupon for Apple's 30-year bond with a face value of $1,000 and a 3% annual coupon is $15.00. The answer is option c.
The annual coupon rate of the bond is 3%.
It has a face value of $1,000.
As a result, the annual coupon payment is 3% of $1,000, or $30.
The semi-annual coupon amount is determined by dividing the annual coupon payment by two since it is paid twice a year.
Thus, the semi-annual coupon payment would be $15 ($30 divided by 2).
Therefore, the semi-annual coupon on a 30-year bond with a 3% annual coupon and a face value of $1,000 is $15.00. Option (c) is correct.
To know more about semi-annual coupon click here:
https://brainly.com/question/20364535
#SPJ11
The additional income from
selling one more unit of a good
O increasing marginal returns
O diminishing marginal returns
O marginal revenue
O marginal product of labor
O marginal cost
C, marginal revenue
Explanation: Marginal revenue is the additional income from selling one more unit of a good. It is usually equal to the price.
Happy to help, have a great day! :)
If an error is found when posting to the ledger, how would it be corrected?
Most time, when an error is found when posting to the ledger, it would be corrected by reversing the incorrect entry and use a second journal entry to record the transaction correctly,
What is a ledger error?In a ledger, the error can be called a wrong posting may be in the forms of posting a wrong amount to a ledger account or posting to the wrong side of an account or double posting.
All these type of errors affect mostly only one side of ledger accounts and they are mostly revealed by the trial balance through disagreement of debit and credit totals.
Read more about ledger
brainly.com/question/28427973
#SPJ1
Click this link to view O*NET's Tasks section for Construction Managers. Note that common tasks are listed toward
the top, and less common tasks are listed toward the bottom. According to O*NET, what are common tasks
performed by Construction Managers? Check all that apply.
x installing equipment, machines, wiring, or programs
* repairing machines or systems
conferring with supervisors, owners, contractors, or design professionals
preparing contracts and negotiating revisions, changes, and additions to contracts
scheduling a project
* performing routine maintenance on equipment
Answer: conferring with supervisors, owners, contractors, or design professionals.
preparing contracts and negotiating revisions, changes, and additions to contracts
scheduling a project
Explanation:
According to O*NET, the tasks for Construction Managers include:
• conferring with supervisors, owners, contractors, or design professionals.
• preparing contracts and negotiating revisions, changes, and additions to contracts
• scheduling a project.
The construction manager must schedule a project, prepare contracts and meet up with every stakeholders regarding the project so that the project will be achievable.
Answer:
3
4
5
Explanation:
if the nominal interest rate is 6 percent and the rate of inflation is 15 percent, then the real interest rate is group of answer choices -9 percent. -4 percent. 21 percent. -21 percent.
The real interest rate in this case is -9%, which means that the purchasing power of your money will decrease by 9% over the given period of time. Option (A) is correct answer.
If the nominal interest rate is 6 percent and the rate of inflation is 15 percent, then the real interest rate can be calculated using the Fisher equation. Here's a step-by-step explanation:
1. The Fisher equation is: Real Interest Rate = (1 + Nominal Interest Rate) / (1 + Inflation Rate) - 1
2. Convert the percentages to decimals: 6 percent = 0.06 and 15 percent = 0.15
3. Plug in the values into the equation: Real Interest Rate = (1 + 0.06) / (1 + 0.15) - 1
4. Perform the calculations: Real Interest Rate = (1.06) / (1.15) - 1
5. Calculate the result: Real Interest Rate ≈ -0.0783
6. Convert the result back to percentage: Real Interest Rate ≈ -7.83 percent
Among the provided answer choices, the closest one is -9 percent. Correct answer is option (A).
Learn more about real interest Rate https://brainly.com/question/29802908
#SPJ11
Return on investment (ROI), residual income (RI), and Economic Value Added (EVA) all have in common which one of the following characteristics? OThey are all relative (rather than absolute) performance indicators. OThey all incorporate nonfinancial performance measures into the metric OThey all rely on the use of data used in the preparation of financial statements (for external reporting), OThey all incorporate in the financial performance metric some measure of investment O They all lead to goal-congruency problems when used to evaluate subunit performance
Return on investment (ROI), residual income (RI), and Economic Value Added (EVA) all incorporate in the financial performance metric some measure of investment, the correct answer is D.
These metrics all take into account the cost of capital invested in a project or business and compare it to the returns generated from that investment. By doing so, they provide insight into how efficiently capital is being used to generate profits.
For example, ROI measures the return generated by an investment relative to the cost of that investment. RI takes into account the minimum return required by investors and subtracts it from the actual return generated by the investment, the correct answer is D.
To learn more about investment follow the link: https://brainly.com/question/15353704
#SPJ4
The complete question is:
Return on investment (ROI), residual income (RI), and Economic Value Added (EVA) all have in common which one of the following characteristics?
A. They are all relative (rather than absolute) performance indicators.
B. They all incorporate nonfinancial performance measures into the metric
C. They all rely on the use of data used in the preparation of financial statements (for external reporting)
D. They all incorporate in the financial performance metric some measure of investment
E. They all lead to goal-congruence problems when used to evaluate subunit performance
Why does the US import oil?
A.because it has exported too much oil
B.because it does not produce any oil
C.because it does not produce enough oil
D.because it has exported too little oil
Answer:
C. because it does not produce enough oil.
Explanation:
Although, the United States is one of the leading producers of oil, yet still import oil because it does not produce enough oil to meet the demand of its citizens. In other words, the United States consumes more than what she can produce.
Another reason is that most refineries in the United State are created basically for heavy crude whereas most of what she produce are light crude oil. The United States import the oil she is able to process while she export to other countries to complete the setup process.
The remedy to the above situation is when new refineries are built which are somewhat expensive or the existing refineries are upgraded to meet with the demand.
Answer:
D. Because it does not produce enough oil.
edg 2020.
The shelf life of milk is 7 days. You have 22 gallons on hand. You normally sell 4 gallons each day. Do you expect to have to throw out any milk?
Explanation: You will throw away no gallons of milk because if you sell 4 gallons every day then 7 times 4 equals 28 so you will only work for 5 an a half days.
Answer:
B
Explanation:
HELP PLEASE!!!!!! You have been asked to suggest ways to improve the economy of a small island nation. There is a thriving tourist industry already, with plenty of hotels, restaurants, and other attractions. When you suggest establishing more manufacturing, the president is concerned that factories will discourage tourism. Nearly 75 percent of the workforce is having some type of service job, which means that many of the nation's citizens wouldn't be qualified to work in the modern plants you suggest. He fears disruptions to the economy. To make the proposal more compelling, which of the following arguments might be the most persuasive?
For every 80 service employees, there should be no more than 20 manufacturing employees.
For every dollar of manufacturing sales, the gross national product will increase $1.25.
For every 6 existing hotel or casino, you will build 1 factory.
For every 20 manufacturing workers, you will outsource 5 jobs.
Market price/share = $12; Book value/share = $10; Number of shares outstanding = 100 million; Market price/bond = $800; Face value/bond = $1,000; Number of bonds outstanding = 1 million. Calculate the proportions of debt (D/V) and equity (E/V) for Golf Corporation that you should use for estimating its weighted average cost of capital (WACC).
The proportion allocated to debt is 40% and to equity is 60% while computing the weighted average cost of capital (WACC).
What is equity stock?
The equity stock is the amount held by a company in the form of equity shares and must be reported on the company's balance sheet.
Given values:
Number of shares outstanding (in millions): 100
Number of outstanding bonds (in millions): 1
Market value (MV) per share: $12
Market value (MV) per bond: $800
Step-1 Computation of total market value:
\(\rm\ Total \rm\ market \rm\ value= \rm\ Market \rm\ value \rm\ of \rm\ debt+ \rm\ Market \rm\ value \rm\ of \rm\ equity\\\rm\ Total \rm\ market \rm\ value= (100 \times\ \$12) + (1 \times\ \$800)\\\rm\ Total \rm\ market \rm\ value=\$1,200+\$800\\\rm\ Total \rm\ market \rm\ value=\$2,000\)
Step-2 Computation of proportion of debt:
\(\rm\ Debt \rm\ proportion=\frac{\rm\ Market \rm\ value \rm\ of \rm\ bond}{\tm\ Total \rm\market \rm\ value} \\\rm\ Debt \rm\ proportion=\frac{\$800}{\$2,000} \\\rm\ Debt \rm\ proportion=40\%\)
Step-2 Computation of proportion of equity:
\(\rm\ Equity \rm\ proportion=\frac{\rm\ Market \rm\ value \rm\ of \rm\ equity}{\tm\ Total \rm\ market \rm\ value} \\\rm\ Equity \rm\ proportion=\frac{\$1,200}{\$2,000} \\\rm\ Equity \rm\ proportion=60\%\)
Therefore, while computing WACC, the debt proportion is 40% and the equity proportion is 60%.
Learn more about the WACC in the related link:
https://brainly.com/question/14223809
#SPJ1
Can anyone help me?
Saving money allows u to set more aside in a(n) ____ fund
Emergency
Bond
Exchange
Answer:
Saving money allows you to set more aside in an Emergency fund.
A country has a trade deficit of $20 billion with its trading partners (
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country increases its imports by $30 billion.
C. The country decreases its exports by $10 billion.
D. The country decreases its imports by $10 billion.
D) The nation reduces its exports by $30 billion, the change would result in a trade deficit the following year for the country that had a trade surplus of $20 billion in one year.
When imports rise faster than exports, a trade deficit occurs. If the country increases its exports by $30 billion, decreases its imports by $10 billion, or increases its imports by $10 billion, it cannot have a trade deficit.
As a result, the country will only experience a trade deficit if its exports decrease by $30 billion while the rest of its exports remain unchanged.
With an example, what is a trade deficit?A country has a trade deficit when its imports exceed its exports over a given time period. A negative balance of trade (BOT) is another name for this situation. There are several ways to determine the balance, including: goods (also called " merchandise”), goods and services, and services and goods.
To learn more about trade deficit here
https://brainly.com/question/25313034
#SPJ1
Full Question = A country has a trade surplus of $20 billion with its trading partners over a
year. Which change would cause the country to have a trade deficit the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country decreases its imports by $10 billion.
O C. The country increases its imports by $10 billion.
O D. The country decreases its exports by $30 billion.
Identify the term for unsold goods, raw materials, Or work-in-progress that a company has.
Answer:
Inventory
Explanation:
Inventory refers to
The finished products in the warehouse or store that is ready for sale. Raw materials used in the production of goodsGoods that in the production process, also known as work in progress.Inventory is held with the intention of selling. It is classified as current assets. Income realized from the sale of inventory is revenue to the business.
n the _____ stage of team development, team members are involved in developing strategies and activities that promote goal achievement.
In the forming stage of team development, team members are involved in developing strategies and activities that promote goal achievement.
What is forming stage?The forming stage is the stage in which team members start to understand the purpose and goal of the group.
The team determines to organize themselves and their responsibility. The goals are discussed here and plans on how to execute and achieve their aim.Therefore, In the forming stage of team development, team members are involved in developing strategies and activities that promote goal achievement.
For more information on forming stage kindly check
https://brainly.com/question/10061787
The best measure of the income households actually have available to spend is A) national income. B) personal income. C) disposable personal income. D) gross domestic product.
The best measure of the income households actually have available to spend is disposable personal income. Thus, its C.
What is disposable personal income?The amount of money that a person or household has available for spending or saving after income taxes have been deducted is referred to as disposable income (sometimes known as disposable personal income, or DPI).
At the macroeconomic level, one of the most important economic indicators used to assess the overall health of the economy is disposable personal income. Macroeconomic analysts keep an eye on these figures to determine how people borrow, spend, and save.
Usually, disposable income is used to pay for housing, food, and debts. When determining how much of a salary to withhold for unpaid back taxes or child support, the government takes into account disposable income.
Learn more about disposable personal income, here
https://brainly.com/question/7988107
#SPJ1
Describe the type of society in which there would be a high demand for a wide variety of products.
Answer:
They work together to regulate supply, Demand, and prices.
Explanation:
i got it right ;)
Answer: The correct answer is:
A society with a modern economy drives the supply and demand for products based on the production, distribution, and consumption of various goods and services. Demand for commodities (physical products) within the economy drives product price and availability. Some farm commodities require a food distribution system to deliver products from local or remote farms to the markets and consumers. In a society where the economy is healthy and thriving, the demand for goods and services would be higher for popular products, which would also drive up the prices.
Explanation: This answer has been confirmed correct.
What type of spending is happening when the military buys news tanks and airplanes?
a. Consumer
b. Investment
c. Government
Answer:
Consumer (mostly)
Explanation:
After buying weapons from defense contractors, the money could be used in many ways. Most of it is used to produce more weaponry for future purchases. Some might be put towards researching new technology that could make the vehicles much more advanced. Some is probably saved, to help pay employees.
you borrow $15055 to buy a car. you will have to repay this loan by making equal monthly payments for 10 years. the bank quoted an apr of 12%. how much is your monthly payment (in $ dollars)? $ .
Your monthly payment is $1744.36. This is calculated using the formula: Payment = Loan Amount x (APR/12) / (1 - (1 + APR/12)^-Term).
In this case, the loan amount is $15055, the APR is 12%, and the term is 120 months (10 years). Therefore, the monthly payment is $15055 x (0.12/12) / (1 - (1 + 0.12/12)^-120) = $1744.36.
A loan is when money is lent out to another person with the understanding that it would be repaid in future, along with interest.
Before agreeing to provide a borrower a loan, lenders will take into account the borrower's income, credit score, and degree of debt.
To know more about loan here
https://brainly.com/question/15401573
#SPJ4
Determining the needed requirements and desired requirements are both part of what project management phase? (a) planning Ob) organizing Oc) monitoring d) adjusting
(a) Planning. Determining the needed and desired requirements is an essential part of the planning phase in project management, where project managers gather information and define project objectives to establish a roadmap for successful project completion.
Determining the needed requirements and desired requirements are part of the planning phase in project management. During this phase, project managers gather information, define project objectives, and identify the specific requirements that need to be met in order to successfully complete the project. This includes identifying the essential requirements that are necessary for project success (needed requirements) as well as additional requirements that are desirable but not critical (desired requirements). By determining these requirements during the planning phase, project managers can create a roadmap for the project and establish the necessary resources and strategies to meet those requirements.
learn more about planning here:
https://brainly.com/question/27935828
#SPJ11
In a recession: Please choose the correct answer from the following choices, and then select the submit answer button. Answer choices unemployment increases, while aggregate output and aggregate income decrease. unemployment increases, aggregate output decreases, and people enjoy higher economic living standards. unemployment decreases, while aggregate output and aggregate income increase. aggregate output and aggregate income decrease, leading to an economic depression.
Why does this occur?
This has to be asked in context.