Explanation:
If a good is normal, then a decrease in price will cause a substitution effect that is The correct answer was: a. positive and an income effect that is positive.
The procedure that best discourages the resubmission of vendor invoices after they have been paid is
Answer:
The cancellation of vouchers by treasurer personnel
Explanation:
When a business uses vendors for some of its service needs there is the possibility of paying vendors twice for the same service of invoice is submitted twice.
The treasurer is the person that disbursed funds to vendors for services rendered. He is tasked with cross checking if payments are duplicated.
To avoid this it is best to have the treasurer personnel cancel vouchers that have been paid.
This will provide an effective check on duplicate payments.
The demand for gas in a country becomes price-inelastic.
What will happen as a result?
A. Gas workers will be less likely to be successful in obtaining wage increases.
B. Gas workers will be more likely to be successful in obtaining wage increases.
C. Total expenditure on gas by consumers will fall when its price rises.
D. Total expenditure on gas by consumers will rise when its price falls.
The demand for gas in a country becomes price-inelastic as a result, as workers will be less likely to be successful in obtaining wage increases. Thus, option A is correct.
What is the demand?The quantity of a good that consumers are willing and able to buy at different prices during a specific time is known as demand. The demand curve is another name for the relationship between price and quantity demand.
Demand stimulates the economy and drives profits. It's a crucial idea as a result. Supply and demand are closely related ideas. Suppliers seek to maximize profits, while consumers strive to pay the lowest costs possible for goods and services.
As a result, a nation's demand for gas becomes price-inelastic because workers are less likely to be successful in getting raises.
Therefore, option A is correct.
Learn more about the demand, refer to:
https://brainly.com/question/29703449
#SPJ2
which of the following answers correctly ranks market structures from most competitive to least competitive?
The correct ranking of market structures from most to least competitive is Perfect Competition, Monopolistic Competition, Oligopoly, Monopoly. Perfect competition is the most competitive, while monopoly is the least competitive.
The correct ranking of market structures from most competitive to least competitive is as follows
Perfect Competition: In perfect competition, there are many buyers and sellers, homogeneous products, easy entry and exit, and no individual firm has control over the market price.
Monopolistic Competition: Monopolistic competition involves many firms selling differentiated products, some control over pricing, relatively easy entry and exit, and limited market power.
Oligopoly: Oligopoly is characterized by a small number of large firms dominating the market, interdependence among firms, significant barriers to entry, and the potential for collusion.
Monopoly: Monopoly represents a market structure with a single dominant firm controlling the entire market, high barriers to entry, and significant market power to set prices.
The ranking goes from perfect competition, where competition is the highest, to monopoly, where competition is the lowest.
To know more about market structures:
https://brainly.com/question/30280211
#SPJ4
--The given question is incomplete, the complete question is given below " which of the following answers correctly ranks market structures from most competitive to least competitive?
a, Oligopoly
b, Perfect Competition
c, Monopolistic Competition
d, Monopoly"--
Who would win Hawk Eye (Marvel) or The Green Arrow (DC)
Answer:
Buff animal crossing.
Explanation:
Answer:
Green Arrow
Explanation:
You estimate your annual revenue to be 50,000 + 20,000y, where y is the number of years in business. What is your estimated revenue in 5 years?
Answer:
D.) 150,000
Explanation:
Multiply 20,000 by 5 =100,00 then add 50,000
assuming $t6 holds 6044, what is the offset for: lw $t4, 52($t6)
The offset for "lw $t4, 52($t6)" would be 52.
In computer architecture and assembly language programming, an offset is the displacement between the beginning of a segment and the location of a particular operand within that segment.
In the given assembly language instruction "lw $t4, 52($t6)", $t6 holds the value 6044. So, the offset in this case would be 52.
The instruction "lw $t4, 52($t6)" loads a word from memory into register $t4. The memory location from which the word is loaded is determined by adding the value in register $t6 and the offset 52.
Learn more about "offset" here:
https://brainly.com/question/14432014
#SPJ11
which of the following statements are true? multiple select question. a current asset is expected to be converted to cash or consumed within one year or an operating cycle, whichever is shorter. most businesses provide information about their bill-paying ability by classifying their assets and liabilities according to liquidity. long-term assets are usually presented before short-term assets on a classified balance sheet. the more quickly an asset is converted to cash or consumed, the more liquid it is considered.
Most businesses provide information about their bill-paying ability by classifying their assets and liabilities according to liquidity. The more quickly an asset is converted to cash or consumed, the more liquid it is considered.
How does liquidity work?A financial asset's liquidity refers to how simple it is to convert it into cash without suffering a significant loss in value. Liquidity can assist you in converting assets into useful income if you don't have enough cash on hand to cover expenses.
In investing, what does liquidity mean?In a secondary market, liquidity generally refers to how fast or easily a security can be acquired or sold. When cash is needed, liquid investments can be easily sold without incurring a large cost.
To learn more about Liquidity visit:
https://brainly.com/question/28239913
#SPJ4
rise above this has sales per share of $19.99 that is expected to grow at 4.4 percent per year. the ps ratio is 1.67 times. what is the projected stock price in 7 years?
$ 52.67 is the projected stock price in 7 years.
= Sales per share * growth rate/ ps ratio
= 19.99 * 4.4 / 1.67
= $52.67
Price per share divided by projected profits per share is the forward PE ratio formula. Price-earnings relationship. It is determined by dividing the present share price by the earnings per share. The net present value (NPV) of every prospective dividend that a stock is anticipated to pay is used to estimate the stock's expected value.
Using a dividend discount model, such as the Gordon growth model, you can forecast how much investors should be ready to pay for the stock if you can estimate the growth rate of the dividends. (GGM). A market analysis's foundational element is a market projection. It forecasts the numbers, traits, and patterns in your target market going forward.
To learn more about projected stock, click here.
https://brainly.com/question/14835819
#SPJ4
how do i make a sandwich if my teacher was 35 and her husband was 3 and i was 36
Answer:
WHATTTTTTT XD
Explanation:
Can i have a brainiest i kind of need them
Also you might need therapy
Answer:
first how in heck are you till in school and sec HOW IN THE HELL IS HE 3
explanation:
some of the major fraudulent acts by senior executives started as what they considered to be small ethical lapses that grew out of control.
Some major fraudulent acts committed by senior executives started as what they believed to be small ethical lapses that eventually spiraled out of control.
In some cases, senior executives may engage in fraudulent activities that initially appear to be minor ethical lapses. These lapses could include actions such as misrepresenting financial information, concealing conflicts of interest, or engaging in insider trading. However, these seemingly small unethical choices can quickly escalate into larger fraudulent acts. For example, an executive may manipulate financial statements to present a more favorable picture of the company's financial health. Initially, this act may be seen as a minor ethical lapse, as the executive believes they are helping the company's reputation.
However, as time goes on, this manipulation may become more frequent and widespread, leading to significant financial fraud. Similarly, an executive may start by accepting small kickbacks or bribes from vendors, thinking it is a harmless act. Over time, these unethical practices can become ingrained, leading to larger-scale corruption within the organization. In summary, some major fraudulent acts by senior executives can begin as what they perceive to be small ethical lapses. However, if left unchecked, these lapses can grow out of control and result in significant harm to the company and its stakeholders.
To know more about stakeholders visit:
brainly.com/question/30241824
#SPJ11
monopolies are bad because they convert deadweight losses into additional sales and profit. true or false?
The given statement "monopolies are bad because they convert deadweight losses into additional sales and profit." is true because it convert deadweight losses into additional sales and profits, which can be harmful to the economy.
Monopoly is a term used in economics to describe a situation where there is only one seller in the market.
Now, to answer your question, it is true that monopolies can convert deadweight losses into additional sales and profits. Deadweight loss is a term used to describe the loss of economic efficiency that occurs when the market is not operating at its optimal level.
When a monopoly exists, the monopolist can charge a higher price than the competitive price, which leads to a decrease in the quantity of goods produced and sold. This decrease in output creates a deadweight loss.
However, the monopolist can offset this deadweight loss by selling their goods at a higher price, which generates additional sales and profits for the monopolist.
To know more about monopoly here
https://brainly.com/question/29765560
#SPJ4
Who do you think has the most
influence?
Answer:
because the influence is an important
What is the answer?? No links
Answer:
c
Explanation:
get big brain kid not good kid get better bro
A construction company provides its employees who work at construction sites with hard hats. It also provides these employees with coveralls so that they do not come into direct contact with any harmful materials. The measures taken by the company are in compliance with the _____.
The measures taken by the construction company of providing its employees with hard hats and coveralls, comply with the Occupational Safety and Health Administration (OSHA) safety regulations.
OSHA is a federal agency established by the Occupational Safety and Health Act of 1970 to ensure that workers have a safe and healthy work environment.
This agency sets and enforces safety standards and provides training, outreach, and education to employees and employers to ensure safe and healthy working conditions in the United States.
The OSHA's Personal Protective Equipment (PPE) standards require that employers must conduct a hazard assessment to determine the appropriate PPE that is required for workers to perform their job safely.
It is the employer's responsibility to ensure that workers use PPE correctly and that the equipment is maintained in good working condition. Employers must also provide adequate training to employees on the proper use of PPE.
The construction company's provision of hard hats and coveralls ensures that their employees have the appropriate PPE for their work environment, minimizing the risk of injury or exposure to harmful materials.
The company's compliance with OSHA safety regulations ensures that it maintains a safe work environment for its employees.
To learn more about OSHA click here:
https://brainly.com/question/13591663#
#SPJ11
Creation of an advertising campaign for tony's pizza that will appeal to 6- to 12-year-olds is best described as what part of the final step in the marketing research approach, to take marketing actions? multiple choice question. Make action recommendations forecast the results implement the action recommendations evaluate the decision
The ultimate step within the promoting inquire about approach is to require showcasing activities based on the discoveries of the inquiry. This step includes executing the activity recommendations that have been created based on the investigate discoveries.
Within the case of Tony's Pizza, the showcasing inquire about may have uncovered that there's a critical advertise section of 6- to 12-year-olds who are fascinated by pizza. Based on this finding, the promoting group may have created an activity proposal to form an publicizing campaign that particularly targets this age bunch.
By and large, the usage of activity proposals may be a basic step within the showcasing investigative approach since it empowers the organization to put its investigative discoveries into activity and accomplish its showcasing goals.
To learn about activity recommendations visit:
https://brainly.com/question/10800406
#SPJ4
Why do you think gas and eggs illustrate the law of supply and demand? (Explain in 3-4 sentences.)
Answer:
Explanation:
Gas and eggs illusstrate the law of supply and demand because as we increase the demand of eggs the demand of gas reduced and vice versa
A network consists of the activities in the following list. Times are given in weeks. Activity Preceding Time 8 A B C A A.B C D 18 How many weeks should this project take?
The total duration of the project is 44 weeks.
To determine the total duration of the project, we need to calculate the critical path, which is the longest path through the network of activities. Based on the information provided, the activities and their respective durations are as follows:
Activity A: 8 weeks
Activity B: 8 weeks
Activity C: 8 weeks
Activity A.B: 18 weeks
Activity C.D: 18 weeks
To calculate the critical path, we add up the durations of the activities along the longest path:
A (8 weeks) → A.B (18 weeks) → C.D (18 weeks)
Therefore, the total duration of the project is 8 weeks + 18 weeks + 18 weeks = 44 weeks.
Learn more about project link:
https://brainly.com/question/28476409
#SPJ11
.A consulting firm rents cars from 3 agencies, 20% from agency A, 20% from agency B, and 60% from agency C. If 10% of the cars from A, 12% of cars from B, and 4% of the cars from C have bad tires, what is the probability that (a) the firm will get a car with bad tires? (b) a car with bad tires rented by the firm came from agency C?
2.If the probability that a communication system will have high fidelity (F) is 0.81 and the probability that it will have high fidelity and high selectivity (S) is 0.18, what is probability given that a system with high fidelity will also have high selectivity?
The probability that the firm will get a car with bad tires is 0.068. The probability that a car with bad tires rented by the firm came from agency C is 0.35. The probability that a system with high fidelity will also have high selectivity is 0.22.
Question 1:
Let's determine the probability that the firm will get a car with bad tires.
A) P(A car with bad tires) = P(A) x P(Bad tires of A) + P(B) x P(Bad tires of B) + P(C) x P(Bad tires of C)
Let's substitute the values: P(A) = 20% = 0.2P(B) = 20% = 0.2P(C) = 60% = 0.6P(Bad tires of A) = 10% = 0.1P(Bad tires of B) = 12% = 0.12P(Bad tires of C) = 4% = 0.04
Now, let's substitute the given values in the formula: P(A car with bad tires) = (0.2 x 0.1) + (0.2 x 0.12) + (0.6 x 0.04)= 0.02 + 0.024 + 0.024= 0.068
The probability that the firm will get a car with bad tires is 0.068.
B) To find the probability that a car with bad tires rented by the firm came from agency C, let's use the formula of Conditional Probability: P(Agency C | Bad Tires) = P(Agency C and Bad Tires) / P(Bad Tires)
Let's substitute the values: P(Agency C and Bad Tires) = P(C) x P(Bad tires of C) = 0.6 x 0.04= 0.024P(Bad Tires) = 0.068
Now, let's substitute the values in the formula: P(Agency C | Bad Tires) = 0.024 / 0.068= 0.35294118 or 0.35 (approx)
Therefore, the probability that a car with bad tires rented by the firm came from agency C is 0.35.
Question 2:
The probability that a communication system will have high fidelity (F) is 0.81, and the probability that it will have high fidelity and high selectivity (S) is 0.18.
Let's use the formula of Conditional Probability: P(S | F) = P(S and F) / P(F)
Let's substitute the values: P(S and F) = 0.18P(F) = 0.81
Now, let's substitute the values in the formula: P(S | F) = 0.18 / 0.81= 0.2222222 or 0.22 (approx)
Therefore, the probability that a system with high fidelity will also have high selectivity is 0.22.
More on probability: https://brainly.com/question/11798037
#SPJ11
there is a surplus of a new brand of cereal on the market. what will likely happen to the price of the cereal?
Answer:
The price of the cereal would fall.
Explanation:
In Economics, there are primarily two (2) factors which affect the availability and the price at which goods and services are sold or provided, these are demand and supply.
The law of demand states that, the higher the demand for goods and services, the higher the price it would be sold all things being equal. On the other hand, law of supply states that the higher the price of goods and services, the lower the supply.
When there is a surplus of a new brand of cereal in the market. What will likely happen to the price of the cereal is that the its price would fall.
Assume that an investment generates the following income stream, LOADING..., and can be purchased at the beginning of 2020 for $1,800 and sold at the end of 2026 for$2,000. Estimate the IRR for this investment. If a minimum return of 4% is required, would you recommend this investment?
Question content area bottom
Part 1
The IRR on this investment is enter your response here%.
(Enter as a percentage and round to two decimal places.)
End of Year
Income Stream
2020
$145
2021
$115
2022
$110
2023
$85
2024
$60
2025
$40
2026
$20
The IRR is below the minimum required return of 4% i.e.IRR ≈ 3.13%.
To estimate the IRR (Internal Rate of Return) for this investment, we can use the formula:
IRR = Cost of Investment / (Annual Cash Inflows - Annual Cash Outflows)
In this case, the cost of the investment is $1,800. The cash inflows are the income stream amounts for each year. The cash outflow is the amount received from selling the investment, which is $2,000.
Year 2020:
Cash Inflow: $145
Year 2021:
Cash Inflow: $115
Year 2022:
Cash Inflow: $110
Year 2023:
Cash Inflow: $85
Year 2024:
Cash Inflow: $60
Year 2025:
Cash Inflow: $40
Year 2026:
Cash Inflow: $20
Now we can calculate the IRR:
\(IRR = $1,800 / ($145 + $115 + $110 + $85 + $60 + $40 + $20 - $2,000)\\IRR = $1,800 / $575\\IRR ≈ 3.13%\)
Since the IRR is below the minimum required return of 4%, I would not recommend this investment. The expected return is lower than the required return, indicating that the investment may not be profitable enough to meet your expectations.
Learn more about IRR (Internal Rate of Return) from the given link:
https://brainly.com/question/28326238
#SPJ11.
Question 1 (20 marks) What is the influence of growth on the development of a country? Give some examples.
Economic growth, which refers to an increase in a country's production of goods and services over time, can have several positive impacts on development.
Some of the influences of growth on the development of a country include:
1. Increased employment opportunities: Economic growth often leads to the expansion of industries, resulting in more job opportunities for the population. This helps to reduce unemployment rates and improve living standards.
2. Poverty reduction: With sustained economic growth, there is a higher likelihood of poverty reduction. As incomes rise and job opportunities increase, more individuals and households can escape poverty and improve their standard of living.
3. Infrastructure development: Economic growth often necessitates the development of infrastructure such as roads, bridges, ports, and telecommunications networks.
4. Enhanced access to education and healthcare: Economic growth generates additional resources that can be allocated towards social sectors such as education and healthcare.
5. Technological advancements: Growth can stimulate innovation and technological advancements, leading to increased productivity and efficiency.
Examples of countries that have experienced significant growth and development include:
- South Korea: Through sustained economic growth, South Korea transformed from a war-torn country to a developed nation. It focused on industries such as electronics, automobile manufacturing, and shipbuilding, which propelled its economic development and raised living standards.
- China: Over the past few decades, China has achieved remarkable economic growth, lifting millions of people out of poverty. It has become a global manufacturing hub and has invested heavily in infrastructure development, education, and healthcare.
- Singapore: With limited natural resources, Singapore focused on building a knowledge-based economy driven by innovation and high-value industries.
learn more about Economic growth here:
https://brainly.com/question/33408189
#SPJ11
harmful substances which contaminate water are collectively called
Answer:
Ground Water Contamination
Explanation:
I'll be honest I'm not 100% sure.
The gallery has a profit margin of 5.8 percent and a capital intensity ratio of 1.10. the net profit is $380 and the tax rate is 34 percent. what are the total sales for the period?
The total sales for the period is $3918.03.
The total sales for the period can be calculated using the profit margin,
capital intensity ratio, net profit, and tax rate.
First, let's find the total assets by dividing the net profit by the profit margin:
Net Profit / Profit Margin = Total Assets
$380 / 0.058 = $6551.72
Next, let's calculate the equity by dividing the total assets by the capital intensity ratio:
Total Assets / Capital Intensity Ratio = Equity
$6551.72 / 1.10 = $5956.11
To find the total sales, we need to use the equity and tax rate:
Equity x (1 - Tax Rate) = Total Sales
$5956.11 x (1 - 0.34) = $3918.03
Therefore, the total sales for the period is $3918.03.
Learn more about total sales from the given link:
https://brainly.com/question/33127444
#SPJ11
The shadow banking system refers to
a Non-bank financial firms that acted as banks by borrowing and lending of U.S. Treasury bills in an effort to make a profit. b The unregulated non-bank financial firms engaged in borrowing from investors and lending to households and firms. c Non-bank financial firms that provide profit advice to hedge fund managers
d Non-bank financial firms that acted as stock brokers by buying and selling stocks in an effort to make a profit.
The shadow banking system also poses risks to financial stability. Its opacity and interconnectedness can amplify systemic risks, as demonstrated during the global financial crisis of 2008. Consequently, regulators have been increasingly focused on monitoring and addressing potential vulnerabilities within this sector to mitigate the potential negative consequences for the broader financial system.
The shadow banking system refers to unregulated non-bank financial firms that engage in borrowing from investors and lending to households and firms. These entities operate outside the traditional banking sector but perform similar functions to banks, such as credit intermediation and liquidity provision. The primary motive behind their activities is to generate profits.
Unlike traditional banks, shadow banking entities are not subject to the same regulatory oversight and prudential regulations. This lack of regulation allows them to take on higher levels of risk and engage in complex financial transactions. They often rely on short-term funding sources, such as repurchase agreements and commercial paper, to finance their activities.
By borrowing from investors and lending to households and firms, shadow banking entities aim to earn a profit through interest rate spreads and fees charged for their services. They provide alternative channels of credit and liquidity to the economy, which can be particularly attractive to borrowers who may have difficulty accessing traditional bank financing.
However, the shadow banking system also poses risks to financial stability. Its opacity and interconnectedness can amplify systemic risks, as demonstrated during the global financial crisis of 2008. Consequently, regulators have been increasingly focused on monitoring and addressing potential vulnerabilities within this sector to mitigate the potential negative consequences for the broader financial system.
Learn more about banking from the link
https://brainly.com/question/14274562
#SPJ11
Siva, Inc., imposes a payback cutoff of three years for its international investment
projects.
Year Cash Flow (A) Cash Flow (B)
0 –$ 57,000 –$ 67,000
1 21,500 13,500
2 25,000 16,500
3 19,500 23,000
4 6,500 227,000
What is the payback period for both projects? (Round your answers to 2 decimal places,
e.g., 32.16.
To calculate the payback period, we need to determine the time it takes for the cumulative cash inflows to equal or exceed the initial investment.
For project A:
Year 0: Initial investment = $57,000
Year 1: Cumulative cash inflow = $21,500, remaining investment = $35,500
Year 2: Cumulative cash inflow = $46,500, remaining investment = $9,000
Year 3: Cumulative cash inflow = $66,000
Therefore, the payback period for project A is 3 years.
For project B:
Year 0: Initial investment = $67,000
Year 1: Cumulative cash inflow = $13,500, remaining investment = $53,500
Year 2: Cumulative cash inflow = $30,000, remaining investment = $37,000
Year 3: Cumulative cash inflow = $53,000
Year 4: Cumulative cash inflow = $280,000
Therefore, the payback period for project B is between 3 and 4 years, since the cumulative cash inflows exceed the initial investment sometime in year 4. To calculate the exact payback period, we can use the formula:
Payback period = Year before full recovery + (Unrecovered cost at start of year / Cash inflow during the year)
In year 3, the cumulative cash inflow is $53,000, which is $14,000 short of the initial investment of $67,000. So the payback period is:
Payback period = 3 + ($14,000 / $227,000)
Payback period = 3.06 years (rounded to 2 decimal places)
Therefore, the payback period for project B is 3.06 years.
To know more about payback period refer here
https://brainly.com/question/13978071#
#SPJ11
If the demand for a product decreases, what is likely to happen?
A.
The supply is likely to increase.
B.
The demand is likely to be inelastic.
C.
The price is likely to increase.
D.
The price is likely to decrease.
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.
If someone gets their health insurance through Medicaid, that means what
Answer:
that means they are poor (or have low income since medicare is for families who cant afford doctors)
hope this helps!
please follow if you can<3
Tammy, a resident of Virginia, is considering purchasing a North Carolina bond that yields 4.6% before tax. She is in the 35% Federal marginal tax bracket and the 5% state marginal tax bracket. She is aware that the State of Virginia bonds of comparable risk are yielding 4.5%. However, the Virginia bonds are exempt from Virginia tax, but the North Carolina bond interest is taxable in Virginia. Which of the two options will provide the greater after-tax return to Tammy? Tammy can deduct any state taxes paid on her Federal income tax return.
A 6.60 percent coupon bond with 15 years left to maturity is priced to offer a yield to maturity of 7.4 percent. You believe that in one year, the yield to maturity will be 6.9 percent. What is the change in price the bond will experience in dollars?
Answer:
The price will increase by $44.67
Explanation:
Price of the bond now
Use following formula to calculate the price of the bond
Price of the Bond = C x [ ( 1 - ( 1 + r )^-n ) / r ] + [ F / ( 1 + r )^n ]
Where
F = Face value of the bond = $1,000
C = Coupon payment= $1,000 x 6.60% = $66
n = Number of periods = 15 years
Market Rate = 7.4% annually
( Assumptions:
Face value of the bond is $1,000
Coupon payments ares made annually )
Placing values in the formula
Price of the Bond = $66 x [ ( 1 - ( 1 + 7.4% )^-15 ) / 7.4% ] + [ $1,000 / ( 1 + 7.4% )^15 ]
Price of the Bond = $928.94
Now calculate the price after one year
Where
F = Face value of the bond = $1,000
C = Coupon payment= $1,000 x 6.60% = $66
n = Number of periods = 15 years - 1 = 14 years
Market Rate = 6.9% annually
( Assumptions:
Face value of the bond is $1,000
Coupon payments ares made annually )
Placing values in the formula
Price of the Bond = $66 x [ ( 1 - ( 1 + 6.9% )^-14 ) / 6.9% ] + [ $1,000 / ( 1 + 6.9% )^14 ]
Price of the Bond = $973.61
Change in price = $973.61 - $928.94 = $44.67