d. what did the federal reserve set interest rates to at the beginning of 2020, the first quarter of 2020 (q1 2020)? what interest rate did the taylor rule suggest? enter answers to two places after the decimal. if a value is negative, be sure to include a negative sign in your answer.

Answers

Answer 1

At its meetings on March 3 and March 15, 2020, the Fed reduced its target for the federal funds rate—the cost for banks to borrow money from one another overnight—by a combined 1.5 percentage points. Due to these reductions, the funding rate is now between 0% and 0.25%.

What were Taylor's recommended interest rates, and what are Federal Reserve Set Interests?

The federal funds rate, which the Federal Reserve sets as a major interest rate, is what banks charge one another for very short-term loans. The Federal Reserve decreased the federal funds rate's target range from 1% to 0%.

As a central bank, the Federal Reserve works to accomplish three objectives set forth by Congress: maximum employment, price stability, and moderate long-term interest rates in the United States.

The Taylor Rule establishes a connection between inflation and economic growth and the policy rate of a central bank. It was developed in 1993 by economist John Taylor and is based on a federal funds rate equilibrium that is 2% higher than the annual rate of inflation.

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Related Questions

Cigarettes can be used as a form of ________.

fiat money

fake money

barter

Answers

Cigarettes can be used as a form of barter.

What is bartering?

When parties to a transaction directly exchange one good or service for another without using a medium of exchange like money, this is known as bartering. Cigarrates can be count as barter method.

A barter is an exchange of goods or services between two or more persons that does not include the exchange of money or other forms of payment, such as credit cards. Bartering entails the exchange of one party's good or service for another party's good or service in its most basic form.

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Which of the following is a valid defense in a strict products liability case?
A. comparative negligence
B. contributory negligence
C. assumption of risk
D. consent.

Answers

C. Assumption of risk

The following which is a valid defense in a strict product liability case is the Assumption of risk. If you need a valid defense in a product liability, then use the assumption of risk.

Product liability is an area of law that regulates the responsibility of manufacturers, distributors, suppliers or sellers of a product that is sold to the public for losses that can be caused by these products. While the word "product" can have broad connotations, in the field of law it is usually restricted to private property.

Most countries usually regulate this through legislation, for example by creating specific product liability laws, adding related provisions in civil law, or providing for them in consumer protection laws. The United States and the European Union are considered the two countries with advanced product liability laws, so most systems in other countries are modeled on one or the other.

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using the performance planner on a monthly basis allows you to optimize which two aspects of an account?

Answers

Using the performance planner on a monthly basis allows you to optimize bid and budget aspects of an account.

What is a budget?

A budget is a written plan you create to determine how much money you will spend each month. You may ensure that you have adequate money each month by using a budget. You can run out of money before your next payday if you don't have a budget. How much money you make is shown by your budget.

what is a bid account?

A bidder registration form must be completed and submitted in order to establish a bidder account, which is a user profile on the website that grants access to auctions.

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what are ups’s business customers looking for when committing to work with ups?

Answers

Ups’s business customers looking for when committing to work with ups is like healthcare, small business, and international market.

What is UPS Business?

UPS is the world's leading parcel delivery company and a leading provider of global supply chain management solutions. We operate one of the world's largest airlines and one of the largest alternative fuel fleets under the global UPS brand. Although UPS's primary business is the worldwide delivery of packages and documents, UPS' service portfolio also includes global supply chain services and trucking.

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consider the following events for fountain incorporated: january 1fountain purchases gasoline for $200 on account. january 7fountain advertises lawn mowing services for $100 per lawn. january 9fountain signs up 8 customers who pay a total of $800 cash. january 12fountain mows the lawns of the 8 customers and all gasoline purchased on january 1 is used. january 13fountain pays for the gasoline purchased on january 1. under accrual-basis accounting, what is the appropriate day to record the revenues related to lawn services?

Answers

The appropriate day to record the revenues related to lawn services 9th January.

Five conditions to be fulfilled to understand sales are as follows:

1. identify the contract with your patron.

2. pick out Your overall performance obligations

3. decide Your Transaction charge.

four. Allocate the Transaction rate to the overall performance obligations inside the contract.

5. understand sales whilst Your commercial enterprise Satisfies a overall performance responsibility.

Inside the given case all the conditions are satisfied on ninth January and therefore below accrual foundation of accounting sales have to be recognized on that day.

Lawn care usually refers to keeping the fitness, colour and power of present lawns over time. a few services that fall below garden care are pest manage, weed manage, fertilization, soil trying out, aeration, seeding, deep root feeding for bushes and shrubs and irrigation.

Lawn maintenance offerings way landscaping offerings, which include grass/lawn mowing, weeding, grass/lawn trimming, and removal and disposal of debris and trash.

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The owner’s equity section of a balance sheet may report different kinds of details about owner’s equity, depending on the need of the business.T/F

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The owner’s equity section of a balance sheet may report different kinds of details about owner’s equity, depending on the need of the business is true.

What is an illustration of equity?

After all liabilities connected to an asset have been paid off, the asset's equity remains. For instance, if you have a car worth $25,000 but owing $10,000 on it, you have $15,000 in equity in the car. It refers to the worth or stake of the most inexperienced class of asset investors.

How come it's called equity?

As a result of their representation of ownership in businesses, stocks are known as equities. They allow investors to take advantage of growth but also exposing them to danger when the economy falters.

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Javier needs to add month-end accruals. Which QuickBooks function would be most useful?
O Monthly check
O Journal entry
O Account reconciliation

Answers

Javier needs to add month-end accruals. Journal entry QuickBooks function would be most useful. The correct option is b.

What is a journal entry?

A journal entry refers to the act of keeping or making records of any transactions either economic or non-economic. Transactions are listed in an accounting journal that shows a company's debit and credit balances. The journal entry can consist of several recordings, each of which is either a debit or a credit. Journal entries can record unique items or recurring items such as depreciation or bond amortization.

The total of the debits must equal the total of the credits, or the journal entry is considered unbalanced.

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in negligence cases, courts generally hold that a business _____________________.

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In negligence cases, courts generally hold that a business owes a duty of care to protect their customers against foreseeable risks about which the owner knew or reasonably should have known.

In negligence cases, courts generally hold that a business owes a duty of care to protect their customers against foreseeable risks about which the owner knew or reasonably should have known. This means that a business must take reasonable steps to protect its customers from any foreseeable risks that could cause injury or harm.

The business must also act in a way that a reasonable person would act in similar circumstances. If the business fails to do so, it may be held liable for any resulting harm.

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goods and services are configurations of standard parts, subassemblies, or services that can be selected by customers from a limited set while select goods and services are made according to a fixed design

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are combinations of conventional components, components from subassemblies, or services that consumers can choose from a small selection. example: Subway sandwiches and Dell PCs.

Are large-scale, tailored projects like that?

consist of a variety of smaller tasks and activities that must be planned out and completed in order for large, customised projects to be delivered on time and within budget. Characteristics: A wide range of requirements and duties were given to the site along with special, substantial, and sophisticated resources.

Batching, low to moderate volume, numerous routes, a diversity of products, a highly skilled personnel, and customization to the demands of the customer are all traits

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a market with a large number of sellers and a high level of product differentiation is known asan oligopoly.a monopolistically competitive market.a perfectly competitive market.a monopoly.

Answers

A market with a large number of sellers and a high level of product differentiation is known as a monopolistically competitive market. Therefore, the second option is the correct answer.

A type of market structure known as monopolistic competition is characterised by the presence of numerous businesses in a given sector and the production of comparable but distinct goods. Each business operates autonomously without taking into account the actions of the others and none of the businesses enjoy a monopoly.

Companies in monopolistic competition generate economic short - term profit, but they make no economic profit in the long run. The flexibility to enter and leave the industry also contributes to the latter. Short-term economic gains encourage more entrants, which eventually results in increased competition, decreased costs, and high output.

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kansas corporation is reviewing an investment proposal that has an initial cost of $76,500. an estimate of the investment's end-of-year book value, the yearly after-tax net cash inflows, and the yearly net income are presented in the schedule below. yearly after-tax net cash inflows include savings from the depreciation tax shield. the investment's salvage value at the end of each year is equal to book value, and there will be no salvage value at the end of the investment's life. year initial cost and book value yearly after-tax net cash inflows yearly net income 1 $ 43,000 $ 28,000 $ 10,500 2 29,000 25,500 11,500 3 18,500 23,000 12,500 4 11,500 20,500 13,500 5 0 18,000 14,500 $ 115,000 $ 62,500 kansas uses a 14% after-tax target rate of return for new investment proposals. year fv of $1 at 14% fv of an ordinary annuity at 14% pv of $1 at 14% pv of an ordinary annuity at 14% 1 1.140 1.000 0.877 0.877 2 1.300 2.140 0.769 1.647 3 1.482 3.440 0.675 2.322 4 1.689 4.921 0.592 2.914 5 1.925 6.610 0.519 3.433 6 2.195 8.536 0.456 3.889 required: a. calculate the project's payback period. (do not round intermediate calculations.) b. calculate the accounting rate of return on the initial investment. (do not round intermediate calculations. round your answer to 1 decimal place.) c. calculate the proposal's net present value. (do not round intermediate calculations. round your final answer to nearest dollar amount.)

Answers

Payback period of Project is 3 years, accounting rate of return is 16.3% and Net Present value is $4.669

Give a brief account on payback period.

The duration needed to recoup an investment's cost is referred to as the payback period. Simply described, it is the period of time it takes for an investment to break even. The payback period is significant because individuals and businesses invest money primarily in order to be reimbursed. In principle, an investment gets more alluring the quicker its payback is. Anyone can benefit from calculating the payback period by dividing the initial investment by the typical cash flows.

To solve the question :

1. Calculation of payback period :

Year          Annual Net After          Cumulative

                  Tax Cash Flows           Cash Flows

a                          b                                 c          

1                           28.000                   28,000

2                          25.500                   53,500

3                          23.000                    76,500

4                          20,500                    97,000

5                          18.000                     115,000

Initial Cost = 76,500

Payback period of Project = 3 years

2. Calculation of Accounting rate of return on the initial investment :

Calculation of Average Annual Net Income :

Average Annual Net Income

(62500/5) = 12,500

Calculation of Accounting rate of return based on original investment :

a. Average Annual Net Income = 12,500

b. Initial Investment = 76,500

Accounting rate of return :

(Average Annual Net Income/Initial Investment × 100)

= (12.500 / 76,500 × 100)

= 16.3%

3. Calculation of Net present value :

Year        Net Cash Flows    Present value of 1 at 14%        Present value of              

a                       b                         c = 1/1.4^a                              cash flows

0                -$76,500                     1.000                                   -$76,500

1                  $28.000                     0.877                                    $24,556

2                 $25,500                     0.769                                    $19,610

3                 $23,000                     0.675                                    $15,525

4                 $20,500                     0.592                                    $12,136

5                 $18,000                      0.519                                     $9,342

Net Present Value = $4,669

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jim is opening an interest-accruing checking account which compounds interest monthly. the amount in the account, in dollars, after t years is shown by the following expression. which statement below best describes the exponent, 12t? a. the amount of the initial deposit b. the rate at which the account is increasing c. the number of times the account has compounded since it was opened d. the amount of the yearly earnings

Answers

The interest is compounded monthly, there are 12 compounding periods per year, and the exponent 12t represents the total number of compounding periods over t years. Thus, the correct answer is option c.

The expression given for the amount in the account is likely of the form

[tex]\displaystyle{\displaylines{A = P(1 + r/n)(nt)}}[/tex]

where,

P is the initial deposit,

r is the annual interest rate,

n is the number of times the interest is compounded per year,

t is the time in years.

The exponent 12t in the expression represents the number of times the account has compounded since it was opened.

Therefore, the correct answer is option c. The exponent 12t represents the number of times the account has compounded since it was opened.

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NDTAP K Apia Homework The nfluence oeg m Back to Assignment Keep the Highest Changes in the money supply The following graph represents the money market in a hypothetical economy. As in the United States, this economy has a central bank called the Fed, but unlike in the United States, the economy is closed (that is, the economy does not interact with other economies in the world). The money market is currently in equilibrium at an interest rate of 3% and a quantity of money equal to $0.4 trillion, as indicated by the grey star. Money Demand 25 MONEY Suppose the Fed announces that it is raising its target interest rate by 75 basis points, or 0.75 percentage point. To do this, the Fed will use open-market operations to the money by the public. Use the green line (triangle symbol) on the previous graph to illustrate the effects of this policy by placing the new money supply curve (MS) in the correct location. Place the black point (plus symbol) at the new equilibrium interest rate and quantity of money. Suppose the following graph shows the aggregate demand curve for this economy. The Fed's policy of targeting a higher interest rate will the cost of borrowing, causing residential and business investment spending to and the quantity of output at each price level demanded to

Answers

a) The Fed will use open-market operations to the increase, the supply of money by buying bonds from the public.

Why is the money supply curve vertical?

The money supply curve illustrates the link between the amount of money issued and the market interest rate, with other supply-side factors remaining constant. The Fed determines the amount of money that is readily available without taking the value of money into account, which causes the money supply curve to be vertical. The demand for money slopes down as a result of customers having to carry more cash to make purchases when products and services become more expensive.

b) Money supply curve is straight up and down and starts at .5 (Trillions of Dollars)

c) The Fed's policy of targeting a lower interest rate will reduce, the cost of borrowing, causing residential and business investment spending to increase, and the quantity of output demanded to increase at each price level.

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The correct question is:

The following graph represents the money market in a hypothetical economy. As in the United States, this economy has a central bank called the Fed, but unlike in the United States, the economy is closed (that is, the economy does not interact with other economies in the world). The money market is currently in equilibrium at an interest rate of 5.5% and a quantity of money equal to $0.4 trillion, as indicated by the grey star.

a) Suppose the Fed announces that it is lowering its target interest rate by 50 basis points, or 0.5 percentage point. To do this, the Fed will use open-market operations to ??? the ??? money by ??? the public.

increase, the supply of, & buying bonds from the public

c) Use the green line (triangle symbol) on the previous graph to illustrate the effects of this policy by placing the new money supply curve (MS) in the correct location. Place the black point (plus symbol) at the new equilibrium interest rate and quantity of money.

d) Suppose the following graph shows the aggregate demand curve for this economy. The Fed's policy of targeting a lower interest rate will ??? the cost of borrowing, causing residential and business investment spending to ??? and the quantity of output demanded to ??? at each price level.

Civil servants were given legal protection against being fired without a show of cause in order to O conform to the Supreme Court's decision in Immigration and Naturalization Service v. Chadha. force the bureaucracy to respond more to political pressures from parties, interest groups, and elected officials. O safeguard the bureaucracy from political interference while upgrading performance. O enhance the public's trust in bureaucracy,

Answers

Civil servants were given legal protection against being fired without a show of cause to safeguard the bureaucracy from political interference while upgrading performance.

Who are civil servants?

A civil servant, also known as a public servant, is a person who works in the public sector for a government department or agency. Civil servants work for the federal and state governments and report to the government rather than a political party.

Prior to the Civil Service Act of 1883, government appointments were made as part of the spoils system to political supporters. In order to rid bureaucracy of political interference while improving performance, civil servants were given legal protection against being fired without cause.

Therefore, to safeguard the bureaucracy from political interference while upgrading performance Civil servants were given legal protection against being fired without a show of cause .

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a 10 year bond with a par value of 100,000 and semi-annual coupons 2500 is bought at a discount to yield 6% convertible semi-annually. (a) calculate the book value immediately after the 5th coupon. (b) calculate the flat price 4 months after the 5th coupon using the theoret- ical method. (c) calculate the accrued coupon 4 months after the 5th coupon using the theoretical method. (d) calculate the market price 4 months after the 5th coupon using the the- oretical method. (e) calculate (b)-(d) using the practical method. (f) calculate (b)-(d) using the semi-theoretical method

Answers

Book value after the 9th coupon payment = 23,139.80.

Present value of a bond

= Semi-annual coupon * for 20 periods at 3%

= 2500 * 14.88 = 37200

Amortization Schedule

No opening balance interest at  3% Coupon paid the closing balance

1 37200.00 1116.00 2500.00 35816.00

2 35816.00 1074.48 2500.00 34390.48

3 34390.48 1031.71 2500.00 32922.19

4 32922.19 987.67 2500.00 31409.86

5 31409.86 942.30 2500.00 29852.16

6 29852.16 895.56 2500.00 28247.72

7 28247.72 847.43 2500.00 26595.15

8 26595.15 797.85 2500.00 24893.01

9 24893.01 746.79 2500.00 23139.80

Book value after 9th coupon payment = 23,139.80

A stock market, fairness market, or share market is the aggregation of consumers and dealers of shares, which represent possession claims on businesses; these may include securities listed on a public stock.

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in the introduction saltage of the industry life cycle, the prime go of the marketing function is to:

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In the introduction salt age of the industry life cycle, the prime go of the marketing function is to growth and decline.

According to the commercial characteristics that are frequently observed in each stage, the term "industry life cycle" depicts how an industry or corporation develops through four stages. Industries are founded when new products are developed, but it is unclear how big the market will be, what the products will look like, and who the main competitors will be. The advancement of a company or industry based on its stages of growth and decline is known as the industry life cycle. Consolidation and failure cut down an established industry as it grows, while the remaining rivals lower expenses as expansion slows and demand eventually wanes.

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Which of the following statements about GDP is most accurate? A) Nominal GDP values productions using fixed prices, while real GDP values productions using current prices
B) Nominal GDP values productions using current prices, while real GDP values productions using fixed prices
C) Nominal GDP consistently underestimates the value of production, while real GDP consistently overestimates the value of production
D) Nominal GDP value costs using variable costs, while real GDP values costs using fixed cost

Answers

The statement that is accurate about GDP is  A) Nominal GDP values productions using fixed prices, while real GDP values productions using current prices.

What Is Real GDP (Real Gross Domestic Product)?

Real gross domestic product (GDP) is a measure of an economy's output of all products and services over the course of a year, adjusted for inflation. Base-year prices are used to express real GDP. It is also known as GDP in constant prices, GDP that has been adjusted for inflation, and GDP in constant dollars. Simply expressed, real GDP corrects for price fluctuations and estimates the total economic production of a nation.

Real gross domestic product (real GDP) is a measure of an economy's output of all goods and services during a particular year that has been adjusted for inflation.

Real GDP is frequently referred to as constant price, inflation-corrected, or constant dollar GDP since it is measured in base-year prices.

Therefore, option A is correct.

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Out of Home advertising is unique in that it is probably the only media that: A. That targets local communities B. Can evoke emotion C. That can reach a wide audience D. That has 24 hour a day 7 days a week presence. E. Has stunning visuals

Answers

Out of Home advertising is unique in that it is probably the only media (C) That can reach a wide audience.

What is outdoor advertising?

It is a means of dissemination of information that is done in public places through brochures, posters, billboards, among other elements. Outdoor advertising is of utmost importance since it allows providing news information or commercial advertisements in public places.

Outdoor advertising is used in public places, this makes it possible to spread information to a specific audience.

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E12-23. (Matching Match the items in the following right column with those in the left column: 1. An act of Congress that gives a department and/or agency authority to a Outlays obligate the federal government to make disbursements for goods and services b. Obligation c. Disbursement 2. Document sent to the Treasury ordering it to pay vendors and employeesschedule 3. Sets standards for federal government accounting d. GASB 4. Type of fund used to account for commercial-type operations of federal 5. Action by which the OMB distributes amounts appropriated by Congress Appropriation f. Revolving fund g. Apportionment agencies Payments of obligations obligation h. FASAB i. Allotment j. Trust fund _6. 7. Reserves budgetary authority from an allotment in anticipation of an 8. Federal equivalent of encumbrances used by state and local governmental k. Deferral I. Commitment units 9. Type of fund that finances Social Security payments

Answers

An act of Congress that gives a department and/or agency authority to Outlays obligate the federal government to make disbursements for goods and services.

Federalism is a system of government in which powers are divided between a central and its constituent states, provinces, etc. It is an institutional mechanism that integrates her two policy areas: one at the central or national level and one at the regional or local level.

"State" means that there is both a central government and 50 state governments. A "republic" is a form of government in which the people hold power and elect representatives to exercise that power.

These numerated powers include, among others, the power to tax, regulate commerce, enact uniform naturalization laws, establish federal courts (subordinate to the Supreme Court), establish and maintain armed forces, and declare war.

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dependence on world markets is the reason for which of the following? multiple choice question. supply stability in u.s. agriculture demand stability in u.s. agriculture demand volatility in u.s. agriculture price ceilings in u.s. agriculture

Answers

The following agriculture demands stability in u.s. Option B.

Market globalization brings about increased interdependence between markets. global economy multi-nationality of procurement manufacturing trade and investment activities increasingly cross borders. increased competition between deals and financing;

Globalization lowers manufacturing costs. This means that businesses can offer consumers lower prices. The average cost of goods is an important aspect that helps improve living standards. It also gives consumers access to a wider variety of products. The main motive of multinational corporations is to provide financial support to their own governments. The main motive is profit for foreign countries.

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countrybank offers one-year loans with a stated rate of 15 percent but requires a compensating balance of 9 percent. what is the true cost of this loan to the borrower? (round your answer to 2 decimal places. (e.g., 32.16))

Answers

The true cost of this loan to the borrower country bank offers one-year loans with a stated rate of 15 percent but requires a compensating balance of 9 percent 17%.

Bank's Proposal means the Bank's offer to provide the City with a non-revolving line of credit in the form of a tax-restricted general bond issue and to accept the Notes pursuant to the terms contained in the Bank's Proposal.

Banks are licensed financial institutions that accept checks and deposits and make loans. Banks also offer related services such as Individual Retirement Accounts (IRAs), Certificates of Deposits (CDs), Currency Exchange and Safe Deposit Boxes.

The word bank is used as a noun to refer to a place where people deposit their money or a long hill or slope such as a riverbank. Bank is also used as a verb meaning to bounce off something. The word bank is very common and has several other meanings, both as a noun and as a verb.

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when a concentration of credit risk must be disclosed and the exact amount is uncertain, which one of the following amounts must be disclosed? minimum amount at risk. current period average amount at risk. historic average amount at risk. maximum amount at risk.

Answers

When a concentration of credit risk must be disclosed and the exact amount is uncertain, maximum amount of risk must be disclosed.

Correct answer is d)

What do you meant by concentration of credit risk ?

Concentration risk is accepted in some industries as the potential loss from being heavily reliant on a single vendor, geographic area, or investment portfolio.

Lenders have been concerned about concentration risk for years due to concerns about over-lending to a single borrower or within a single industry. The less diversified a lender's loan portfolio is, the higher the concentration risk.

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the minimum points of the average variable cost and average total cost curves occur where the a. average variable cost and average total cost curves intersect. b. marginal cost curve lies below the average variable cost and average total cost curves. c. marginal cost curve intersects those curves. d. slope of total cost is the smallest.

Answers

The minimum points of the average variable cost and average total cost curves occur where --- the marginal cost curve intersects those curves.

Option C is correct .

Why does the MC curve intersect the minimum points of ATC and AVC?

He intersects AVC and ATC at the minimum marginal cost because the curves are equal at the lowest point. At the minimum point, ATC = MC = AVC.

If the average variable cost is the lowest, is the marginal cost the highest?

When average cost is minimal, marginal cost = average cost. This is because the second marginal cost is higher than the average cost. Since the marginal cost is higher than the average cost, the average cost should also be higher.

Marginal cost curve :

The marginal cost (MC) curve is defined as the change in total cost divided by the change in energy production. In a perfectly competitive market, the MC curve is the same as the firm's supply

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1) What are the minimum requirements for a feature?

a) Name, benefit hypothesis and acceptance criteria

b) Acceptance criteria, data models and priority

c) Whatever the Agile Release Train determines is required

d) Benefit hypothesis, acceptance criteria and priority

Answers

Out of the choices provided above, it can be stated that the benefit hypothesis, acceptance criteria and priority are the minimum requirements for a feature. Therefore, the option D holds true.

The benefit hypothesis can be referred to or considered as the method followed in order to decide the approval of a feature in the frameworks related to the same. The benefit hypothesis is most likely complemented by the acceptance criteria and priority as a proposition of the minimum requirements of a feature.

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The magnitude of operating leverage for Perkins Corporation is 4.5 when sales are $100,000. If sales increase to $110,000, profits would be expected to increase by what percent?
a. 4.5%
b.14.5%
C.45%
D.10%

Answers

The profit would be expected to increase by 45%

Define operating leverage.

Operating leverage is a measure of how sales growth translates into growth in operating income. It serves as a gauge for leverage and the riskiness or volatility of an organization's operating income.

The relationship between contribution margin and operating income is expressed by the financial ratio known as operating leverage. If fixed costs and variable cost per unit remain constant, it showed the rate at which operating income will change in response to a change in sales revenue.

Magnitude of operating leverage= 4.5

Old sales= $100000

New sales= $110000

Percentage increase in sales:

(New-old)/old = (110,000-100,000)/100,000

= 10%

Therefore percentage increase in profit to be expected:

Percentage increase in sales multiplied by magnitude of operating leverage

= 10% * 4.5

= 45%

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you are the manager of a local distributor, and your vendor has just increased your price from $1.20/unit to $1.65/unit. however, the price that you can charge your client is locked in via contract at $2.05/unit. what has happened to the margin?

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To keep the budget as intended, the business must evaluate the budget and find more places where expenses can be reduced.

The first job that needs to be accomplished in order to find expenses that can be cut is budget revision. To further improve performance, budget modifications should be made. As a result, money might be redistributed throughout the budget's many operations to provide a higher output. Assume that Mazeppa is now producing 100,000 units per year. If it wants to enhance operational income by $5 for each unit included in the special order, what unit price should it charge the distributor? Calculations in the middle should not be rounded. The business won't have to turn away any of its regular customers in order to fulfil the special order at its existing operational level of 100,000 units. It just needs to produce a contribution margin per unit of if it wants to improve operational income by for each unit in the special order.

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which type of multinational organizational structure is appropriate when local differences are large and the benefits of global integration are small?

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A multinational corporation (MNC) has facilities and different property in at the least one country other than its home, Such organizations have offices and/or factories in special countries and typically have a centralised head office where they coordinate worldwide management.

Reduce the price of manufacturing, mainly the labour fee. seize the moneymaking foreign marketplace against worldwide competition. Avail the competitive advantage internationally. acquire extra performance with the aid of producing in neighborhood markets after which exporting the products.

Multinational corporation (MNC), additionally referred to as transnational organization, any organization that is registered and operates in more than one us of a at a time. normally the employer has its headquarters in a single u . s . and operates absolutely or partially owned subsidiaries in different countries.

A multinational organisation is a corporation that does enterprise in a pick out few countries round the arena and operates centers such as warehouses or distribution centres in at the least one overseas usa. although the enterprise does enterprise in different international locations, its primary consciousness is the home marketplace.

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which statement is characteristic of many novice exporters? novice exporters tend to overestimate the management resources that have to be dedicated to this activity and end up expending too much money on management to make the export business profitable. novice exporters often have a poor understanding of competitive conditions in the foreign market. novice exporters are able to gauge which products are best for customization in the foreign country. novice exporters usually do not have problems securing financing or promoting their product; the problem is usually in the distribution program.

Answers

Novice exporters tend to overestimate the time required to cultivate business in foreign countries.

Business refers to an enterprising entity or organization that incorporates expert sports. They can be business, industrial, or others. For-earnings business entities do commercial enterprises to earn a profit, even as non-income ones do it for a charitable task.

enterprise is the practice of creating one's residing or making money by way of producing or shopping for and selling products. it is also "any hobby or corporation entered into for income. The market cost of the company is calculated because the sum of the marketplace cost of all first-rate securities consists of common shares, favored stocks, and debt. This measure is calculated by using comparing the market price of capital (fairness) with the adjusted price of capital (equity).

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4. Which of the following represents operational CRM? A. Supports traditional transactional processingB. Supports day-to-day front-office operationsC. Supports operations that deal directly with the customersD.All of the above

Answers

All of the above options represents operational CRM (Customer relationship management).

CRM systems gather information from numerous different channels of communication, such as a company's website, phone, email,  marketing materials, and more lately, social media. They help companies understand their target consumers better and how to best meet their demands, keeping customers and boosting sales. CRM can be applied to previous, current, or potential clients. CRM refers to the ideas, practices, and guidelines that a business uses to communicate with its clients. This comprehensive relationship includes all aspects of a company's direct interaction with customers, including activities relating to sales and services, forecasting, and the examination of consumer trends and habits.  The size of the worldwide CRM market is anticipated to reach $69 billion in 2020, according to Gartner.

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paulson company issues 7%, four-year bonds, on january 1 of this year, with a par value of $104,000 and semiannual interest payments. semiannual period-end unamortized discount carrying value (0) january 1, issuance $ 6,813 $ 97,187 (1) june 30, first payment 5,961 98,039 (2) december 31, second payment 5,109 98,891 use the above straight-line bond amortization table and prepare journal entries for the following. (a) the issuance of bonds on january 1. (b) the first interest payment on june 30. (c) the second interest payment on december 31.

Answers

(0) January 1,  issuance            $13,466               $ 186,534

(1) June 30, first payment          11,782                188,218

(2) December 31, second payment 10,098             189,902

In finance, a bond is a type of protection below which the issuer (debtor) owes the holder (creditor) a debt, and is obliged – depending at the phrases – to pay off the essential (i.e. quantity borrowed) of the bond on the maturity date as well as hobby (called the coupon) over a special quantity of time. The hobby is generally payable at constant durations: semiannual, annual, and less often at different periods. as a consequence, a bond is a form of loan or IOU. Bonds offer the borrower with outside price range to finance long-time period investments or, within the case of government bonds, to finance contemporary expenditure.

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