growth-promoting institutional structures include the following, except:

Answers

Answer 1

Growth-promoting institutional structures are those that aim to promote economic development and improve the standard of living.

However, there are a few growth-promoting institutional structures that do not include; here are the details. Institutional structures refer to formal and informal rules and guidelines that regulate social and economic interactions and relations between different parties in society. They help provide order and predictability in social and economic interactions, which is necessary for achieving long-term sustainable development.Growth-promoting institutional structures include the following:Market-oriented policies: Governments and other policy actors must aim to create an enabling environment for businesses to thrive.

Market-oriented policies, such as deregulation, privatization, and trade liberalization, encourage investment and competition, which can lead to increased productivity and innovation.Property rights protection: Protecting property rights helps to encourage investment and entrepreneurship, which can spur economic growth and development. It creates a stable investment environment, which is necessary for long-term economic growth, investment, and innovation.Robust institutions of governance: Strong institutions of governance, including an independent judiciary, free press, and accountable political system, are critical for economic growth and development.

They encourage stability, rule of law, transparency, and accountability in public affairs. The absence of good governance can discourage investment, reduce confidence, and increase the cost of doing business.However, one growth-promoting institutional structure that does not exist is protectionism. Protectionism refers to economic policies that discourage imports and foreign competition. While they may protect domestic industries, they can also discourage competition, reduce innovation, and stifle growth and development.In conclusion, growth-promoting institutional structures include market-oriented policies, property rights protection, and robust institutions of governance. But protectionism is not one of them.

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Related Questions

What role do time zones between continents or countries play in
international marketing?
What role does distance between continents or countries play in
international marketing?
What is an example of

Answers

Time zones play an essential role in international marketing as they determine when the target audience will be awake and accessible.

This can affect the timing of online ads, social media posts, and email marketing campaigns, and ultimately, the success of the business operation. For instance, a company that sells products or services in the United States would have to consider the time difference between the United States and Europe and Asia. To make sure that its online presence is visible to potential customers in Europe and Asia, the company would need to schedule online ads, social media posts, and email marketing campaigns to coincide with the time zone in Europe and Asia. Distance between continents or countries can also significantly impact international marketing. Companies must consider the cost of shipping their products and the amount of time it will take for their products to arrive at their destination. The longer the distance, the more it will cost to ship products and the longer it will take for them to arrive. Shipping delays can also negatively impact the customer experience, which can impact the company's reputation and future sales. For example, a company that sells its products globally, such as Amazon, has to consider the distance between countries and continents to plan for shipping and delivery times. One example of the importance of time zones in international marketing is the 2012 Olympics in London. Companies had to adjust their marketing and advertising strategies to accommodate the time difference between London and other countries to ensure that their ads were seen during prime-time viewing hours. Another example of the importance of distance in international marketing is Apple's global expansion. Apple had to factor in the distance between countries and the cost of shipping its products to each country as it expanded globally.

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what is the brand image that dream dinners has attempted to create and sustain?

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Dream Dinners has created a brand image that emphasizes convenience, family values, healthy eating, and togetherness.

Dream Dinners is a meal-prep company that has established its brand image on several differentiating factors from other meal kit companies. Dream Dinners is a brand that has focused on creating a family-like environment that offers home-style meals to its customers.The brand has successfully created a sense of community through its customer-centric approach, and the company values its customers' interests.

Dream Dinners is more than just a meal kit company; it is a lifestyle, with the company slogan being “Make it easy to gather, eat well and live life.”The company aims to offer a unique service that lets customers have family fun while preparing meals with their loved ones. Dream Dinners' target audience is families that value spending time together and the joys of sharing food.

Dream Dinners strives to offer quality meal prep services that are affordable and accessible to all families across the United States. They have created a unique culture that positions them as a caring and trustworthy brand that has a lot to offer to its clients.

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On September 30, 2021, Athens Software began developing a software program to shield personal computers from malware and spyware. Technological feasibility was established on February 28, 2022, and the program was available for release on April 30, 2022. Development costs were incurred as follows: September 30 through December 31, 2021 $ 2,200,000
January 1 through February 28, 2022 800,000
March 1 through April 30, 2022 400,000

Athens expects a useful life of four years for the software and total revenues of $5,000,000 during that time. During 2022, revenue of $1,000,000 was recognized.

Required:
Prepare a journal entry in each year to record development costs for 2021 and 2022.

Answers

The journal entries to record the development costs for the software program in 2021 and 2022 are as follows:

In 2021:

Debit: Development Costs (asset account) - $2,200,000

Credit: Cash - $2,200,000

In 2022:

Debit: Development Costs (asset account) - $1,200,000

Credit: Cash - $1,200,000

The development costs for the software program are recorded as an asset on the balance sheet until the program is available for release. Once the technological feasibility is established, the costs can be capitalized and recorded as an intangible asset.

In 2021, from September 30 to December 31, Athens Software incurs development costs of $2,200,000. To record this expense, we debit the Development Costs asset account and credit the Cash account for the same amount, indicating the cash outflow.

In 2022, from January 1 to February 28, Athens incurs additional development costs of $800,000, and from March 1 to April 30, incurs $400,000. However, since technological feasibility was established on February 28 and the software was available for release on April 30, only the costs incurred after February 28, totaling $1,200,000, can be capitalized. Similar to the previous entry, we debit the Development Costs asset account and credit the Cash account for $1,200,000.

It's important to note that no revenue is recorded in the journal entries for development costs. Revenue recognition occurs separately and is based on the company's estimates of total revenues from the software program over its useful life.

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"In the Wells Fargo Bank fraudulent account case
According to you, was the issue ethically right or wrong? How
did you arrive this moral judgement?

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In the Wells Fargo Bank fraudulent account case, the issue was ethically wrong. This is because the bank opened unauthorized accounts for customers, which violated ethical standards of transparency, honesty, and integrity. How did I arrive at this moral judgement?

As per the ethical principles, businesses and organizations should uphold the highest levels of honesty, integrity, and transparency in all their transactions and dealings. In the Wells Fargo Bank fraudulent account case, the bank breached this ethical principle when they opened unauthorized accounts for customers, which included signing them up for credit cards and other financial products without their consent.

The bank employees did this to meet aggressive sales targets and to receive bonuses and incentives. However, this approach was not only unethical but also illegal. It resulted in a loss of trust and confidence in the banking system among the customers. Therefore, the issue was ethically wrong.

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Table Manufacturing Company produces one style of tables the following data pertain to producing one table Planned production/month units (one table) SO Piece of woods (M) 19 Estimated M price $20 Actual production Quantity purchased (OP) from M 20 Actual price (AP) $19 Material price variance? $19, Favorable $19, Unfavorable 520, Favorable $20, Unfavorable Question 2017

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Material price variance: Favorable $19, Unfavorable $19, 520 Favorable, $20 Unfavorable. Table Manufacturing Company is a company that produces only one style of tables.

The given data pertain to producing one table: Planned production per month: 1 unit SO piece of woods (M): 19Estimated M price: $20Actual production quantity purchased from M (OP): 20Actual price (AP): $19We need to find the Material price variance: Firstly, we will calculate the Standard Cost = Standard Quantity (SQ) × Standard Price (SP)Standard Quantity (SQ) = 19Standard Price (SP) = $20Standard Cost = SQ × SP= 19 × $20= $380Actual Cost = Actual Quantity (AQ) × Actual Price (AP)Actual Quantity (AQ) = 20Actual Price (AP) = $19Actual Cost = AQ × AP= 20 × $19= $380The formula for Material price variance is as follows:MPV = (SP - AP) x AQWhere, SP is Standard PriceAP is Actual PriceAQ is Actual QuantityMPV = ($20 - $19) x 20= $1 x 20= $20Here, the Actual Cost is equal to the Standard Cost, hence the Material price variance is zero.

Favorable or unfavorable variance is determined by comparing the actual cost to the standard cost. If the actual cost is less than the standard cost, it is a favorable variance, and if it is greater, it is an unfavorable variance. In this case, the Material price variance is zero, which means there is neither favorable nor unfavorable variance.

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FILL THE BLANK. "ISO 26000 guidelines are laid down for___
Quality Management
Occupational Health and Safety
Information Security Management
Corporate Social Responsibility
2-In ''Collaborative Network'' of Interorgan"

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ISO 26000 guidelines are laid down for Corporate Social Responsibility. It does not specifically address Quality Management, Occupational Health and Safety, or Information Security Management.

ISO 26000 is a standard developed by the International Organization for Standardization (ISO) that provides guidance on social responsibility and sustainability. The standard covers a range of issues related to corporate social responsibility, including human rights, labor practices, environmental impact, community involvement, and consumer protection.

ISO 26000 is designed to help organizations of all types and sizes improve their social and environmental performance, and to promote sustainable development.

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A waiting line meeting the M/M/1 assumptions has an arrival rate of 4 per hour and a service rate of 12 per hour. Find:
a. What is the probability that the waiting line is empty?
b. What is the probability that the waiting line is busy?
c. What is the average time a unit spends in the system (in hours)?
d. What is the average time a unit spends waiting (in hours)?
e. How many customers are likely to be in the system at any one time?
f. How many customers are waiting in the que?
Please answer all questions using M/M/1 Model (Waiting Line Model A)

Answers

The number of customers likely to be in the system at any one time (L): The average number.

The probability that the waiting line is empty (P0):

To find the probability that the waiting line is empty, we need to use the formula for the steady-state distribution of the M/M/1 queue. In this case, since the service rate is greater than the arrival rate, the system is stable and the probability of an empty waiting line can be calculated as follows:

P0 = 1 - (λ/μ)

where λ is the arrival rate and μ is the service rate.

In this case, the arrival rate (λ) is 4 per hour and the service rate (μ) is 12 per hour. Plugging these values into the formula:

P0 = 1 - (4/12)

= 1 - 1/3

= 2/3 or 0.667

The probability that the waiting line is empty is 2/3 or 0.667.

The probability that the waiting line is busy (Pb):

The probability that the waiting line is busy can be calculated using the complement of the probability that the waiting line is empty. Therefore:

Pb = 1 - P0

In this case, we already calculated P0 to be 2/3 or 0.667. Plugging this value into the formula:

Pb = 1 - 2/3

= 1/3 or 0.333

The probability that the waiting line is busy is 1/3 or 0.333.

The average time a unit spends in the system (W):

The average time a unit spends in the system can be calculated using Little's Law, which states that the average time spent in the system is equal to the average number of units in the system divided by the arrival rate. Therefore:

W = L / λ

where L is the average number of units in the system and λ is the arrival rate.

In the M/M/1 model, the average number of units in the system (L) can be calculated using the formula:

L = λ / (μ - λ)

Plugging in the values of λ = 4 per hour

and μ = 12 per hour:

L = 4 / (12 - 4)

= 4 / 8

= 0.5

Now, we can calculate the average time a unit spends in the system:

W = L / λ

= 0.5 / 4

= 0.125 hours or 7.5 minutes

The average time a unit spends in the system is 0.125 hours or 7.5 minutes.

The average time a unit spends waiting (Wq):

The average time a unit spends waiting can be calculated by subtracting the average service time from the average time spent in the system. Therefore:

Wq = W - (1 / μ)

where W is the average time spent in the system and μ is the service rate.

We already calculated the average time spent in the system (W) to be 0.125 hours. Plugging in the value of μ = 12 per hour:

Wq = 0.125 - (1 / 12)

= 0.125 - 0.0833

= 0.0417 hours or 2.5 minutes

The average time a unit spends waiting is 0.0417 hours or 2.5 minutes.

The number of customers likely to be in the system at any one time (L): The average number.

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Which of the following statements is TRUE? For a shareholder, dividends received are not taxed. Coupon payments on bonds are a tax deductible expense for the company. Dividends paid to shareholders are a tax deductible expense for the company. All companies must distribute part of their earnings to shareholders through cash dividends.

Answers

The statement that is true among the options provided is: Coupon payments on bonds are a tax deductible expense for the company.

Among the given statements, the only true statement is that coupon payments on bonds are a tax deductible expense for the company. When a company issues bonds, it agrees to pay periodic interest payments, known as coupon payments, to the bondholders. These coupon payments are considered an expense for the company and are tax deductible. This means that the company can reduce its taxable income by deducting the coupon payments from its revenue, resulting in a lower tax liability.

On the other hand, the other statements are not accurate. For a shareholder, dividends received are generally subject to taxation. Dividends are typically taxed as income for the shareholder, although the specific tax treatment may vary depending on the jurisdiction and the individual's tax situation.

Additionally, dividends paid to shareholders are not tax deductible expenses for the company. Unlike interest payments on bonds, which are deductible, dividends are not considered a business expense and cannot be deducted from the company's taxable income. Instead, dividends are typically paid out of the company's after-tax profits.

Lastly, while some companies choose to distribute a portion of their earnings to shareholders through cash dividends, it is not a requirement for all companies. Companies have the discretion to determine whether to distribute dividends and the amount to be distributed. The decision to pay dividends depends on various factors, including the company's financial position, profitability, growth opportunities, and the preferences of the management and shareholders.

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Question 3[5 marks]: Consider the given slicing structure matrix: 0 1 10 0 0 0 0 1 3 0 1 0 1 0 1 2 574 1 1 1 1 1 6 8 0 1 1 a) [2 points) Draw the slicing structure tree diagram for the given slicing structure matrix. b) [2 points] Draw the layout for the given slicing structure matrix. c) [1 point] Construct an alternative slicing structure matrix. (neighborhood)

Answers

a) Slicing Structure Tree Diagram:

The slicing structure tree diagram represents the hierarchy of the slicing structure matrix. Each row in the matrix represents a level in the hierarchy, and the numbers in each row indicate the connections between the slices.

Here is the slicing structure tree diagram based on the given matrix:

       Level 1       Level 2     Level 3    Level 4

          0             1           10

          |             |

          0             1

          |

          1

          |

          0

          |

          0

          |

          0

          |

          1

          |

          3

          |

          0

          |

          1

          |

          2

          |

         574

          |

     1    1    1    1    1

      \   |   |   |   |   /

       6  8   0   1   1

                      |

                      0

                      |

                      1

b) Layout:

The layout represents the physical arrangement of slices based on the slicing structure matrix. Each number in the matrix represents a separate slice, and the connections between the slices determine their arrangement.

Here is the layout based on the given slicing structure matrix:

         Slice 1           Slice 2         Slice 3

         +-----+           +-----+         +-----+

         |     |           |     |         |     |

         |  10 |           |  1  |         |  1  |

         |     |           |     |         |     |

         +-----+           +-----+         +-----+

            |                 |

         +-----+           +-----+

         |     |           |     |

         |  1  |           |  3  |

         |     |           |     |

         +-----+           +-----+

            |

         +-----+

         |     |

         |  2  |

         |     |

         +-----+

            |

         +-----+

         |     |

         | 574 |

         |     |

         +-----+

            |

         +-----+-----+-----+-----+-----+

         |     |     |     |     |     |

         |  1  |  1  |  1  |  1  |  1  |

         |     |     |     |     |     |

         +-----+-----+-----+-----+-----+

            |     |     |     |

            6     8     0     1

                            |

                            1

                            |

                            0

                            |

                            1

c) Alternative Slicing Structure Matrix (Neighborhood):

Constructing an alternative slicing structure matrix (neighborhood) requires specific guidelines or criteria to determine the connections between slices. Without additional information or guidelines, it is not possible to construct a specific alternative slicing structure matrix based on the given matrix.

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Assume that bank XYZ enters into a credit default swap transaction with bank LMN to hedge its debt exposure with firm C. Bank LMN would fully compensate bank XYZ if firm C defaults in exchange for a premium. Assume that the defaults of bank XYZ, LMN and firm C are independent and that their default probabilities are 0.2%, 0.3% and 3.85% respectively. Estimate the probability that bank XYZ will suffer a credit loss in its exposure to firm C.

Answers

The estimated probability that bank xyz will suffer a credit loss in its exposure to firm c is approximately 0.

to estimate the probability that bank xyz will suffer a credit loss in its exposure to firm c, we can calculate the probability of both firm c defaulting and bank xyz defaulting. given that the defaults of bank xyz, lmn, and firm c are independent, we can multiply their respective default probabilities.

the probability of firm c defaulting is 3.85% or 0.0385 (as a decimal).

the probability of bank xyz defaulting is 0.2% or 0.002 (as a decimal).

to calculate the probability of both events occurring, we multiply their probabilities:

probability of bank xyz credit loss = probability of firm c defaulting * probability of bank xyz defaulting

                                  = 0.0385 * 0.002

                                  = 0.000077 0077% or 0.000077 (as a decimal).

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Examine the Four (4) strategies that may be used to deter entry of potential entrant firms to compete off the supernormal profit a monopolist enjoy (Give appropriate examples)

Answers

Monopolists can use various strategies to deter potential entrants from competing for their supernormal profits.

Legal barriers: Monopolists may use legal mechanisms to restrict entry, such as obtaining patents or exclusive licenses. For example, pharmaceutical companies often secure patents for their innovative drugs, preventing competitors from producing identical products and enjoying temporary monopoly power.

Economies of scale: Monopolists can leverage economies of scale to deter entry. By operating at a large scale and producing goods or services at a lower cost, they create cost advantages that new entrants may find difficult to match.

Product differentiation: Monopolists can differentiate their products or services from potential competitors, making it challenging for new firms to attract customers. Brand loyalty, unique features, or customer loyalty programs are examples of product differentiation strategies.

Strategic pricing: Monopolists may employ aggressive pricing strategies to deter potential entrants. They may temporarily lower prices below cost, engage in predatory pricing, or offer exclusive contracts to key customers.

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what formula for determining the gross rent multiplier
a sale price minus the annual rent
b annual rent divided by the monthly rent
c sale price divided by monthly rent
d sale price divided by annual

Answers

The formula for determining the gross rent multiplier (GRM) is option c, which is the sale price divided by the monthly rent.

The GRM is a ratio that helps real estate investors determine the value of a property based on its rental income. To calculate the GRM, you take the sale price of the property and divide it by the monthly rental income. For example, if a property sells for $500,000 and brings in $5,000 per month in rent, the GRM would be 100 ($500,000 ÷ $5,000). The lower the GRM, the better the investment opportunity, as it means the property generates more rental income compared to its sale price. The GRM can vary depending on location, property type, and other factors, so it's important to research and compare GRMs when evaluating real estate investment opportunities.

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The Shasta College HELO program teaches students how to operate heavy machinery while out in the woods. The program operates on Sierra Pacific land, and produces revenue by delivering processed logs to SP. When trees get cut down (processed), they are delivered to Sierra Pacific in exchange for payment. Since this logging operation is not a manufacturing operation, the depreciation expense incurred on the heavy equipment is considered to be a period cost, not a product cost. In one to three paragraphs, answer the following questions: * Will the depreciation expense, in this case, show up on the Selling and Administrative Expense budget, or the Manufacturing Overhead budget? Explain. * is depreciation a cash expenditure? Explain. * Explain the difference between a product cost and a period cost. * Can depreciation ever be considered part of product cost (as part of Manufacturing Overhead)? Give an example.

Answers

In this case, the depreciation expense for the heavy equipment used in the HELO program would show up on the Selling and Administrative Expense budget.

This is because the logging operation is not considered a manufacturing operation, and therefore the depreciation expense is classified as a period cost. Manufacturing overhead costs are typically associated with the production of goods and include things like indirect labor, materials, and factory utilities.

Depreciation is not a cash expenditure. Instead, it represents the allocation of the cost of a long-term asset over its useful life. Even though no actual cash is being spent on depreciation, it is still an important expense to consider when calculating net income and cash flows.

The difference between a product cost and a period cost is that product costs are associated with the production of goods or services and are included in the cost of goods sold. These costs can be directly traced to the products being produced and include things like direct materials, direct labor, and manufacturing overhead. Period costs, on the other hand, are not directly tied to the production process and are expensed during the period in which they are incurred. Examples of period costs include selling and administrative expenses like marketing and salaries.

While depreciation is typically considered a period cost, it can be considered part of the product cost if it is included in the Manufacturing Overhead budget. For example, if a company produces custom-made machinery and includes the cost of depreciation on that machinery as part of its manufacturing overhead costs, then the depreciation expense would be considered part of the product cost.

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13) Which of the following is an example of a normative statement? A) Car prices should be affordable. B) Fewer people die in larger cars than in smaller cars. C) Cars emit pollution. D) If cars becom

Answers

Car prices should be affordable is an example of a normative statement.

Correct option is a.

A normative statement expresses a value judgment or opinion about how things should be. Option A) "Car prices should be affordable" falls under this category as it presents a subjective view on what the price of cars should be. The statement implies that affordability is desirable or preferable, but it does not provide any factual information or objective evidence.

Normative statements differ from positive statements, which describe how things are or make objective claims about the world. Options B) "Fewer people die in larger cars than in smaller cars" and C) "Cars emit pollution" are both positive statements. They present factual information that can be objectively evaluated and tested.

Option D) "If cars become more expensive, people will buy fewer of them" is a positive statement as it predicts a cause-and-effect relationship between the price of cars and consumer behavior. It does not express a subjective value judgment or opinion about how things should be.

In summary, option A) "Car prices should be affordable" is an example of a normative statement because it expresses a subjective value judgment without providing factual evidence.

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Do parts a, and b ( 10 points each) a. Identify the four types of market structures. What are the characteristics of the four types of market structure b. Draw the short-run ATC, AVC, MC, MR and Demand graphs for a perfectly competitive market experiencing a profit. In each part, show Total Cost (TC), Total Revenue (TR), shade the profit. Clearly label Q for the equilibrium quantity point and P for market price point.

Answers

a. The four types of market structures are perfect competition, monopoly, oligopoly, and monopolistic competition, each with unique characteristics.

b. In a perfectly competitive market experiencing profit, the short-run ATC, AVC, MC, MR, and demand graphs intersect at equilibrium quantity (Q) and market price (P) points, with profit represented by the area above the equilibrium quantity and between the ATC and AVC curves.

a. The four types of market structures are:

1. Perfect competition: In this market structure, there are many buyers and sellers, homogeneous products, perfect information, ease of entry and exit, and no individual firm has control over the market price.

2. Monopoly: In a monopoly, there is a single seller or producer dominating the market, and there are no close substitutes for the product. The monopolist has significant control over the market price and can restrict entry into the market.

3. Oligopoly: Oligopoly is characterized by a small number of large firms dominating the market. These firms have interdependent decision-making and may engage in collusion or non-collusive strategies. Products can be differentiated or homogeneous.

4. Monopolistic competition: This market structure features a large number of sellers producing differentiated products. There is some degree of control over the market price, and firms engage in non-price competition, such as advertising or product differentiation.

b. In a perfectly competitive market experiencing profit, the short-run average total cost (ATC), average variable cost (AVC), and marginal cost (MC) curves will intersect at their respective points. The demand curve will intersect with the marginal revenue (MR) curve at the equilibrium quantity (Q) and market price (P) points. The profit will be represented by the area between the average total cost and average variable cost curves, above the equilibrium quantity.

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The Stockholders' Equity accounts of Nardo Corporation at January 1, 2019 appear below: Common Stock, $5 par value, 150,000 shares authorized: 33,500 shares issued and outstanding $167,500 Paid in Capital in excess of par value - Common Stock Retained Earnings During the year, the following transactions occurred: d. Sold 30% of the treasury shares acquired for $15.50 per share. Prepare the journal entry for d. 139,200 186,520

Answers

Cash (30% x 33,500 shares x $15.50) $15,525, Treasury Stock (30% x 33,500 shares) $5,025, Paid-in Capital in Excess of Par Value - Common Stock $10,500

The "Cash" account is debited for the amount received from the sale of treasury shares, which is calculated as 30% of 33,500 shares multiplied by $15.50 per share. This represents the cash inflow from the transaction.

The "Treasury Stock" account is credited for the cost of the treasury shares sold, calculated as 30% of the 33,500 shares. This reduces the balance of treasury shares held by the company.

The "Paid-in Capital in Excess of Par Value - Common Stock" account is credited for the excess amount received over the par value of the shares sold, which is calculated as the difference between the cash received and the cost of treasury shares sold.

Please note that the journal entry assumes that the treasury shares were acquired at a different cost than the selling price and that the par value of the common stock is not relevant to this specific transaction. Adjustments may be needed if there are additional details or specific requirements provided for this scenario.

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1.Secondary reserves are held by banks in excess of those mandated by reserve requirements. These reserves are held in the form of assets that can be quickly and easily converted to cash and they are used to meet unanticipated withdrawal of funds by depositors. (T/F)
2.Typically, the largest portion of bank profits stems from fees for services provided to business and household customers and profits from foreign exchange trading.(T/F)
3.In 2008 the Federal Reserve began paying interest on the reserve accounts held by depository institutions (banks) at the Federal Reserve.(T/F)
4.Concerning check processing and collection, the Federal Reserve handles all of the checks processed and cleared in the United States. (T/F)

Answers

No, secondary reserves are not held in the form of easily convertible assets to meet unanticipated withdrawal of funds by depositors.

Are secondary reserves held by banks in the form of easily convertible assets to meet unanticipated withdrawal of funds by depositors?

1. False. Secondary reserves are not held in the form of assets that can be quickly and easily converted to cash. They are typically invested in longer-term, income-generating assets such as government securities or loans.

2. False. While fees for services provided and profits from foreign exchange trading can contribute to bank profits, the largest portion of bank profits often comes from interest income earned on loans and investments.

3. True. In 2008, the Federal Reserve implemented a policy of paying interest on the reserve accounts held by depository institutions, which was a response to the financial crisis and aimed at providing additional liquidity to the banking system.

4. False. The Federal Reserve does not handle all checks processed and cleared in the United States. Check processing and collection are mostly handled by private sector clearinghouses and banks, with the Federal Reserve playing a supporting role through its check processing services, such as check image exchange and settlement.

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gasoline prices rose globally and in the united states in 2008. describe and illustrate the impact on the market for compact fuel-efficient cars, such as the toyota prius.

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Gasoline prices in the United States and globally rose in 2008, which had an impact on the market for compact fuel-efficient cars such as the Toyota Prius.

The increase in gasoline prices made fuel-efficient vehicles, especially hybrids, a popular choice for consumers.

For instance, the price of gasoline went above $4 per gallon in some areas of the country, a figure that consumers found quite expensive.

As a result, the market for fuel-efficient vehicles such as the Toyota Prius and Honda Civic Hybrid boomed during the period.

The high prices of gasoline led to an increase in the demand for compact and subcompact cars with high fuel efficiency ratings, and the market for such vehicles has continued to grow ever since.

This trend, however, was not unique to the United States alone; global demand for fuel-efficient vehicles increased considerably as a result of the high gasoline prices in 2008.

The rise in demand for hybrid vehicles led to increased production, and as a result, the prices of these vehicles fell considerably.

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Unions can be perceived as being economically harmful when they
strike infrequently
successfully negotiate higher wages
support modernization and new technology
none of the above

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Unions cannot be perceived as economically harmful when they strike infrequently, successfully negotiate higher wages, or support modernization and new technology.

Unions play a vital role in advocating for workers' rights and improving their working conditions. When unions strike infrequently, it means that labor disputes and disruptions are minimized, resulting in a more stable business environment. This stability allows for consistent productivity and uninterrupted operations, which can positively impact economic growth.

Successful negotiations by unions to secure higher wages can also have positive economic effects. When workers earn higher wages, they have more disposable income to spend, which can stimulate consumer demand and boost economic activity. Increased consumer spending can lead to higher sales for businesses, job creation, and overall economic growth.

Additionally, unions that support modernization and new technology contribute to economic progress. Embracing advancements in technology can enhance productivity, efficiency, and competitiveness. By working collaboratively with employers to implement new technologies, unions can help businesses adapt to changing market demands, improve operational processes, and ultimately drive economic growth.

Therefore, it is incorrect to perceive unions as economically harmful when they strike infrequently, negotiate higher wages successfully, or support modernization and new technology. These actions can have positive impacts on both workers and the broader economy by promoting stability, improving purchasing power, and facilitating progress.

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An unregulated paint factory that pollutes a river results in ________ and ______

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An unregulated paint factory that pollutes a river results in environmental degradation and negative impacts on public health.

Environmental degradation: The pollution caused by the paint factory can have severe consequences for the river ecosystem. The release of pollutants, such as chemicals and toxic substances, into the water can harm aquatic life, destroy habitats, and disrupt the natural balance of the ecosystem. It can lead to the decline or extinction of various species, including fish, plants, and other organisms that rely on the river for survival.

Negative impacts on public health: The pollutants discharged by the paint factory can contaminate the water supply and pose risks to public health. People who depend on the river as a source of drinking water or for recreational activities may be exposed to harmful substances. These pollutants can enter the food chain through the consumption of contaminated fish or crops irrigated with polluted water, potentially causing various health issues, including poisoning, respiratory problems, skin diseases, and long-term health effects.

It is important to regulate and monitor industrial activities to prevent such pollution and protect both the environment and public health.

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Which of the following is not a "supply option" for sales & operations planning? A. Having workers work overtime. B. Subcontracting. C. Using part-time workers. D. Adjusting pricing.

Answers

The answer is D. Adjusting pricing is not a supply option for sales and operations planning

This is because pricing is not directly related to the supply of goods or services. Pricing is determined by a variety of factors, including the cost of production, competition, and customer demand. While adjusting pricing may have an impact on demand and supply, it is not a direct supply option.

In contrast, options A, B, and C are all supply options for sales and operations planning. Having workers work overtime can increase the supply of goods and services in the short term, while subcontracting and using part-time workers can provide additional capacity and flexibility to meet changing demand patterns.

Sales and operations planning (S&OP) is a continuous, cross-functional process that allows companies to align their supply chain activities with their overall business objectives. The goal of S&OP is to balance supply and demand, ensuring that the company has sufficient inventory to meet customer demand while avoiding overproduction and excess inventory. One of the key elements of S&OP is supply planning, which involves determining how much inventory is needed to meet customer demand.

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Build a three-step CRR stock price tree using the following information: • maturity: 3 months, i.e. each step is one month annual volatility of the stock: 0.35 annual, continuously compounded risk-free rate: 1% stock price today: 50 Note: it is most efficient to extend one of the spreadsheets discussed in the seminar. (a) What is the risk-neutral probability in the tree? Explain why the risk-neutral probability and not the real probability is used for option pricing. [5 marks] (b) Calculate the price of an American put option with strike K = 50. [10 marks]

Answers

The three-step Cox-Ross-Rubinstein (CRR) stock price tree can be constructed using the provided information. Each step in the tree represents one month, and the maturity is 3 months. The annual volatility of the stock is 0.35, and the continuously compounded risk-free rate is 1%. The current stock price is 50.

(a) To calculate the risk-neutral probability in the tree, we can use the following formula:
   u = e^(σ√(Δt)), where σ is the annual volatility, Δt is the time step length (in years), and e is the exponential function.
   d = 1/u
   p = (e^(rΔt) - d) / (u - d), where r is the risk-free rate.
   
   Plugging in the given values, we find that u = e^(0.35√(1/12)) ≈ 1.0308, d = 1/u ≈ 0.9706, and p = (e^(0.01*(1/12)) - 0.9706) / (1.0308 - 0.9706) ≈ 0.5019.

   The risk-neutral probability, p, is used for option pricing instead of the real probability because it allows us to value options based on an assumption that the market is risk-neutral. This assumption simplifies the pricing process and makes it consistent with the principle of no arbitrage. Under the risk-neutral probability, the expected return on the option is equal to the risk-free rate. Therefore, by discounting the expected future payoffs at the risk-free rate, we can determine the fair price of the option.

(b) To calculate the price of an American put option with a strike price (K) of 50, we need to traverse the CRR tree and determine the option values at each node. At each node, we compare the intrinsic value of the put option (K - stock price) with the expected future discounted value of the option. If the intrinsic value is higher, we choose to exercise the option; otherwise, we consider the expected discounted value.

Starting at the final nodes of the tree (time step 3), the intrinsic value of the put option is max(50 - stock price, 0) at each node. Moving backward in the tree, we calculate the expected discounted value of the option at each node using the risk-neutral probability.

By applying this process, we can calculate the option price at the initial node (time step 0), which represents the fair price of the American put option.

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Your mortgage has 24 years​ left, and has an APR of 7.945%
​(with semiannual​ compounding) with monthly payments of
$1,500.
a. What is the outstanding​ balance? b. Suppose you cannot mak

Answers

the outstanding balance after 10 years would be $677,381.31.

Given data:Principal = $1500

Time period = 24 years

APR = 7.945%

Compounding period = semiannually

Compoundings per year = 2

Payment per year = 12

Let's solve each part of the question:

a) What is the outstanding balance?

The formula for calculating the outstanding balance is given by:

PV = P*[1 - (1 + r/ n)^-nt ] / (r / n)where

PV = Present Value or outstanding balance

P = Paymentr = rate of interest

n = compoundings per year of the rate of interest

t = time periodHere, P = $1,500, r = 7.945%, n = 2, t = 24 years = 24 * 12 = 288 months

So, putting the values in the formula:

PV = $1500 * [1 - (1 + 0.07945 / 2)^-288/2] / (0.07945 / 2) = $204,046.94

Therefore, the outstanding balance is $204,046.94

.b) Suppose you cannot make payments anymore.

After 10 years, what will be the balance?

Since the payments have stopped, the remaining amount will keep accumulating the interest and will become the outstanding balance.

Using the formula of compound interest:FV = PV * (1 + r/ n)^(nt)

where FV = Future Value or outstanding balance

PV = Present Value

r = rate of interest

n = compoundings per year of the rate of interest

t = time period

Here, PV = $204,046.94, r = 7.945%, n = 2, t = 10 years = 10 * 2 = 20 periods

So, putting the values in the formula:FV = $204,046.94 * (1 + 0.07945 / 2)^(20) = $677,381.31

Therefore, the outstanding balance after 10 years would be $677,381.31.

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a. The outstanding balance on the mortgage is $216,312.02.

b. The lender can foreclose the property and may sell it to recover the outstanding amount.

Given,

APR = 7.945%,

Compounding Semi-annually,

Monthly payments = $1500

The formula to calculate the outstanding balance is given by,

PV = C * [(1 - (1 + r/n)^(-nt)) / (r/n)]

Where,

PV = Present Value

C = Payment amount

r = annual interest rate,

n = number of times the interest compounds per year,

t = time in years

a) Calculation of outstanding balance:

The time period is 24 years.

Since the compounding is semi-annually, the interest rate per period would be (7.945/2)% = 0.039725%

r = 0.07945/2

= 0.039725

n = 2t

= 24

b) If the borrower cannot make payments and misses 4 consecutive payments, then the loan will be considered as defaulted.

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Carla Vista Corp. is a manufacturer of truck trailers. On January 1, 2021, Carla Vista Corp. leases 9 trailers to Metlock Company under a 7-year noncancelable lease agreement. The following information about the lease and the trailers is provided:
1. Equal annual payments that are due on January 1 each year provide Carla Vista Corp. with an 11% return on net investment.
2. Titles to the trailers pass to Metlock at the end of the lease.
3. The fair value of each trailer is $50,200. The cost of each trailer to Carla Vista Corp. is $47,700. Each trailer has an expected useful life of nine years.
4. Collectibility of the lease payments is probable.
Calculate the annual lease payment

Answers

To calculate the annual lease payment, we need to determine the amount that provides Carla Vista Corp. with an 11% return on net investment. The net investment is the cost of each trailer to Carla Vista Corp., which is $47,700.

Using the formula for the present value of an ordinary annuity, we can find the annual lease payment:Annual Lease Payment = Net Investment * Return on Net Investment Present Value Annuity FactorThe return on net investment is 11%, which can be expressed as 0.11. The present value annuity factor can be calculated using the lease term, which is 7 years, and the appropriate interest rate.Assuming the interest rate is constant and equal to the return on net investment, we can use a financial calculator or Excel's PV function to find the present value annuity factor for a 7-year period at an 11% interest rate.By multiplying the net investment by the return on net investment present value annuity factor, we can determine the annual lease payment.Annual Lease Payment = $47,700 * Return on Net Investment Present Value Annuity FactorThe specific value of the annual lease payment depends on the calculation of the present value annuity factor using the given interest rate and lease term.

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What's More Activity 1. Determine the Sampling Procedure Directions: Identify the sampling procedure used in each given situation. Write your answer on the space provided and then explain your choice.

Answers

Situation 1: A marketing research team is conducting a survey to determine the popularity of a new soft drink. They randomly select households from a list of registered voters and conduct telephone interviews with one person from each household.

Sampling procedure: Random Sampling.

Explanation: The marketing research team randomly selected households from a list of registered voters, which is a characteristic of random sampling. The use of telephone interviews with only one person from each household further ensures that the sample is randomly selected.

The sampling procedure used in Situation 1 is random sampling. The marketing research team randomly selected households from a list of registered voters, which is a characteristic of random sampling. The use of telephone interviews with only one person from each household further ensures that the sample is randomly selected. Random sampling is a statistical method that involves the random selection of participants from a larger population. It is considered the most representative method of sampling, as it provides an equal chance of selection to each participant. The use of random sampling in this situation ensures that the survey results are unbiased and accurately reflect the opinions of the population.

The marketing research team used the random sampling procedure in Situation 1 to ensure that the survey results are unbiased and accurately represent the opinions of the population. Random sampling is considered the most representative method of sampling, as it provides an equal chance of selection to each participant. The use of this sampling procedure in this situation ensures that the survey results are reliable and valid.

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If the loanable funds market is in equilibrium, then we know that savings equals consumption. investment equals consumption. investment equals savings. real interest rate equals nominal interest rate. O government spending equals tax revenue.

Answers

If the loanable funds market is in equilibrium, then we know that investment equals savings. Hence, the correct option among the provided alternatives is "investment equals savings."In economics, the loanable funds market is a hypothetical market that shows how the supply and demand for loans (also known as credit) interact to establish the interest rate and the amount of borrowing that takes place.

The supply of loanable funds comes from people's savings, and the demand for loanable funds comes from people and businesses who want to borrow money to invest in capital projects. In equilibrium, the supply of loanable funds equals the demand for loanable funds.When the loanable funds market is in equilibrium, it indicates that the economy's resources are being used effectively. An equilibrium interest rate is the market-clearing rate, which balances the supply and demand for loanable funds. Therefore, the equilibrium interest rate balances the supply and demand for loanable funds.

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Amanda Corporation has issued 500,000 shares of K2 par value ordinary s authorized 600.000 shares. The paid-in capital in excess of par on the common stock 000. The corporation has reacquired 20,000 shares at a cost of K50, 000 and is currentl those shares. Treasury stock was reissued in prior years for K82, 000 more than its corporation also has 5,000 shares issued and outstanding of 8%, K90 par value prefer It authorized 10,000 shares. The paid-in capital in excess of par on the preferred ste 000. Retained earnings is K710, 000. Required Prepare the stockholders' equity section of the balance sheet.

Answers

The stockholders' equity section of Amanda Corporation's balance sheet would include the following components: Common Stock (500,000 shares), Paid-in Capital in Excess of Par on Common Stock, Treasury Stock (-20,000 shares), Paid-in Capital from Treasury Stock, Preferred Stock (5,000 shares), Paid-in Capital in Excess of Par on Preferred Stock, Retained Earnings.

The stockholders' equity section of Amanda Corporation's balance sheet can be prepared based on the given information. Here are the components that would be included:

1. Common Stock: This represents the number of shares issued by the corporation, which is 500,000 shares in this case. The par value of each share is not specified in the question.

2. Paid-in Capital in Excess of Par on Common Stock: This account reflects the amount of capital contributed by shareholders above the par value of the common stock. The question does not provide the specific amount for this account.

3. Treasury Stock: The corporation has reacquired 20,000 shares of its own common stock. Since treasury stock is treated as a contra equity account, it would be subtracted from the common stock account. The cost of reacquiring these shares is $50,000.

4. Paid-in Capital from Treasury Stock: This account represents the amount of capital that was originally received when the treasury stock was issued. In this case, the question mentions that treasury stock was reissued in prior years for $82,000 more than its cost. Therefore, this account would reflect that additional capital.

5. Preferred Stock: The corporation has 5,000 shares of preferred stock issued and outstanding. The par value of each preferred share is not provided, but the question states that the authorized shares are 10,000.

6. Paid-in Capital in Excess of Par on Preferred Stock: Similar to the common stock, this account represents the amount of capital contributed by shareholders above the par value of the preferred stock. The specific amount is not given.

7. Retained Earnings: The retained earnings account represents the accumulated profits or losses of the corporation over time. In this case, the retained earnings balance is $710,000.

These components would be presented in the stockholders' equity section of Amanda Corporation's balance sheet, along with their respective amounts, which are not provided in the question.

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The statement of financial position for the partnership of AA, BB and CC who share profits in the ratio of 2:1:1, shows the following balances just before the liquidation: Cash P12,000 Other assets 59,500 Liabilities 49,000 AA, capital 22,000 BB, capital 15,500 CC, capital (15,000) On the first instalment of the liquidation, a gain of P8,525 was realized from the sale of certain assets. Liquidation expenses of P1,000 was paid, and additional liquidation expenses are anticipated. Liabilities paid amounted to P34,000. Remaining book value of other assets is P1,550. On the first payment to partners, AA receives P6,250. How much is the amount of cash withheld for anticipated liquidation expenses and unpaid liabilities?
Group of answer choices
P1,550
P2,550
P27,650
P29,200

Answers

So, the amount of cash withheld for anticipated liquidation expenses and unpaid liabilities is P2,550.  

The amount of cash withheld for anticipated liquidation expenses and unpaid liabilities is P2,550.

The gain from the sale of assets was P8,525.

The first payment to partners was P6,250.

The remaining book value of other assets is P1,550.

The total liabilities paid was P34,000.

Therefore, the amount of cash withheld for anticipated liquidation expenses and unpaid liabilities can be calculated as follows:

Liquidation expenses to be paid = Total liabilities paid - Remaining book value of other assets

= P34,000 - P1,550

= P32,450

Amount of cash withheld for anticipated liquidation expenses and unpaid liabilities = Liquidation expenses to be paid x (1 - AA's share of profit)

= P32,450 x (1 - 2/3)

= P27,650

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If there is a poor fit between its resources and the external
environment, then the firm will not enjoy superior performance.
True OR False

Answers

True. A poor fit between a firm's resources and the external environment can significantly impact its performance.

The external environment consists of various factors such as market conditions, customer preferences, technological advancements, competitive landscape, and regulatory environment. A firm's resources, including its financial, human, and physical assets, as well as its intangible capabilities, such as its knowledge, skills, and organizational culture, shape its ability to effectively respond and adapt to these external factors.

A poor fit between the firm's resources and the external environment can lead to several challenges. The firm may struggle to meet customer needs and expectations, face increased competition, encounter difficulties in adopting new technologies or adapting to market changes, and experience inefficiencies in its operations.

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An automobile-manufacturing company is considering purchasing an industrial robot to do spot welding, which is currently done by skilled labour. The initial cost of the robot is $ 246,431 , and the annual labour savings are projected to be $ 110,471 . The robot is a Class 43 property with a CCA rate of 30%. The robot will be used for seven years, at the end of which the firm expects to sell it for $ 14,914. The company's marginal tax rate is 35% and the after-tax MARR is 10%. Calculate the annual worth of this investment. (Note: Don't use the $ sign in your answer and round it to 2 decimal places)

Answers

Initial cost of the robot (P) = $ 246,431 Annual labor savings (A) = $ 110,471Useful life (n) = 7 years Salvage value (S) = $ 14,914CCA rate (i) = 30%Tax rate (t) = 35%After-tax MARR (r) = 10%

To calculate the annual worth of this investment, we need to use the Annual Worth (A.W.) method. Annual worth (A.W.) can be defined as the capitalized equivalent of a series of cash flows that occur at uniform intervals over the lifetime of an asset.

It can be computed as follows:

Annual worth = Capital Recovery + Interest Capital Recovery is the amount needed each year to recover the investment cost over the useful life of the asset, while Interest is the opportunity cost of the capital invested, which must be compensated.

The formula for Annual worth is given as follows:

$A.W.=\frac{P(A/P, i,n)+(S)(A/F, I,n)}{(A/P, i,n)+(A/F, I,n)}$$

Here, the above formula is used to calculate the annual worth of the investment.

Substitute the given values in the formula and solve for A.W.$$A.W.=\frac{246431(0.10716)+14914(0.04190)}{0.10716+0.04190}$$A.W. = $ 38,580.15

Therefore, the annual worth of the investment is $ 38,580.15.

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