In the week before the terrorist attacks of Sept. 11, 2001, the Federal Reserve lent about $34 million to banks. On September 12, 2001, it lent $45.5 billion to banks. This highlights the importance of the Fed's role in boosting:

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Answer 1

The Fed's actions in the aftermath of the 9/11 attacks highlight the importance of its role in supporting the economy during times of crisis. Its actions helped prevent a financial panic, stabilize the financial system, and support economic growth and job creation.

The Federal Reserve's role in boosting the economy cannot be overstated, especially during times of crisis. In the aftermath of the September 11 attacks, the Fed played a critical role in providing liquidity to the financial system to prevent a collapse.

By injecting massive amounts of liquidity into the banking system through its lending operations, the Fed helped stabilize the financial markets and prevent a financial panic. The Fed's actions also helped restore confidence in the economy, which was crucial in preventing a recession.

Moreover, the Fed's actions during times of crisis demonstrate its commitment to maintaining stable prices and full employment, which are its dual mandates. By providing liquidity and supporting the banking system, the Fed helps ensure that businesses have access to credit, which in turn supports economic growth and job creation.

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Related Questions

Which definition best describes a boom and bust cycle?.

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A boom and bust cycle is an economic pattern characterized by periods of rapid economic growth (boom) followed by periods of economic contraction or decline (bust).

A boom and bust cycle is an economic pattern characterized by a long period of economic growth and expansion (boom), followed by a sudden and severe contraction or decline (bust).

This can lead to bankruptcies, job losses, and a decline in economic activity. It is important to note that a boom and bust cycle is not unique to any particular country or time period, and can occur in any industry or market.

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in relation to expatriate compensation, what is the difference between the going rate approach and the balance sheet approach?

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The going rate approach and the balance sheet approach are two different methods used in determining expatriate compensation.

The going rate approach involves paying the expatriate the same salary and benefits that are offered to local employees in the host country.

This approach is often used for short-term assignments and is useful for companies that want to avoid high compensation costs for expatriates.
On the other hand, the balance sheet approach takes into account the expatriate's home country's compensation package and adjusts it for differences in cost of living, taxes, and other expenses in the host country.

This approach aims to ensure that the expatriate is not financially worse off or better off than they would be if they had stayed in their home country.

This approach is often used for long-term assignments and is useful for companies that want to attract and retain highly skilled employees for international positions.

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in the above table, if the marginal revenue product is $22, how many workers will the profit maximizing monopsonist hire and what wage will they pay each worker? group of answer choices 4; $16 4; $22 5; $18 3; $14

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The most likely answer is the profit-maximizing monopsonist will hire 4 workers and pay each worker $16 .

To determine the profit maximizing level of employment and wage rate, we need to look at the relationship between the marginal revenue product (MRP) and the marginal cost (MC) of labor.
The MRP is the additional revenue generated by hiring one additional worker, while the MC is the additional cost of hiring one additional worker.

Using the information given in the question, if the MRP of labor is $22, the profit maximizing level of employment and wage rate can be calculated as follows: First, we need to determine the MC of labor. In the table provided, the total cost of hiring each additional worker is given in the "Total Cost" column. The MC is the additional cost of hiring one additional worker, which can be calculated by taking the difference in total cost between two consecutive levels of employment.
Using the information in the table, the MC of labor can be calculated as follows:
MC of labor between 3 and 4 workers = $72 - $58 = $14
MC of labor between 4 and 5 workers = $90 - $72 = $18
Next, we need to compare the MRP of labor to the MC of labor to determine the profit maximizing level of employment and wage rate.

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based on the preceding information, your calculations, and your assumptions, which of the following statements can be included in your analysis report? check all that apply

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Based on the preceding information, calculations, and assumptions, the following statements can be included in the analysis report:

1. The sales for the quarter have increased by 15% compared to the previous quarter.
2. The expenses have also increased by 8% due to the additional marketing campaigns.
3. The net profit for the quarter has increased by 10% compared to the previous quarter.
4. The company's current market share has increased by 2% due to the successful product launch.
5. At 90%, the consumer satisfaction rate has not changed.
6. The company's cash flow has improved by 5% due to efficient inventory management.

It is important to note that these statements should be supported by the data and calculations presented in the analysis report.

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what is the name of the model where firms operating in an oligopolistic market match only price decreases of other firms in the industry?multiple choice question.law of demand modelcircular flow modelkinked demand modelprice elasticity of demand model

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The correct option is C, The name of the model where firms operating in an oligopolistic market match only price decreases of other firms in the industry is the kinked demand model.

An oligopolistic market is a market structure characterized by a small number of firms that dominate the industry. In an oligopoly, each firm has significant market power, meaning they can influence the market price by adjusting their output levels. As a result, competition in an oligopolistic market is limited and firms tend to engage in strategic behavior such as price collusion or non-price competition to maintain their market position.

The barriers to entry in an oligopoly tend to be high, due to factors such as economies of scale, brand recognition, or access to key resources. This makes it difficult for new firms to enter the market and compete with established firms. Oligopolistic markets can be found in a variety of industries, including telecommunications, banking, and the automotive industry.

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which answer is not important to capital budgeting? question 1 options: a) to make as much money for the shareholders as possible b) ensuring proper investment c) balancing in long term investment d) advance plan for securing fund e) timely acquisition of assets and add to fixed assets

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option a) "to make as much money for the shareholders as possible" is not the most important consideration in capital budgeting.

Answer a) "to make as much money for the shareholders as possible" is not the most important consideration in capital budgeting.

While maximizing shareholder wealth is a key goal for many businesses, it is not the only or even the most important consideration in capital budgeting. The primary goal of capital budgeting is to make sound investment decisions that will generate long-term returns and increase the overall value of the company.

To achieve this goal, capital budgeting must consider a range of factors, including:

Ensuring proper investment: This involves identifying and evaluating potential investment opportunities to determine which projects are most likely to generate a positive return on investment.

Balancing long-term investment: Capital budgeting must balance the need for long-term investments with short-term financial obligations, such as debt payments and operational expenses.

Advance plan for securing funds: Capital budgeting must also consider how to secure the necessary funds to finance the selected investment opportunities, which may involve a mix of internal and external financing options.

Timely acquisition of assets and addition to fixed assets: Capital budgeting must also consider the timing of asset acquisition and addition to fixed assets to ensure that the investments are made at the right time and in the most cost-effective manner.

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lacy is a single taxpayer. in 2022, her taxable income is $48,400. what is her tax liability in each of the following alternative situations? use tax rate schedule, dividends and capital gains tax rates for reference. note: do not round intermediate calculations. round your answer to 2 decimal places. a. all of her income is salary from her employer.

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If all of Lacy's income is the salary from her employer, her tax liability for 2022 would be $6,641.00.

To determine Lacy's tax liability in 2022, we need to use the tax rate schedule and consider the fact that she has a taxable income of $48,400.

Assuming that all of Lacy's income is the salary from her employer, we can use the following tax rate schedule for 2022:

Taxable Income | Tax Rate


Up to $10,275   | 10%


$10,276 to $41,775 | $1,027.50 plus 12% of the amount over $10,275
$41,776 to $89,475 | $5,183.50 plus 22% of the amount over $41,775
$89,476 to $180,000 | $18,558.50 plus 24% of the amount over $89,475
$180,001 to $250,000 | $46,278.50 plus 32% of the amount over $180,000
$250,001 to $500,000 | $82,628.50 plus 35% of the amount over $250,000
Over $500,000 | $170,628.50 plus 37% of the amount over $500,000

Since Lacy's taxable income falls within the $41,776 to $89,475 range, her tax liability can be calculated as follows:

$5,183.50 (base tax) + 22% of ($48,400 - $41,775) = $5,183.50 + 22% of $6,625 = $5,183.50 + $1,457.50 = $6,641.00

Therefore, if all of Lacy's income is the salary from her employer, her tax liability for 2022 would be $6,641.00.

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in the long run, if price is greater than average total cost in an industry, then responses a some firms leave the industry.some firms leave the industry. b some new firms enter the industrty.some new firms enter the industrty. c all firms leave the industry.all firms leave the industry. d there is no incentive for any firm to enter or leave the industry.

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The correct option is a- some firms leave the industry. When the price is greater than the average total cost in an industry, it means that the firms are making profits.


Some new firms enter the industry, is that it is not likely to happen in the long run when the price is greater than the average total cost. New firms will only enter the industry if they believe they can make profits, but if the existing firms are already making profits, it is less likely that new firms will enter.  All firms leave the industry, is not correct because there will always be firms that are making profits and can sustain their operations in the long run.

There is no incentive for any firm to enter or leave the industry, is also incorrect because there are always incentives for firms to either enter or leave an industry based on their profitability.

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Select from the following those items that characterize a certified public accountant. (Select all that apply)
A.May file tax returns
B.May provide opinions regarding the accuracy of financial statements
C.May complete audits of corporate financial records

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The items that characterize a certified public accountant (CPA) include qualifications to file tax returns, provide opinions on the accuracy of financial statements, and complete audits of corporate financial records.

A. May file tax returns: CPAs are qualified to file tax returns for individuals, businesses, and organizations. They can assist clients in maximizing deductions and credits, ensuring compliance with tax laws, and minimizing tax liability.

B. May provide opinions regarding the accuracy of financial statements: CPAs have the expertise to review and analyze financial statements for accuracy and compliance with accounting standards. They can provide an informed opinion on the reliability of these statements, which can be used by stakeholders, such as investors and lenders, to make informed decisions.

C. May complete audits of corporate financial records: CPAs are authorized to perform audits on corporate financial records. During an audit, a CPA will examine a company's financial records to ensure they are accurate and in compliance with accounting standards and regulations.

In summary, a certified public accountant (CPA) is a professional with the qualifications to file tax returns, provide opinions on the accuracy of financial statements, and complete audits of corporate financial records.

These responsibilities ensure that businesses and individuals remain compliant with financial regulations and make informed decisions based on accurate financial information.

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what is the monthly payment on a home costing $150,000, 30 percent down, 25 years at 9 percent? a. $636.09 b. $881.16 c. $763.31 d. $677.82

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The monthly payment on a home costing $150,000, 30 percent down, 25 years at 9 percent is option b) $881.16.

To calculate the monthly payment on a home costing $150,000, 30 percent down, 25 years at 9 percent, we need to first find out the loan amount.

30% of $150,000 = $45,000 (down payment)
$150,000 - $45,000 = $105,000 (loan amount)

Next, we can use a loan calculator or formula to find the monthly payment.

Using a loan calculator, the monthly payment comes out to be $881.16 (option b).

Alternatively, using the formula:
M = P [ i(1 + i)^n ] / [ (1 + i)^n – 1]

Where M = monthly payment, P = loan amount, i = interest rate (as a decimal), and n = number of payments

We get:
M = $105,000 [ 0.0075(1 + 0.0075)^300 ] / [ (1 + 0.0075)^300 – 1 ]
M = $881.16

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Stacy, a recently hired employee of a growing local CPA firm called Dewey, Cheatume, and Howe, just passed all four parts of the CPA exam. The University of Virginia prepped her well for her new job, and the partners had high expectations for Stacy because she scored near the top of her graduating class. As a result, Stacy was fast tracked and performed at an advanced level on some jobs. This was due, in part, to her excellent skill set but also because of heavy firm turnover at the senior level.
Because of the long hours and her inexperience, Stacy started to make simple errors such as not meeting time budgets. She began working off the clock because she did not want management to know she had a hard time handling the workload. After a few months, she casually mentioned the extra hours to a coworker, who told her working off the clock is considered unethical and the company has strict policies against it. Stacy was embarrassed but also upset that the company never made this known to her—particularly since she knew her immediate supervisor knew full well what she was doing. Stacy stopped working off the clock and began to work more quickly to get things done in the expected time frame.
A few weeks ago, Stacy learned her recent work on a tax return had to be redone; Stacy mistakenly charged the wrong client for the return. Doug, one of the partners, publicly reprimanded her by saying, "Next time it’s coming out of your pay check." Later that same week, as Stacy helped interview a candidate for one of the open accounting positions, she accidentally chipped the glass table in the conference room. When Doug heard about it, he said, "I hope your personal insurance covers the table. You’ll need to speak to the secretary and get this replaced."
Over the following months, the firm continued having more resignations. It became so problematic that the Senior Board requested a psychologist interview all staff members. When Stacy was interviewed, she described the poor treatment of employees and unreasonable expectations. Apparently, other employees had the same complaint. The resulting report from the consultant pointed toward numerous management problems at the company. Shortly thereafter, the partners responded in a way the staff did not expect: they took the report personally. As a result, rumors began to surface that the firm was going to go up for sale. Still, the interviews for staff positions continued. One Monday morning a memo surfaced stating that all staff doing interviews for new hires were to "present the firm in a positive and favorable manner." Stacy was one of those staff members doing the interviews.
Stacy did not know how to portray the firm in a positive manner when she was so miserable. She particularly disliked Doug. It seemed to Stacy that Doug made it his mission to torment her by criticizing her every move. He hovered around her desk and made comments about making sure not to mess up again.
After getting advice from one of her coworkers, Stacy decided to approach Doug about his behavior. He did not take it well.
"Look, if you think I’m being too hard on you, then maybe you should just leave," Doug responded. "It’s obvious you are not cut out for this business." Doug continued to berate Stacy for her "shoddy" work until she was close to tears.
"If you want to make it in this business, honey, you got to realize when to pick your fights. Me, I’m not in the habit of losing." Doug walked off in a huff.
The next day Stacy was to interview someone for a lower-level accounting position. As she walked down the hallway, Doug approached her.
"I hear you’re going to be interviewing a new candidate today. Just remember, make this company look good. No whining about your bad work experience."
Stacy contained her anger when she entered the room and sat down in front of the candidate. She did her best to act professional and stifle her emotions. The real dilemma came when the candidate asked about the firm’s culture and how Stacy personally liked working there. She swallowed. She did not know how to sugarcoat her answer without making it an outright lie.
Describe the deficiencies in ethical leadership at Stacy’s firm.

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D has a responsibility to set an ethical example as a partner in the CPA firm/business. Ironically, the partner D's conduct was abhorrent, as shown below:

The other staff members were making an effort to help manage the overwhelming workload despite the high personnel turnover and attrition. He proceeded to chastise them whenever mistakes were made rather than praising them for their efforts. When he informed employee S that she would have to accept a wage decrease as a result of an unintentional error she had made at work, his oral communication was appalling.

Employee S "worked off the clock" to manage/handle the overwhelming workload. She was informed by a coworker at the office that this was unethical. She was shocked that her employer did not call attention to the fact that employee S "worked off the clock" despite knowing about it.

Similar to this, the partner D demanded payment from her after she unintentionally destroyed a piece of furniture belonging to the business.

Rude and profane conduct, especially in front of other office workers.

The partners persisted in hiring freshmen despite rumours that the CPA firm might be for sale. The partners also requested that the interviewer present a positive image of the company and its workplace culture! The interviewer was instructed to lie about the company by the partners.

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Identify whether each of the following statements is true or false. If inflation is expected to decrease in the future and the real rate is expected to. remain steady, then the Treasury yield curve is downward sloping. (Assume MRP = 0.)

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An expected decrease in inflation in the future would imply a decrease in nominal interest rates, assuming a steady real interest rate. False

A downward sloping yield curve indicates that long-term interest rates are lower than short-term interest rates, which would require a different scenario where the market expects a decrease in the real rate or an increase in the term premium (MRP).

In this case, without any changes in MRP, a decrease in expected inflation would lead to a flattening or upward slope of the yield curve, as investors would expect lower nominal yields in the future.

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super grocery store allocates its service department expenses to its various operating (sales) departments. the following data is available for its service departments: expensebasis for allocationamountadministrativesquare feet of floor space$ 19,000advertisingamount of dollar sales$ 12,000the following information is available for its three operating (sales) departments: departmentsquare feetdollar salesproduce1,020$ 84,000bakery68034,000meats1,70046,000totals3,400$ 164,000 what is the total administrative expense allocated to the meats department?multiple choice

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The total administrative expense allocated to the meats department is $9,500.


To allocate the total administrative expense to the meats department, we need to use the expense basis for allocation provided, which is the square feet of floor space. We can start by calculating the total square feet of floor space for all three departments:
1,020 + 680 + 1,700 = 3,400
Produce: 1,020 / 3,400 = 0.3 or 30%
Bakery: 680 / 3,400 = 0.2 or 20%
Meats: 1,700 / 3,400 = 0.5 or 50%
Using these percentages, we can allocate the administrative expense to each department:
Produce: 0.3 x $19,000 = $5,700
Bakery: 0.2 x $19,000 = $3,800
Meats: 0.5 x $19,000 = $9,500
Therefore, the total administrative expense allocated to the meats department is $9,500.
Multiple choice answer:
$9,500.


The total administrative expense allocated to the meats department can be calculated using the square footage of each department and the total administrative expense. First, determine the percentage of the total square footage that the meats department occupies:
Meats department square footage: 1,700 sq ft
Total square footage: 3,400 sq ft

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which advertising budgeting method is based on forecasted revenue? group of answer choices percentage of sales method competitive-parity method objective and task method customer value method

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The objective and task method. This budgeting method is based on forecasted revenue because it involves setting specific objectives and tasks for the advertising campaign and then determining the costs associated with achieving those objectives.

This method requires a detailed plan that outlines the expected outcomes and the costs associated with each task. By forecasting the revenue generated by the advertising campaign, businesses can determine the appropriate budget to allocate towards the campaign. The other budgeting methods such as the percentage of sales method, competitive-parity method, and customer value method do not necessarily consider forecasted revenue in determining the advertising budget.
The main answer to your question is that the advertising budgeting method based on forecasted revenue is the "percentage of sales method."
The percentage of sales method calculates the advertising budget by taking a fixed percentage of the forecasted revenue. This method is straightforward and easy to implement, as it directly ties the advertising budget to the company's expected sales performance.

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which of the following is false? which of the following is false? all labor and environmental conditions improve with income growth. percentage wise, more children work in low-income countries than in higher income countries. with such large income differences internationally, it is not surprising that there are very large differences in most social, economic, and environmental indicators. most of the world's population lives in countries classified as low- or lower-middle income.

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The false statement is "all labor and environmental conditions improve with income growth." While income growth can lead to improved labor and environmental conditions in some cases, it is not a guarantee.

Other factors such as government policies, cultural attitudes, and market forces can also influence these conditions. Additionally, it is important to note that while most of the world's population does live in low- or lower-middle income countries, this does not mean that these countries are inherently lacking in social, economic, and environmental development. Many low-income countries have made significant progress in these areas in recent years.
the statement "all labor and environmental conditions improve with income growth" is false. While it is true that higher income can lead to improved labor and environmental conditions, this relationship is not absolute. In some cases, rapid income growth can result in negative environmental impacts, such as increased pollution or overexploitation of natural resources. Additionally, labor conditions may not always improve, as income growth can sometimes lead to income inequality, with benefits concentrating among specific groups. The other statements are generally accurate, as they describe trends related to income, environmental, and social indicators on a global scale.

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Fireeye is a security company that protects its clients against ________ that are sophisticated, possibly long-running computer hacks often perpetrated by large, well-funded organizations.

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Fireeye is a renowned cybersecurity company that specializes in providing cutting-edge solutions to its clients against sophisticated cyber threats.

These threats usually involve long-running computer hacks that are orchestrated by large and well-funded organizations. With its advanced threat intelligence and analytics capabilities, Fireeye helps organizations detect, prevent and respond to complex cyber-attacks.

The company is known for its innovative technologies that can detect even the most elusive threats that evade traditional security solutions.

Overall, Fireeye is a reliable partner for businesses looking to secure their critical assets and data against the ever-evolving threat landscape.

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True or False: A dichotomous dependent variable signifies thatan event either happened or did not.

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The given statement "A dichotomous dependent variable signifies that an event either happened or did not" is true because when a dichotomous variable is used as a dependent variable, it signifies that the event being studied either happened or did not happen. The dichotomous dependent variable is used to analyze the relationship between the independent variables and whether an event occurred or not.

The dichotomous dependent variable is used to analyze the relationship between the independent variables and the occurrence or non-occurrence of an event. This allows researchers to draw conclusions about the factors that may influence the event's likelihood and make predictions about future occurrences.

In research and statistics, a variable is a characteristic or attribute that can take on different values. A dichotomous variable, also known as a binary variable, is a type of variable that can only take on two distinct values. These two values typically represent the occurrence or non-occurrence of an event, such as "yes" or "no," "true" or "false," "success" or "failure," and so on.

A dependent variable, on the other hand, is a variable that is being measured or observed in a study, and its value depends on the influence of other variables.

In summary, the statement is true: a dichotomous dependent variable signifies that an event either happened or did not happen, providing a clear and simple way to measure and analyze the impact of independent variables on the occurrence of an event.

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an employee's perception about the extent to which his or her effort will result in a given level of performance is called expectancy.
T/F

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True. Expectancy refers to an employee's belief or perception that their effort will lead to a certain level of performance.

In other words, it is the belief that putting in effort will result in successful performance. Expectancy theory is a motivation theory that proposes that individuals are motivated by their beliefs about the likelihood that their effort will lead to a certain level of performance, and that this performance will lead to certain outcomes or rewards.

Expectancy is a concept in psychology and organizational behavior that refers to an individual's belief or perception about the extent to which their effort will lead to a certain level of performance. It is one of the key components of expectancy theory, a motivation theory that proposes that people are motivated by their beliefs about the likelihood that their effort will lead to certain outcomes or rewards.

Expectancy theory suggests that individuals will be more motivated to exert effort if they believe that their effort will lead to successful performance. If an employee believes that their effort will not lead to successful performance, they are less likely to be motivated to work hard.

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what is the difference between national income and domestic income? group of answer choices net taxes

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As we know that net taxes are deducted from national income to determine domestic income, and they have an effect on the gap between domestic and national income.

The entire money generated by all domestic production elements, including people and enterprises, is known as national income. National income is decreased by net taxes, which are determined by subtracting transfer payments from taxes paid to the government. On the other hand, domestic income is the amount of income that is still available after deducting net taxes from national income. As a result, the gap between national income and domestic income grows as net taxes rise.

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--The complete Question is, What impact do net taxes have on the difference between national income and domestic income? --

a security has a beta of 1, the market risk premium is 8 percent, and the risk-free rate is 3 percent. what will happen to the expected return if the beta doubles? multiple choice question. the expected return will double. the expected return will decrease by 8 percent. the expected return will increase by 1 percent. the expected return will increase to 19 percent from 11 percent.

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The expected return will increase by 8 percent.  The initial security has a beta of 1, a market risk premium of 8 percent, and a risk-free rate of 3 percent.

The expected return can be calculated using the Capital Asset Pricing Model (CAPM), which is:
Expected return = risk-free rate + beta * market risk premium
Given that the security has a beta of 1, the market risk premium is 8 percent, and the risk-free rate is 3 percent, the expected return can be calculated as:
Expected return = 3% + 1 * 8% = 11%
If the beta doubles to 2, the expected return can be calculated as:
Expected return = 3% + 2 * 8% = 19%

Therefore, the expected return will increase by 8 percent (from 11% to 19%).

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Suppose that the Federal Reserve System set the required reserve ratio equal to 0.3 and that the banking system holds ​$50 billion in excess reserves. If the amount of deposits is ​$3000 billion and the amount of currency holdings is ​$65 ​billion, then the currency ratio is

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The currency ratio is the ratio of currency to deposits held by the public. We can calculate it as follows:Currency ratio = Currency / Deposits

First, we need to calculate the total reserves held by the banking system:

Total reserves = Required reserves + Excess reserves

Required reserves = Required reserve ratio x Deposits

Required reserves = 0.3 x $3000 billion

Required reserves = $900 billion

Total reserves = $900 billion + $50 billion

Total reserves = $950 billion

Now, we can calculate the currency ratio:

Currency ratio = $65 billion / ($3000 billion - $65 billion)

Currency ratio = $65 billion / $2935 billion

Currency ratio = 0.0221 or 2.21%

Therefore, the currency ratio is 2.21%.

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If you are holding a premium bond you must expect a _____ each year until maturity. If you are holding a discount bond you must expect a _____ each year until maturity.
A. capital gain; capital loss
B. capital gain; capital gain
C. capital loss; capital gain
D. capital loss; capital loss

Answers

If you are holding a premium bond you must expect a capital loss each year until maturity. If you are holding a discount bond you must expect a capital gain each year until maturity.

Premium bonds are those that are priced higher than their face value. This means that when the bond matures, the bondholder will receive less money than they originally invested. The difference between the purchase price and the face value is the premium, which represents a loss to the bondholder.

On the other hand, discount bonds are priced lower than their face value. This means that when the bond matures, the bondholder will receive more money than they originally invested. The difference between the purchase price and the face value is the discount, which represents a gain to the bondholder.

In summary, the answer is A) If you are holding a premium bond you must expect a capital loss each year until maturity. If you are holding a discount bond you must expect a capital gain each year until maturity.

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vanhoe Company is considering an investment that will return a lump sum of $887,900, 8 years from now.
What amount should Ivanhoe Company pay for this investment to earn an 7% return? (Round answer to 2 decimal places, e.g. 25.25.)

Answers

To calculate the amount that Ivanhoe Company should pay for this investment, we need to use present value calculations. The present value of the future lump sum of $887,900 is the amount that Ivanhoe Company needs to invest today at a 7% rate of return to achieve that future value.

Using a present value formula, we can determine that the present value of $887,900, eight years from now, at a 7% rate of return is $528,260.28. Therefore, Ivanhoe Company should pay $528,260.28 for this investment in order to earn a 7% return.

To arrive at this solution, we used the present value formula, which is:

Present Value = Future Value / (1 + r)n

Where:
r = rate of return, n = number of years

Substituting the given values, we get:

Present Value = $887,900 / (1 + 0.07)8
Present Value = $887,900 / 1.7138
Present Value = $518,260.28

Therefore, Ivanhoe Company should pay $528,260.28 for this investment to earn a 7% return.

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What are the three forms of local government in texas?.

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In Texas, there are three main forms of local government: city, county, and special district.

City governments are created by the state legislature and are responsible for providing services such as police and fire protection, water and sewer, and parks and recreation. Cities are also responsible for enforcing local ordinances and zoning regulations.

County governments are responsible for a broader range of services, including law enforcement, courts, tax collection, and road maintenance. In addition, counties often have their own special districts to provide services such as hospitals, airports, and water supply.

Special districts are a unique feature of the Texas government, allowing for the creation of local entities to provide specific services, such as water supply, sewage treatment, or mosquito control. These districts are governed by boards appointed by local officials or elected by the residents within the district.

Each of these forms of local government operates independently of the others, with its own elected officials and governing structure. Together, they form the backbone of Texas' decentralized system of government, allowing for greater local control over services and decision-making.

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Which of these is NOT one of the Currently Known Values that are used in all Earned Value calculations: (variances, indexes and estimates)? a. Planned Value (PV) b. Earned Value (EV) c. Estimate to Complete (ETC) d. Actual Cost(AC)

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All Earned Value computations employ Currently Known Values, but Estimate to Complete (ETC) is NOT one of them. The right response is c.

Planned Value (PV), Estimated Value (EV), and Actual Cost (AC) are the Currently Known Values (CKVs) in Earned Value Management (EVM). These numbers are used to determine the Earned Value (EV) and Performance Index (PI), two metrics that shed light on a project or program's development and performance.

Not all EVM calculations use the Estimate to Complete (ETC), which is not one of the CKVs either. It is used to determine the expected value of the job and is a projection of the volume of work that is anticipated to be completed by a specific date. The right response is c.

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Julian is a single father with a son, alex, who is 8 years old. If julian’s modified agi is $145,800, what is his child tax credit for alex?

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Julian's child tax credit for Alex would be $2,000, which is the maximum amount allowed for a child under 17 years old.

To be eligible for the Child Tax Credit, Julian's modified adjusted gross income (MAGI) must be less than $200,000 for a single filer. Since Julian's MAGI is $145,800, he would qualify for the maximum credit amount of $2,000.

The Child Tax Credit is designed to help parents reduce their tax liability and can be claimed on their annual tax return. If Julian's tax liability is less than the amount of the Child Tax Credit, he can receive up to $1,400 of the credit as a refund.

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The risk that is linked across outcomes is called ________.

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According to the given question, "the risk that is linked across outcomes is called correlated risk."

This type of risk is often associated with investments, where the performance of different assets or sectors may be interdependent and can impact the overall portfolio. Correlated risk can also be found in other areas, such as insurance, where multiple events or factors may lead to a single claim. It is important for investors and risk managers to understand and manage correlated risk, as it can have a significant impact on the success or failure of a strategy. By diversifying across different assets or sectors, it is possible to reduce correlated risk and improve overall portfolio performance.
The risk that is linked across outcomes is called systematic risk.

To answer your question in a step-by-step manner:

1. Recognize the term you're being asked to define: "The risk that is linked across outcomes."
2. Identify the correct term: "systematic risk."
3. Provide a concise definition: Systematic risk refers to the risk that affects the entire market or a broad range of assets, often caused by factors such as economic, political, or natural events.

In summary, the risk that is linked across outcomes, such as the overall market or a wide range of assets, is known as systematic risk.

This type of risk cannot be eliminated through diversification and must be managed carefully by investors.

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An open market purchase of a $100 government security from a bank results to the T-account entries for the Federal Reserve of

A. plus $ 100 in securities and plus $ 100 in reserves.+
B. -$ 100 in securities and and –$100 in reserves.
C. +$100 in securities and –$100 in reserves.
D. –$100 in securities and +$100 in reserves.

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The T-account entries for the Federal Reserve after an open market purchase of a $100 government security from a bank are:Assets:

Securities: +$100

Reserves: +$100

Liabilities and Equity:

None are affected by the transaction.this transaction, the Federal Reserve is increasing its holdings of securities by purchasing them from a bank. The payment for the security is made by crediting the bank's reserves held at the Federal Reserve. This increases the reserves of the bank, which in turn increases the amount of money that the bank can lend out to its customers. This process is known as open market operations and is one of the tools used by the Federal Reserve to implement monetary policy.

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which of the following is true of conventional approaches to organizing? ideas and commands flow vertically between center and business units information and flow of knowledge between units are unrestricted decision making is decentralized organizational hierarchy is not visible

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Conventional approaches to organizing involve a vertical flow of ideas and commands between the center and business units.

The fact that information and flow of knowledge between units may not necessarily be unrestricted, and decision making may still be decentralized to some extent. Additionally, organizational hierarchy is usually visible in conventional approaches to organizing, although the specific structure may vary depending on the organization.

In conventional organizational structures, communication and decision-making primarily flow vertically between different levels of the hierarchy, with higher levels having more authority. In this model, information and knowledge flow between units can be restricted, decision-making is generally centralized, and the organizational hierarchy is clearly visible.

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Why is it important for stores to be designed with flexibility in mind?.

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Flexibility should be a key consideration in the design of stores. Retailers may quickly change the layout of their stores to suit shifting consumer preferences and needs by designing their stores with optimum flexibility in mind.

The ability to swiftly satisfy customer wants while also providing surprise and delight components is made possible by designing with flexibility in mind. This is a crucial strategy for getting customers to return to a store.

Decisions must be made close to the customer, and there must be no needless lag time between making a decision and putting it into action. Thus, the retail organisation must be lean, and our staff members must be well-trained, highly motivated, and capable of operating independently.

Building multiple flexible fixture types instead of just one rigid fixture is less expensive for retailers.

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