question an increase in government spending financed by borrowing will result in which of the following?

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Answer 1

An increase in government spending financed by borrowing can have several effects on the economy.

Increased economic growth: When the government spends money on infrastructure projects, such as building roads or bridges, it can create jobs and stimulate economic activity. This can lead to an increase in GDP and overall economic growth.

Inflation: If the government borrows too much money, it can lead to an increase in inflation. This is because an increase in the money supply can lead to too much money chasing too few goods, which can drive up prices.

Higher interest rates: When the government borrows money, it competes with other borrowers for funds. This can drive up interest rates, making it more expensive for businesses and individuals to borrow money.

Higher national debt: Borrowing to finance government spending can lead to an increase in the national debt, which can have long-term consequences for the economy.

Overall, the effects of an increase in government spending financed by borrowing depend on a variety of factors, including the size of the spending increase, the state of the economy, and how the borrowed funds are used.

The increased government spending may create a multiplier effect. If government spending causes the unemployed to gain jobs, then they will have more income to spend leading to a further increase in aggregate demand.

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Answer 2

An increase in government spending financed by borrowing will result in a higher budget deficit.

This implies that the government will have to borrow money to make up the deficit between what it spends and what it earns in taxes and other income.

This will cause the government's debt to rise, which could have a number of negative effects. As lenders demand higher returns to make up for the higher risk of lending to the government, it may result in higher interest rates and inflation.

As investors are less likely to invest in the private sector when the government is borrowing so much, it can also crowd out private investment.

Additionally, in order to repay the debt in the future, the government might be forced to reduce spending on public services or hike taxes.

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Related Questions

which of the following is the term used to define the activities that take place to go back to the original state after a failed change implementation?

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The term used to define the activities that take place to go back to the original state after a failed change implementation is "rollback".

A rollback is a contingency plan put in place to restore the previous state of a system or process when a change fails to produce the expected results. This can happen due to a variety of reasons such as technical issues, unforeseen circumstances, or lack of stakeholder buy-in. Rollbacks are an essential part of change management because they help minimize disruption and mitigate risks associated with failed changes. They involve reversing any changes that were made, restoring data backups, and re-establishing the previous system configuration. Rollbacks require careful planning and execution to ensure that the process is efficient and that there is minimal impact on the organization. In summary, rollbacks are an important strategy to ensure that organizations can recover from failed change implementations quickly and effectively.

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In October 2012, one US dollar could buy about _______ Canadian dollars.
A. 0.88
B. 0.98
C. 1.08

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One US dollar was equivalent to roughly 0.99 Canadian dollars in October 2012.

The governments of Canada and the United States both create and support their own national currencies, the Canadian dollar and the American dollar.

The current exchange rate between the US dollar (USD) and Canadian dollar (CAD) can be used to convert between the two currencies. As of September 2021, the cutoff date, the currency rate was roughly 1 USD = 1.26 CAD.

Simply multiply the amount of USD you have by the exchange rate to calculate the conversion. For instance, the calculation would be as follows if you had 100 USD:

100 USD times 1.26 CAD/USD equals 126 CAD.

(100 ×  1.26 = 126 )

So, using that exchange rate, 100 USD is equivalent to 126 CAD.

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an assumption of the intertemporal model that is often not met in low-income nations is: that a nation can borrow or lend any amount in international markets at the prevailing world real rate of interest. that the government of the nation has a balanced budget. that the economy is always at full employment. that prices are flexible.

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The assumption of the intertemporal model that is often not met in low-income nations is that a nation can borrow or lend any amount in international markets at the prevailing world real rate of interest.

This is because low-income nations often have limited access to international credit markets and may face higher borrowing costs due to their perceived riskiness.

However, it is important to note that the other assumptions of the model, such as the government having a balanced budget, the economy always being at full employment, and prices being flexible, may also not hold in low-income nations. For example, governments in low-income nations may struggle to balance their budgets due to limited revenue sources and high levels of public debt. Similarly, unemployment and underemployment may be common in low-income nations due to factors such as weak economic growth and inadequate education and training programs. Finally, prices may be less flexible in low-income nations due to factors such as limited competition and market power among firms.

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Jane Geddes Engineering Corporation purchased conveyor equipment with a list price of $10,000. Presented below are three independent cases related to the equipment. (Round to the nearest dollar.)
Geddes paid cash for the equipment 8 days after the purchase. The vendor’s credit terms are 2/10, n/30. Assume that equipment purchases are initially recorded gross.
Geddes traded in equipment with a book value of $2,000 (initial cost $8,000), and paid $9,500 in cash one month after the purchase. The old equipment could have been sold for $400 at the date of trade. (The exchange has commercial substance.)
Geddes gave the vendor a $10,800 zero-interest-bearing note for the equipment on the date of purchase. The note was due in one year and was paid on time. Assume that the effective-interest rate in the market was 9%.
Instructions
Prepare the general journal entries required to record the acquisition and payment in each of the independent cases above.

Answers

The Note payable account is debited for $10,800, which represents the face value of the note. The Discount on the note payable account is also debited for $892, which represents the discount amortized over one year ($892 = $10,800 - $9,908).

The Interest expense account is debited for $208, which represents the interest expense calculated using the effective-interest method ($208 = $9,908 x 9%). The Cash account is credited for $11,100, which represents the face value of the note plus interest.
Case 1:
Record the equipment purchase at its gross price.
Dr Equipment - $10,000
Cr. Accounts Payable - $10,000

Record the cash payment within the discount period (2/10, n/30).
Dr Accounts Payable - $10,000
Cr. Cash - $9,800
Cr. Purchase Discounts - $200

Case 2:
Record the equipment purchase at its gross price.
Dr Equipment - $10,000
Cr. Accounts Payable - $10,000

Record the trade-in of the old equipment and cash payment.
Dr. Accumulated Depreciation (Old Equipment) - $6,000
Dr Loss on Disposal of Equipment - $1,600
Dr Accounts Payable - $10,000
Cr. Equipment (Old) - $8,000
Cr. Cash - $9,500

Case 3:
Record the equipment purchase with a zero-interest-bearing note.
Dr. Equipment - $9,908 (present value of $10,800 at 9% discount rate for 1 year)
Cr. Discount on Notes Payable - $892
Cr. Notes Payable - $10,800

Record the payment of the note at the end of the year.
Dr. Notes Payable - $10,800
Dr. Discount on Notes Payable - $892
Cr. Cash - $10,800

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The Finishing Department had 5,100 incomplete units in its beginning Work-in-Process Inventory which were 100% complete as to materials and 40% complete as to conversion costs. 15,200 units were received from the previous department. The ending Work-in-Process Inventory consisted of 2,100 units which were 50% complete as to materials and 40% complete as to conversion costs. The Finishing Department uses first-in, first-out (FIFO) process costing.
What are the equivalent units of production for materials during the period?
a 14,150.
b 13,100.
c 15,200.
d 12,200.

Answers

The Finishing Department had 5,100 incomplete units in its beginning Work-in-Process Inventory which were 100% complete as to materials and 40% complete as to conversion costs. 13,000 units when fully operational. The correct answer is b. 13,100.

The inventory units represented by the opening work-in-progress were started previous period but finished this period. It is 5,300 units in this query.

We are provided with

15,600 new units have been added.

Work still ongoing closed: 2,300

The quantity of units that were started and finished within the time period is known as a fully work unit.

Now, we employ the subsequent methodology to assess the fully operational units:

Fully completed units equal newly introduced units and the completion of unfinished work.

Fully work units = 15,600 – 2,300 = 13,300 fully work units. According to the computation above, 13,100 units were started and finished during that time.

13,300 units were started and finished throughout the time frame. Using the first in first out technique of inventory valuation, units finished during a period are divided into fully worked and opening work in progress units.

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Which of these businesses would be
regulated by the Securities and Exchange
Commission (SEC)?
A. Donut Bank
B. British Airways
C. Charles Schwab Financial Services

Answers

Answer:

C. Charles Schwab Financial Services

Explanation:

The Securities and Exchange Commission regulates banks and brokerage firms, and Charles Schwab Financial Services falls under that umbrella.

journal that is used to record and post transactions of similar type is referred to as a . multiple choice general journal special journal general ledger columnar journal

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A journal that is used to record and post transactions of similar type is referred to as a special journal. Special journals are used to record transactions that occur frequently in a business, such as sales, purchases, and cash receipts. By recording these transactions in separate journals, it allows for more efficient and organized record-keeping.

There are several types of special journals, including sales journals, purchases journals, cash receipts journals, and cash disbursements journals. Each of these journals is designed to record a specific type of transaction. For example, a sales journal is used to record all sales made by a business, while a purchases journal is used to record all purchases made by a business.

In addition to special journals and the general ledger, businesses may also use a columnar journal. A columnar journal is similar to a general journal, but it includes additional columns for recording specific information, such as the account number, description, and posting reference. Overall, special journals are an important part of a business's accounting system, as they allow for more efficient and organized record-keeping. By recording transactions in separate journals, businesses can more easily track and analyze their financial activities.

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The concept of comparative advantage makes the assumption that everyone will be better off.

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The concept of comparative advantage is an economic theory that suggests that countries can benefit from trade by focusing on producing goods and services that they can produce more efficiently than other countries.

The idea is that each country has a comparative advantage in producing certain goods or services because of factors such as natural resources, labor, and technology. By focusing on producing these goods or services, they can produce them at a lower cost and more efficiently than other countries.

However, it is important to note that the concept of comparative advantage is based on certain assumptions and does not always hold true in the real world. For example, some countries may have more resources or better technology, which can give them an unfair advantage in trade.

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The crowding-out effect arises when
Multiple Choice a government borrows in the money market, thus causing an increase in Interest rates. b government lends in the money market, thus increasing interest rates. c government lends in the money market, thus decreasing Interest rates d government borrows in the money market, thus decreasing interest rates.

Answers

The crowding-out effect occurs when the government borrows in the money market, causing interest rates to rise. Here option A is the correct answer.

The crowding-out effect refers to a situation where government borrowing in the money market leads to an increase in interest rates, which reduces private investment and consumption. This happens because the government is competing with private borrowers for a limited supply of funds in the money market.

When the government borrows in the money market, it increases the demand for funds and reduces the supply of funds available for private borrowers. This leads to an increase in interest rates as lenders seek to earn higher returns on their loans. The higher interest rates make borrowing more expensive for private investors, reducing their willingness to invest and spend, which can slow down economic growth.

When the government lends in the money market, it increases the supply of funds, which can reduce interest rates. However, this can also lead to inflationary pressures if the increased money supply is not matched by an increase in goods and services production.

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suppose someone invests a continuous stream of $10,000 per year at a continuously-compounding interest rate of 1.6%. what is the present value of this continuous stream if it will continue for 12 years? round your answer to the nearest integer.

Answers

We can find the present value of the continuous stream of investment using the formula for the present value of a continuous annuity:

PV = P * (1 - e^(-r*t)) / r

Here, PV is the present value, P is the payment amount per year, r is the continuously compounding interest rate, and t is the time in years. Let's plug in the values given in the question:

P = $10,000
r = 1.6% = 0.016
t = 12 years

PV = 10,000 * (1 - e^(-0.016*12)) / 0.016

Now, we can calculate the present value:

PV ≈ 10,000 * (1 - e^(-0.192)) / 0.016
PV ≈ 10,000 * (1 - 0.825) / 0.016
PV ≈ 10,000 * 0.175 / 0.016
PV ≈ 109,375

Therefore, the present value of this continuous stream is approximately $109,375 when rounded to the nearest integer.

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Vendors' costs are important to a purchasing agent because: they help in estimating a fair price. they help in negotiating a fair price. cost determines market price. a vendor is entitled to a profit just because he is in business. they help in estimating a fair price, and they help in negotiating a fair price.

Answers

The correct option is E, Vendors' costs are important to a purchasing agent because they help in estimating a fair price.

A fair price in business is the amount of money that is reasonable and justifiable for a product or service, based on its value and cost. It is the price that satisfies both the buyer and seller, taking into consideration market conditions, competition, and other factors that affect the pricing decision. A fair price should be set by conducting market research, analyzing the costs involved in producing the product or service, and considering the profit margins required by the business to sustain its operations.

The concept of a fair price is important in business as it ensures that both parties benefit from the transaction. If the price is too high, customers may look for alternatives or refrain from making a purchase altogether, while if the price is too low, the business may not make enough profit to sustain its operations. Finding the right balance is key to achieving long-term success in business.

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Complete Question:

Carriers' expenses are critical to a buying agent because: a. they help in estimating a fair charge b. they assist in negotiating a fair price c. cost determines market fee d. a vendor is entitled to a profit simply because he's in business e. a and b above.

in a competitive market, if firms earn economic profits in the short run, then economic profits in the long run will responses a increase because the market supply curve will shift to the left.increase because the market supply curve will shift to the left. b increase because industry costs will decrease.increase because industry costs will decrease. c disappear because the market supply curve will shift to the right.disappear because the market supply curve will shift to the right. d disappear because industry costs will increase.

Answers

In a competitive market, if firms earn economic profits in the short run, then economic profits in the long run will disappear because the market supply curve will shift to the right. Option C is correct.

In the short run, if some firms earn economic profits, it will attract new firms to enter the market. This will increase the market supply and shift the market supply curve to the right. As a result, the market price will decrease and the economic profits of existing firms will decrease.

In the long run, as new firms continue to enter the market, the market supply will continue to increase and the market price will continue to decrease. At the point where the market price equals the average total cost of production, economic profits will be zero for all firms in the market.  

Hence, C. is the correct option.

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--The given question is incomplete, the complete question is

"in a competitive market, if firms earn economic profits in the short run, then economic profits in the long run will responses A)  increase because the market supply curve will shift to the left. B) increase because industry costs will decrease. C) disappear because the market supply curve will shift to the right. D) disappear because industry costs will increase."--

How would a manufacturer benefit by using fewer scarce?.

Answers

using fewer scarce resources offers multiple benefits to a manufacturer, including increased operational stability, cost savings, enhanced environmental sustainability, and improved efficiency and productivity.

A manufacturer would benefit from using fewer scarce resources in several ways. Firstly, by reducing their reliance on scarce resources, they can minimize the risk of supply disruptions and maintain consistent production levels. This helps in ensuring the stability of their operations and allows for better planning and forecasting.
Secondly, using fewer scarce resources can lead to cost savings for the manufacturer. Scarce resources often have high prices due to their limited availability, so finding alternatives or optimizing their use can help reduce production costs. This, in turn, can improve the company's profitability and competitiveness in the market. Additionally, using fewer scarce resources is beneficial for the environment, as it promotes sustainable practices and reduces the strain on limited resources. This can enhance the manufacturer's reputation as an environmentally responsible company, potentially attracting more customers who value sustainable products. Moreover, adopting innovative technologies and processes that minimize the use of scarce resources can lead to increased efficiency and productivity. By optimizing resource use, manufacturers can produce more goods with less input, resulting in higher output levels and lower per-unit costs.

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The price of a DVD rental is $2.50 and the price of a downloaded movie is $1.00. If the price of a DVD rental falls by $0.50, the relative price of a downloaded movie

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The relative price of a downloaded movie has increased by 10% (from 40% to 50%) due to the $0.50 decrease in the price of a DVD rental. This makes the downloaded movie relatively more expensive compared to the DVD rental.

The relative price of a downloaded movie is the ratio of its price to the price of a DVD rental. At present, the price of a downloaded movie is $1.00 and the price of a DVD rental is $2.50. Therefore, the relative price of a downloaded movie is:

Relative Price = Price of Downloaded Movie / Price of DVD Rental

Relative Price = $1.00 / $2.50

Relative Price = 0.4

This means that a downloaded movie is 40% of the price of a DVD rental. If the price of a DVD rental falls by $0.50, the new price of a DVD rental will be $2.00. To find the new relative price of a downloaded movie, we need to divide its price by the new price of a DVD rental:

New Relative Price = Price of Downloaded Movie / New Price of DVD Rental

New Relative Price = $1.00 / $2.00

New Relative Price = 0.5

This means that the new relative price of a downloaded movie is 0.5 or 50%.

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krannert electric is offering 2,100 shares of stock in a dutch auction. the bids include: 1,400 shares at $32 a share, 1,500 shares at $31, 1,400 shares at $30, and 900 shares at $29 a share. how much cash will krannert electric receive from selling these shares? ignore all flotation costs.

Answers

Krannert Electric will receive $65,900 in cash from selling these shares. To calculate the cash that Krannert Electric will receive from selling these shares, we need to multiply the number of shares sold at each bid price by the corresponding bid price, and then add up these amounts.


The highest bid price is $32, and there are 1,400 shares sold at this price. So, Krannert Electric will receive 1,400 x $32 = $44,800 from these shares.
Next, there are 1,500 shares sold at $31. Krannert Electric will receive 1,500 x $31 = $46,500 from these shares.
There are 1,400 shares sold at $30, so Krannert Electric will receive 1,400 x $30 = $42,000 from these shares.
Finally, there are 900 shares sold at $29, which means Krannert Electric will receive 900 x $29 = $26,100 from these shares.
Adding up all of these amounts gives us $44,800 + $46,500 + $42,000 + $26,100 = $159,400. However, since Krannert Electric is only offering 2,100 shares, they will only receive the total amount from selling these shares, which is $65,900.

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in the long run, a company can remain profitable only if: group of answer choices it has a higher company demand than the market demand. it has lower costs than the average company in the market. the market demand is rising. barriers to entry are present.

Answers

Answer:

In the long run, a company can remain profitable only if it has lower costs than the average company in the market.

In a competitive market, firms must compete on price to sell their products, and they must earn a profit in order to survive in the long run. However, if a firm has higher costs than its competitors, it will have to charge a higher price to cover those costs, and it may not be able to compete effectively. As a result, firms that are able to reduce their costs and operate efficiently are more likely to remain profitable in the long run.

While market demand and barriers to entry can also affect a firm's profitability, they are not the sole determinant. For example, high market demand can create opportunities for profits, but if a firm cannot produce and sell its products at a lower cost than its competitors, it may still struggle to remain profitable. Similarly, while barriers to entry can limit competition and allow firms to earn higher profits in the short run, they do not guarantee long-term profitability if the firm cannot operate efficiently and reduce costs.

consider the market for u.s. dollars where the price of a dollar is given in terms of turkish lira. for each scenario, determine whether the dollar will appreciate or depreciate. hold everything constant except the change that is being described. a. u.s. electronics become much more popular after a new movie technology is developed. b. in 2012, inflation in turkey was 8 percent whereas inflation in the united states was 2.5 percent. c. as part of its policy to increase employment in the united states, the federal reserve cuts interest rates by 25 basis points. d. the most recent global economic report indicated that average incomes in turkey grew 5 percent whereas u.s.a. incomes grew by just 3 percent. e. turkey develops a new, more affordable method of reducing auto emissions.

Answers

a. If U.S. electronics become much more popular after a new movie technology is developed, then there will likely be an increase in demand for U.S. dollars. This increase in demand will cause the price of the dollar in terms of Turkish lira to appreciate.
b. If inflation in Turkey is higher than inflation in the United States, then the value of the Turkish lira will depreciate relative to the dollar. This means that the price of the dollar in terms of Turkish lira will appreciate.
c. If the Federal Reserve cuts interest rates to increase employment in the United States, this can lead to a decrease in the value of the dollar relative to other currencies, including the Turkish lira. This means that the price of the dollar in terms of Turkish lira may depreciate.

d. If average incomes in Turkey grow faster than incomes in the United States, this can lead to an increase in demand for Turkish goods and services, which will increase the demand for Turkish lira. This increase in demand will cause the value of the Turkish lira to appreciate relative to the dollar, which means that the price of the dollar in terms of Turkish lira will depreciate.
e. If Turkey develops a new, more affordable method of reducing auto emissions, this can lead to an increase indemand for Turkish products, which will increase the demand for Turkish lira. This increase in demand will cause the value of the Turkish lira to appreciate relative to the dollar, which means that the price of thPJe dollar in terms of Turkish lira will depreciate.

In summary, the appreciation or depreciation of the dollar in terms of Turkish lira depends on various factors such as changes in demand for U.S. goods and services, inflation rates, interest rates, and income growth rates in the United States and Turkey.

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With reference to Daniel H. Oink's motivation theory, explain how autonomy can motivate the highly trained engineers at RDM.

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Daniel H. Pink's motivation theory posits that autonomy, mastery, and purpose are key drivers of intrinsic motivation, which is critical for employees to be highly engaged and perform at their best. Autonomy is the degree to which an employee has control over their work and the ability to make decisions about how to accomplish their goals.

Daniel H. Pink's motivation theory posits that autonomy, mastery, and purpose are key drivers of intrinsic motivation, which is critical for employees to be highly engaged and perform at their best. Autonomy is the degree to which an employee has control over their work and the ability to make decisions about how to accomplish their goals. In the context of highly trained engineers at RDM, autonomy can play a significant role in motivating them. These engineers possess a high level of expertise and knowledge in their field and crave the opportunity to use their skills in creative and innovative ways. By giving them a degree of autonomy, they can exercise their judgment and creativity to solve complex problems in a way that suits their individual strengths and preferences. When employees feel that they have control over their work, they tend to be more engaged and invested in their tasks, leading to higher levels of productivity and job satisfaction. Additionally, autonomy can help employees to develop a sense of ownership over their work and the outcomes, which can be particularly motivating for highly trained engineers who are passionate about their work. Overall, autonomy is a crucial element in motivating highly trained engineers at RDM. By allowing them to exercise their expertise, creativity, and judgment in their work, they are more likely to be motivated and engaged, leading to better performance and job satisfaction.

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According to the Self-Determination Theory, a motivation theory developed by Daniel H. Pink, autonomy is a key component of worker motivation.

The concept of autonomy describes a person's perception of control over their work and their capacity to make decisions that have an impact on it.

Autonomy can be a strong motivator for highly skilled engineers at RDM. Specialised engineers look for challenging projects where they may apply their knowledge and abilities and make significant contributions. RDM can enable its engineers to take charge of their job and make decisions by granting them autonomy.

and feel like they are in control of their projects. Increased job satisfaction, higher levels of engagement, and better performance can all result from this autonomy.

Additionally, autonomy can foster innovation and creativity. Engineers may provide novel solutions to issues and discover fresh chances for the business when they are free to experiment with novel concepts and methods. Due to the fact that it enables people to operate in a manner that plays to their skills and preferences, autonomy can also improve collaboration and teamwork.

Overall, RDM may build a sense of ownership and participation in their work, inspire creativity and invention, and tap into the natural motivation of their engineers by granting them autonomy.

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The Gap purchases dress shirts for $23 and sells them for $38. The percent markup based on cost is (rounded to the tenth):
A) 39.5%
B) 65.2%
C) 15

Answers

the correct answer is B) 65.2%. The formula for calculating percent markup based on cost is ((selling price - cost) / cost) x 100. Using this formula, we can calculate the percent markup of The Gap's dress shirts as follows:
Selling price = $38
Cost price = $23
((38 - 23) / 23) x 100 = 65.2%

This means that The Gap is marking up the cost of their dress shirts by 65.2% in order to sell them at a profit. This is a common business practice and is necessary for companies to make money and stay in business. However, it is important for consumers to be aware of the markup so that they can make informed purchasing decisions and compare prices with other retailers. In addition, it is important for companies to consider their pricing strategy and ensure that their prices are competitive and reasonable in order to attract customers and maintain a positive reputation in the marketplace.

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democrats argue that labor demand is , so jobs will be lost when the minimum wage is raised. group of answer choices inelastic; many inelastic; few elastic; few elastic; many

Answers

Democrats argue that labor demand is inelastic, so jobs will be lost when the minimum wage is raised.

Inelastic labor demand means that changes in the wage rate have little effect on the quantity of labor demanded. This is because some businesses cannot easily reduce the number of workers they employ in response to a higher wage rate.

For example, a restaurant needs a certain number of servers, cooks, and dishwashers to operate, regardless of the wage rate. Therefore, when the minimum wage is increased, businesses with inelastic labor demand may have to cut costs in other areas, such as reducing the number of hours worked or increasing prices, which can lead to job loss.

The argument made by Democrats is that increasing the minimum wage could lead to job losses because labor demand is inelastic for many businesses. However, there is ongoing debate over whether the benefits of higher wages for low-wage workers outweigh the potential costs of job loss.

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which type of analysis assesses a firm's business position using both internal and external analysis?

Answers

Your Strengths, Weaknesses, Opportunities, and Threats are summarized using a SWOT analysis, which includes external and internal analysis. Contribute to avoiding dangers and seizing opportunities.

Give information to reduce flaws and enhance strengths. Decide where and what kind of additional resources are needed. To aid in making wise decisions, provide information. The focus of external analysis is on how factors like market developments impact a firm and its success.

An internal analysis, on the other hand, focuses on a company's internal operations, such as its corporate culture and employee onboarding, and how those elements affect the company's success. The main internal and external environmental components that are considered crucial for accomplishing organizational goals are identified using a SWOT analysis.

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Why might Fourth of July fireworks be considered a public good? Who should pay for them? What about Airport Security?

Answers

The Fourth of July fireworks are considered a public good because they provide benefits to the entire community, regardless of whether or not individuals have directly contributed to the funding of the fireworks. The celebration of Independence Day is a shared cultural experience, and the fireworks display serves as a symbol of national pride and unity.

In terms of who should pay for the fireworks, this can be a contentious issue. Some argue that the government should foot the bill, as the fireworks are a celebration of the country's independence and therefore fall under the government's purview. Others believe that private donations or sponsorships from businesses are more appropriate, as it is not necessarily fair to require all taxpayers to contribute to an event that not everyone may be interested in attending.As for airport security, this is also considered a public good because it benefits everyone who travels by air. While individuals may be inconvenienced by security measures such as bag checks and metal detectors, these measures ultimately make air travel safer for everyone. In this case, it is generally accepted that the government should bear the cost of airport security, as it is a necessary public service that benefits the entire population. However, the specifics of how airport security is funded can vary depending on the country and the specific airport.

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In a promotion mix, ________ performs the functions of building a good rapport with entities outside the company, building up a good corporate image, and handling unfavorable rumors and events.

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In a promotion mix, public relations (PR) performs the functions of building a good rapport with entities outside the company, building up a good corporate image, and handling unfavorable rumors and events. PR involves creating and disseminating information about the company's activities, products, and services to the public through various channels, including media relations, social media, and events.

PR professionals use their skills to manage the company's reputation, respond to negative feedback, and maintain positive relationships with stakeholders, including customers, investors, and employees. Effective PR can enhance brand awareness, increase customer loyalty, and improve the company's bottom line.

In a promotion mix, "public relations" performs the functions of building a good rapport with entities outside the company, building up a good corporate image, and handling unfavorable rumors and events. Public relations involves managing communication between the organization and its various stakeholders to create and maintain a positive reputation.

This is achieved through activities such as press releases, events, media relations, and community involvement. By effectively utilizing public relations in the promotion mix, companies can establish trust and credibility with their target audience, leading to increased brand awareness and overall success.

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Professional managers doing security selection are evaluated on the basis on how their performance compares to that of a corresponding asset class benchmark.
A. True
B. False

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A. True.  Professional managers who are doing security selection are usually evaluated on how well they perform compared to a corresponding benchmark that represents the asset class they are investing in.

This benchmark can be an index or a group of securities that are representative of the asset class. The performance of the manager is then measured against this benchmark to see if they are adding value or not. If the manager is consistently underperforming the benchmark, then it may be time to consider a new manager or investment strategy. The benchmark provides a useful point of comparison for evaluating investment performance.

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Which of the following are privileges that are frequently assigned to preferred stockholders? (Select all that apply)
-Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to creditors.
-Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to common stockholders.
-Preferred stock have the exclusive right to vote in the election of members of the board of directors.
-Preferred stock dividends are paid before dividends are distributed to common stockholders.

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2)Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to common stockholders.

4) Preferred stock dividends are paid before dividends are distributed to common stockholders.

Preferred stockholders are given certain privileges compared to common stockholders. The following are some privileges that are frequently assigned to preferred stockholders:

Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to creditors. This means that preferred stockholders have a higher claim on the company's assets in the event of liquidation than the company's creditors.Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to common stockholders. This means that preferred stockholders have a higher claim on the company's assets in the event of liquidation than common stockholders.Preferred stock dividends are paid before dividends are distributed to common stockholders. This means that preferred stockholders are entitled to receive dividends before common stockholders.Preferred stockholders do not usually have the right to vote in the election of members of the board of directors. This means that preferred stockholders typically do not have a say in the management of the company.

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Which of the following are privileges that are frequently assigned to preferred stockholders? (Select all that apply)

-Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to creditors.-Preferred stock has a liquidation value that, in case of bankruptcy, is paid before assets are distributed to common stockholders.-Preferred stock have the exclusive right to vote in the election of members of the board of directors.-Preferred stock dividends are paid before dividends are distributed to common stockholders.

when depreciating real property under macrs, which of the following conventions is used? multiple choice question. a. mid-quarter b. mid-month c. mid-year d. half-year

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The following conventions are used for depreciating real property under macrs at the middle of the month. Option b is Correct.

Buildings are depreciated under MACRs according to the mid-month convention, which begins depreciating all property put into service during the month at the halfway point. You can deduct half a month's worth of depreciation in January, for instance, if you buy a residential rental property on January 30.

There are three different depreciation customs available under the Modified Accelerated Cost Recovery System (MACRS) of depreciation: half-year, mid-quarter, and mid-month. Except for residential rental property, nonresidential real estate, railway grading, and tunnel bores, the half-year convention is applicable to all other types of property (see MACRS Mid-Quarter Convention). Option b is Correct.

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on april 30, year 1, tilton products purchased machinery for $55,000. the useful life of this machinery is estimated at 8 years, with an $5,000 residual value. tilton uses a calendar year-end for financial reporting. in year 7, tilton products sells this machinery for $4,000. at the date of sale, the machinery had been depreciated by tilton products to its estimated residual value of $5,000. this sale results in:

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The sale of the machinery by Tilton Products for $4,000 in year 7 results in a loss on the sale of the asset.

To calculate the loss on sale, we need to determine the carrying value of the machinery on the date of the sale. The carrying value is the cost of the asset minus accumulated depreciation.

The machinery had an estimated useful life of 8 years with a residual value of $5,000.

Therefore, the annual depreciation expense would be $6,250 ($55,000 - $5,000) / 8.

After six years of use, the accumulated depreciation would be $37,500 ($6,250 x 6) and the carrying value would be $17,500 ($55,000 - $37,500).

Since the machinery was sold for $4,000, there is a loss on the sale of $13,500 ($17,500 - $4,000). This loss should be reported in Tilton Products' income statement for year 7 as a non-operating expense.

It's important to note that the depreciation expense for year 7 should be recorded up to the date of the sale, which would be $3,125 ($6,250 / 2). The remaining balance of accumulated depreciation after the sale would be $40,625 ($37,500 + $3,125).

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According to the Constructor Code of Conduct, which of the following situations is considered PRIMARILY under the
code rather than in the legal system? 1. Engaging in any deceptive practice that creates an
unfair advantage
2. Withholding payment from a vendor without just cause 3. Burying a drum with unknown contents on the site
beneath a water retention pond 4. Paying an inspector to approve marginal or defective
work

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Engaging in any deceptive practice that creates an unfair advantage is considered primarily under the Constructor Code of Conduct rather than in the legal system.

The Constructor Code of Conduct is a set of ethical principles and standards that govern the behavior of construction professionals. Deceptive practices that create an unfair advantage, such as lying about qualifications or experience, misrepresenting project costs or timelines, or engaging in conflicts of interest, violate the code's principles of honesty and integrity.

The other situations listed, such as withholding payment without just cause, burying a drum with unknown contents, and paying an inspector to approve marginal or defective work, may also be addressed by the Constructor Code of Conduct, but they may also have legal implications that fall outside of the code's jurisdiction.

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land, tools, equipment, factories, modes of transportation, and labor are best classified under which of the following?

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The terms land, tools, equipment, factories, modes of transportation, and labor are best classified under the factors of production.

The factors of production refer to the resources that are used in the production process to create goods and services. These resources include land, labor, capital (tools, equipment, factories), and entrepreneurship. Land refers to the natural resources that are used in production such as water, minerals, and soil. Tools, equipment, and factories are classified under capital as they are used to produce goods and services.

Modes of transportation are also classified under capital as they are used to transport goods and people from one place to another. Labor refers to the human resources that are used in production. It includes both physical and mental efforts that are used in the production process. It is important to note that all of these factors of production are necessary for production to take place.

In conclusion, the factors of production are an essential part of the production process. Land, tools, equipment, factories, modes of transportation, and labor are all vital resources that are used in production to create goods and services. Understanding the role of these factors in the production process is crucial for businesses and individuals who want to be successful in their endeavors.

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maxwell manufacturing issued $480,000, 12-year, 8% bonds at 107.00. what is the issue price of these bonds?

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The issue price of the bonds can be calculated using the following formula:

Issue price = Face value of the bonds * Selling price percentage

The face value of the bonds is $480,000, and the selling price percentage is 107.00%. To convert the selling price percentage to decimal form, we divide it by 100. So:

Selling price percentage = 107.00 / 100 = 1.07

Now we can substitute these values into the formula:

Issue price = $480,000 * 1.07 = $514,560

Therefore, the issue price of these bonds is $514,560. This means that investors are willing to pay more than the face value of the bonds, because the interest rate is higher than the prevailing market rate.

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