What effect might a financial panic have on the money multiplier and the money​ supply? Why?

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Answer 1

A financial panic can have a negative effect on the money multiplier and the money supply. The money multiplier represents the amount of money that can be created by banks through the process of lending, and it is based on the reserve requirements set by the central bank.

During a financial panic, banks may become hesitant to lend due to increased risk and uncertainty, which can result in a decrease in the money multiplier. This, in turn, can lead to a decrease in the money supply as there is less money being created through lending.Furthermore, during a financial panic, individuals and businesses may withdraw their deposits from banks, which can also reduce the money supply. If banks do not have enough reserves to meet the demand for withdrawals, they may have to sell assets or borrow from other banks, which can further reduce the money supply. Therefore, a financial panic can have a contractionary effect on the money supply, which can worsen economic conditions and potentially lead to a recession.

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Related Questions

Suppose that the required reserve ratio is 10%, currency in circulation is $590 billion, the amount of checkable deposits is $950 billion, and excess reserves are $17 billion. The money supply is $ 1540 billion. (Round your response to the nearest whole number.)
The currency deposit ratio is 0.6210. (Round your response to three decimal places.)
The excess reserves ratio is 0.0178 (Round your response to three decimal places.)
The money multiplier is 2.19. (Round your response to two decimal places.)
Suppose the central bank conducts an unusually large open market purchase of bonds held by banks of $1,420 billion due to a sharp contraction in the economy. Assuming the ratios you calculated in the previous steps are the same, the money supply should to $ billion

Answers

Using the given information, we can use the money multiplier formula to find the total reserves:Money supply = Currency in circulation + Checkable deposits$1540 billion = $590 billion + $950 billion

Total reserves = Required reserve ratio × Checkable deposits

Total reserves = 0.10 × $950 billion = $95 billion

Using the equation for excess reserves, we can find the actual reserves

held:Actual reserves = Total reserves - Excess reserves

Actual reserves = $95 billion - $17 billion = $78 billion

Finally, we can calculate the monetary base:

Monetary base = Actual reserves + Currency in circulation

Monetary base = $78 billion + $590 billion = $668 billion

Therefore, the monetary base is $668 billion.

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c. what is the overall supply of money? is it equal to the overall demand for money at the interest rate you found in part (b)?

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The overall supply of money is determined by the monetary policy of the central bank. It includes the currency in circulation and the reserves held by banks with the central bank.

The supply of money is typically depicted by the money supply curve, which is vertical at a given point in time as it is controlled by the central bank. The overall demand for money, on the other hand, is determined by the public's willingness to hold money for transactions and precautionary purposes. The demand for money curve slopes downwards, indicating that the quantity of money demanded is inversely related to the interest rate.

Whether the overall supply of money is equal to the overall demand for money depends on various factors such as the level of economic activity and monetary policy stance. At the interest rate found in part (b), the overall supply and demand for money could be equal, but it would depend on the specific circumstances of the economy at that time.

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an organization with a more diverse employee population that works to officially involve employees from differing racial or cultural backgrounds, but often finds minority members clustered at certain levels or functions, is considered

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An organization with a more diverse employee population that works to officially involve employees from differing racial or cultural backgrounds, but often finds minority members clustered at certain levels or functions, is considered to have a diversity problem.

This phenomenon is often referred to as the glass ceiling or the sticky floor. The glass ceiling describes a situation in which employees from certain groups, such as women or minorities, are unable to advance to higher levels of the organization, despite their qualifications and abilities.

The sticky floor, on the other hand, refers to a situation in which employees from certain groups are overrepresented in lower-level positions, with limited opportunities for advancement. Both of these situations can create barriers to achieving true diversity and inclusion in the workplace.

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in the wait/die scheme, the: question 24 options: a) younger and older transactions both wait indefinitely to be released. b) older transaction rolls back the younger transaction and reschedules it. c) older transaction waits for the younger one to complete and release its locks. d) younger, preempted transaction is rescheduled using the same time stamp.

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In the wait/die scheme, the older transaction waits for the younger one to complete and release its locks. The right answer is c.

When two or more transactions in a database management system (DBMS) are awaiting the release of resources, like locks on objects in the database, that they need to finish their activities, a deadlock occurs. As an outcome, neither of the transactions can move forward, leaving them "deadlocked" or stuck.

The DBMS simply compares the timestamps of the two transactions and permits the older transaction to stand by till the resource becomes accessible for execution if a transaction in the wait-die scheme demands a resource which is locked by another transaction.

The correct answer is option c.

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what other options for jonathan besides delegating some of his tasks to others to reduce the number of hours he is working each day?

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Jonathan can also try to prioritize his tasks and focus on the most important ones, while letting go of the less urgent ones. He can also try to streamline his work processes and find ways to work more efficiently, such as using technology or tools that can automate some of his tasks.

Another option is to negotiate with his employer for a more flexible work schedule or to work from home a few days a week, which can help reduce the time and stress associated with commuting. Additionally, Jonathan can try to improve his time management skills by setting clear goals and deadlines for himself, and breaking down larger tasks into smaller, more manageable ones. I hope this helps!
Other options for Jonathan besides delegating some of his tasks to reduce his working hours each day include:

1. Prioritizing: Jonathan can identify high-priority tasks and focus on them, while setting aside or eliminating low-priority tasks.
2. Time management: Jonathan can use tools like calendars and to-do lists to manage his time effectively, helping him work more efficiently.
3. Setting boundaries: Jonathan should establish clear work hours and avoid overworking by sticking to these hours.
4. Automating tasks: Jonathan can identify tasks that can be automated using technology, saving him time and effort.
5. Outsourcing: If delegation within his team isn't an option, Jonathan can consider outsourcing certain tasks to external service providers.

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consider the following findings from a recent swot analysis performed by sasha's flower shop. which of the following represents a threat? a. sasha has a good business relationship with local catering companies. b. sasha has a hard time finding good employees after the summer staff goes back to school. c. sasha has to spend a lot of time training her employees on how to care for the flowers and plants. d. a new funeral home just opened up in town. e. the summer drought has produced fewer flowers.

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Out of the options given, the threat to Sasha's Flower Shop is the opening of a new funeral home in town. This represents a threat because funeral homes often provide flower arrangements for funerals, which can take business away from Sasha's Flower Shop. Additionally, if the funeral home also offers its own flower shop, this could result in direct competition for customers.

While it is certainly a positive thing that Sasha has a good business relationship with local catering companies, this is not a threat. In fact, it could potentially lead to more business opportunities for Sasha's Flower Shop. Likewise, while it can be challenging to find good employees after summer staff goes back to school and training new employees can be time-consuming, these are not necessarily threats, but rather challenges to be addressed.

The summer drought that has produced fewer flowers is also not a threat to Sasha's Flower Shop, but rather a circumstance that may require a shift in sourcing or marketing strategies. Overall, it is important for businesses to regularly perform SWOT analyses in order to identify threats and opportunities and develop strategies to address them.

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When a trust instrument is silent regarding a trusteeâs powers, which of the following implied powers does a trustee generally have?
The power to make distributions of principal to income beneficiaries
The power to lease trust property to third parties
A. Both A and B
B. Only A
C. Only B
D. Neither A nor B

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When a trust instrument is silent regarding a trustee's powers, the trustee generally has certain implied powers. B. Only A

These implied powers are not specifically listed in the trust document, but they are considered necessary and reasonable for the trustee to carry out their duties. One of the implied powers is the power to make distributions of principal to income beneficiaries. This power allows the trustee to make distributions from the trust principal to the beneficiaries who are entitled to the trust's income. Another implied power is the power to lease trust property to third parties. This power enables the trustee to lease trust assets, such as real estate or equipment, to generate income for the trust. Both of these powers are generally available to a trustee when the trust instrument is silent regarding their powers.

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Which of the following is an example of a short term goal for a business thatprovides cable TV services?Create a new division to provide internet and wireless communication servicesDouble revenue by the end of the next fiscal yearBuild goodwill in the community by developing a community outreach departmentRoll out the new marketing plan by the end of the current quarter

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The correct option D, Rolling out a new marketing plan by the end of the current quarter is an example of a short-term goal for a business that provides cable TV services. Short-term goals are those that can be accomplished in the near future, usually within a few months to a year.

Rolling out a new marketing plan is a specific and measurable goal that can be achieved within a defined time frame. To accomplish something means to successfully complete or achieve a task, goal, or objective.

Accomplishments can be personal, professional, or organizational and can range from small tasks to major achievements. Accomplishing something requires effort, perseverance, and often some degree of skill or expertise. It often involves setting specific and measurable goals, developing a plan of action, and taking steps to implement that plan.

Accomplishments can bring a sense of pride, satisfaction, and fulfillment, and can lead to personal growth and advancement, improved relationships, and greater success in one's career or business. Celebrating accomplishments can also help to build morale, inspire others, and foster a culture of achievement and excellence.

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Complete Question:-

Which of the following is an example of a short term goal for a business thatprovides cable TV services?

a. Create a new division to provide internet and wireless communication services

b. Double revenue by the end of the next fiscal year

c. Build goodwill in the community by developing a community outreach department

d. Roll out the new marketing plan by the end of the current quarter

if the mortgagor has defaulted or has failed to perform some other agreement in the mortgage, the mortgagee has the right to apply to a court to have the property sold. this is called the right to:

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 The right to have the property sold when the mortgagor has defaulted or failed to perform some other agreement in the mortgage is called the power of sale. This power of sale is typically included in the mortgage agreement as a clause, which gives the mortgagee the right to sell the property without having to go through the courts. However, in some jurisdictions, the mortgagee may be required to obtain a court order before selling the property.

The proceeds from the sale are used to pay off the outstanding mortgage balance and any other expenses related to the sale, and any remaining funds are returned to the mortgagor. It is important for mortgagors to understand the power of sale clause in their mortgage agreement and to take steps to avoid defaulting on their mortgage payments to avoid the possibility of losing their property.


If the mortgagor has defaulted or failed to perform some agreement in the mortgage, the mortgagee has the right to apply to a court to have the property sold. This is called the right to "foreclosure."

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new parents place a continuous stream of $5,000 per year into a college fund which has a continuously compounding interest rate of 0.8%. what will be the value of this continuous stream after 18 years?

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The value of the continuous stream after 18 years would be approximately $121,023.

To calculate this, we need to use the formula for continuous compound interest: A = Pe^(rt)

where:

A = final amount

P = principal (initial investment)

e = Euler's number (approximately 2.71828)

r = interest rate

t = time

In this case, the principal (initial investment) is $5,000 per year, and the interest rate is 0.8% or 0.008 as a decimal. The time is 18 years.

We can first calculate the value of the continuous stream after one year:

A = 5,000e^(0.008*1)

A = 5,040.39

This means that after one year, the value of the college fund would be $5,040.39.

To calculate the value after 18 years, we can simply plug in the values:

A = 5,000e^(0.008*18)

A = 121,023.45

Therefore, the  value of the continuous stream after 18 years would be approximately $121,023.

1. We will use the formula for the future value of a continuous annuity: FV = P * (e^(r*t) - 1) / r

2. In this formula, FV represents the future value, P represents the annual payment, e is the base of the natural logarithm, r is the interest rate, and t is the time in years.

3. Plug in the values: P = $5,000, r = 0.008 (0.8% expressed as a decimal), and t = 18 years.

4. Calculate e^(r*t): e^(0.008*18) ≈ 1.1506

5. Calculate FV: FV = 5000 * (1.1506 - 1) / 0.008 ≈ $103,596.41

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Understanding Bond Pricing
Suppose your friend tells you that she recently purchased a 20-year $8,000.00 bond with a 6% coupon. A month later, she saw it quoted at 103.375, but she does not know what this means.
You can tell by the way the bond is priced that she has aU.S. (Treasury or agency/Corporate or municipal) bond; otherwise it would have been priced (103 3/8 or 103:12 or 103:37.5). You explain that the market price of her bond is now ($103.38 or $8,103 or $8,270 or $830,200), meaning it is now a (Premium or Discount) bond.
Based on the market price of the bond you calculated, you can tell that market interest rates have gone (Up or Down) since the bond was issued. The current yield of the bond is now 5.63% or 5.80% or 6.00% or 6.38%) .

Answers

The market price of the bond is now $8,270. The current yield of the bond is 5.80% if purchased a 20-year $8,000.00 bond with a 6% coupon.

Hence, the correct option is B

Your friend has a corporate or municipal bond, as it is priced with fractions rather than decimals. The market price of the bond is now $8,270, meaning it is now a premium bond.

Based on the market price of the bond, you can tell that market interest rates have gone down since the bond was issued. This is because the bond is now priced at a premium, indicating that its interest rate is lower than the current market rate.

To calculate the current yield of the bond, you need to divide the annual interest payment (coupon) by the market price of the bond and multiply by 100%. In this case, the annual interest payment is $480 ($8,000 x 6%), and the market price is $8,270. So, the current yield is (480/8270) x 100% = 5.80%.

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one appealing way for a company to adjust to favorable and unfavorable exchange rate adjustments to its total production costs stemming from shipping footwear from production facilities in one geographic region to distribution warehouses in another region is to

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One appealing way for a company to adjust to favorable and unfavorable exchange rate adjustments to its total production costs stemming from shipping footwear from production facilities in one geographic region to distribution warehouses in another region is to implement a currency hedging strategy.

This involves using financial instruments, such as futures contracts or options, to protect against fluctuations in exchange rates.

For example, if a company expects the exchange rate to fluctuate unfavorably, they can purchase a futures contract to sell their currency at a fixed exchange rate in the future. This would protect them from any further weakening of their currency's value. Conversely, if a company expects the exchange rate to strengthen, they can sell a futures contract to lock in a favorable exchange rate.

Another strategy is to adjust pricing and distribution strategies. For example, if the cost of shipping from one region to another becomes too expensive due to unfavorable exchange rate movements, the company may decide to produce and sell footwear locally instead. This can reduce transportation costs and eliminate the need to deal with exchange rate fluctuations altogether.

Ultimately, the key is for companies to closely monitor exchange rates and be flexible in their strategies to adjust accordingly. By implementing hedging strategies and being agile in their pricing and distribution decisions, companies can mitigate the impact of unfavorable exchange rate movements on their production costs and remain competitive in the global market.

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The gross requirements of a given part or component are determined from: Select one: a. planned order release of the immediate parent(s). O b. gross requirements of the immediate parent(s). c. planned order releases of the end iterlos e O d. net requirements of the end item. e. net requirements + amount on-hand.

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The gross requirements of a given part or component are determined from the planned order release of the immediate parent(s). Option A

This means that the amount of the part or component needed is calculated based on the planned orders for the item's immediate parent(s).

For example, if a manufacturer is producing a bicycle and needs a certain number of wheels for each bike, the gross requirements for the wheels would be determined by the planned order releases for the frames, which are the immediate parents of the wheels.

It is important to note that gross requirements represent the total quantity needed, including any excess or safety stock. This is different from net requirements, which only take into account the amount needed to fulfill demand, after accounting for existing inventory and planned orders.

By using gross requirements, manufacturers can ensure that they have enough inventory on hand to meet demand and minimize the risk of stockouts or delays in production. It is a key component of effective production planning and inventory management. So the correct answer is Option A.

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Penny is 57 years old and she participates in her employerâs 401(k) plan. During the year, she contributed $2,000 to her 401(k) account. Pennyâs AGI is $36,000 after deducting her 401(k) contribution. What is Pennyâs saverâs credit in each of the following alternative scenarios? (Use Exhibit 13-8) (Leave no answer blank. Enter zero if applicable.)
a. Penny is not married and has no dependents.
b.Penny files as a head of household and she has three dependents.
c. Penny files as a head of household and she has one dependent.
d. Penny is married and files a joint return with her husband. They have three dependents.
e. Penny files a separate tax return from her husband. She claims two dependent children on her return.

Answers

Penny's Saver's Credit amount varies based on her filing status, number of dependents, and AGI. In all scenarios, she is eligible for the credit, with the highest amount being $1,000 for filing as head of household with three dependents and contributing $2,000 to her 401(k) plan.

The Saver's Credit, also known as the Retirement Savings Contributions Credit, is a tax credit provided by the government to incentivize low-to-middle-income taxpayers to save for their retirement. The credit is based on the amount of contributions made to a qualified retirement plan, such as a 401(k), IRA, or Roth IRA, and is subject to income limitations.

a. Penny is not married and has no dependents. According to Exhibit 13-8, for tax year 2021, an individual with an AGI of $36,000 or less who contributes $2,000 to a qualified retirement plan is eligible for a 20% credit, which amounts to $400.

b. Penny files as a head of household and she has three dependents. Based on Exhibit 13-8, for tax year 2021, a head of household with an AGI of $36,000 or less who contributes $2,000 to a qualified retirement plan and has three dependents is eligible for a 50% credit, which amounts to $1,000.

c. Penny files as a head of household and she has one dependent. Similar to scenario b, a head of household with an AGI of $36,000 or less who contributes $2,000 to a qualified retirement plan and has one dependent is eligible for a 50% credit, which amounts to $1,000.

d. Penny is married and files a joint return with her husband. They have three dependents. Based on Exhibit 13-8, for tax year 2021, a married couple filing jointly with an AGI of $36,000 or less who contributes $2,000 to a qualified retirement plan and has three dependents is eligible for a 50% credit, which amounts to $1,000.

e. Penny files a separate tax return from her husband. She claims two dependent children on her return. According to the IRS, if a married couple files separately, both spouses must have an AGI of $19,500 or less to be eligible for the credit. Assuming Penny meets this requirement and contributed $2,000 to her 401(k) plan, she is eligible for a 20% credit, which amounts to $400.

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the order of production rules is not significant, i.e. two grammars with identical rules but given in a different order will always define the same language. group of answer choices true false

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True. The order of production rules in a grammar is not significant, as long as the rules themselves are identical. This is because the order in which the rules are applied does not affect the resulting language that is defined by the grammar.

As long as the rules are correctly defined and applied, the grammar will produce the same language regardless of the order in which the rules are presented. This is an important principle in the study of formal languages and grammars, as it allows for greater flexibility and ease of use in defining complex languages and systems.
The statement is true. The order of production rules is not significant in grammars. Two grammars with identical rules but given in a different order will always define the same language. The language is determined by the set of production rules, not the order in which they are listed. As long as the grammars have the same rules, they will generate the same language regardless of the order in which the rules are presented.

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At rebalancing date D, stock ABC was part of bucket 7 in a P/E ratio backtest with 10 buckets. Even if the stock's P/E ratio fall substantially, it is possible that it will belong to bucket 7 at the next rebalancing date provided that the P/E ratio of other stocks also drop substantially.
A. True
B. False

Answers

The statement is true. In a P/E ratio backtest with 10 buckets, the stocks are grouped based on their P/E ratio, and the rebalancing date is the date when the stocks are re-arranged into their respective buckets based on the latest P/E ratio.

If stock ABC was part of bucket 7 on the last rebalancing date, it means its P/E ratio was in the range of values that correspond to bucket 7. However, if its P/E ratio falls substantially, it could still belong to bucket 7 if the P/E ratio of other stocks in the same backtest also falls substantially. For example, if the P/E ratio of all stocks in bucket 7 and some in bucket 8 fall, then stock ABC could still be in bucket 7 on the next rebalancing date.

The relative positioning of stocks in the P/E ratio backtest is more important than the absolute value of their P/E ratio. Even if the P/E ratio of a stock falls, it can still belong to a higher bucket if the P/E ratio of other stocks in the lower bucket falls more. This is because the bucketing process is based on percentile ranges of the P/E ratio of all the stocks in the backtest. Therefore, the statement is true, and stock ABC can belong to bucket 7 at the next rebalancing date even if its P/E ratio falls substantially, provided that the P/E ratio of other stocks in the backtest also drop substantially.

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You are given the following information on Parrothead Enterprises:
Debt: 9,400 6.6 percent coupon bonds outstanding, with 21 years to maturity and a quoted price of 105. These bonds pay interest semiannually and have a par value of $1,000.
Common stock: 245,000 shares of common stock selling for $64.90 per share. The stock has a beta of .94 and will pay a dividend of $3.10 next year. The dividend is expected to grow by 5.4 percent per year indefinitely.
Preferred stock: 8,400 shares of 4.7 percent preferred stock selling at $94.40 per share. The par value is $100 per share.
Market: 11.6 percent expected return, risk-free rate of 3.8 percent, and a 24 percent tax rate.
Calculate the company's WACC.

Answers

The WACC of Parrothead Enterprises is 8.72% in the given scenario of Parrothead Enterprises.

To calculate the weighted average cost of capital (WACC) of Parrothead Enterprises, we need to calculate the cost of each component of the capital structure and weight them based on their proportion in the capital structure.

First, let's calculate the cost of debt:

Coupon rate = 6.6%

Market price = 105% of $1,000 = $1,050

Yield to maturity (YTM) = ?

Years to maturity = 21

Semiannual coupon payment = (6.6% / 2) * $1,000 = $33

We can use a financial calculator or spreadsheet to find the YTM of the bonds. Assuming a YTM of 5.5%, we can calculate the cost of debt as:

Cost of debt = YTM * (1 - tax rate)

= 5.5% * (1 - 0.24)

= 4.18%

Next, let's calculate the cost of equity:

Risk-free rate = 3.8%

Market risk premium = 11.6% - 3.8% = 7.8%

Beta = 0.94

Cost of equity = risk-free rate + beta * market risk premium

= 3.8% + 0.94 * 7.8%

= 10.532%

Finally, let's calculate the cost of preferred stock:

Preferred dividend = 4.7% * $100 = $4.70

Market price = $94.40

Cost of preferred stock = preferred dividend / market price

= $4.70 / $94.40

= 4.98%

Now we can calculate the WACC:

Weight of debt = $9,400,000 / ($9,400,000 + $245,000 * $64.90 + $8,400 * $94.40) = 0.2682

Weight of equity = $245,000 * $64.90 / ($9,400,000 + $245,000 * $64.90 + $8,400 * $94.40) = 0.7233

Weight of preferred stock = $8,400 * $94.40 / ($9,400,000 + $245,000 * $64.90 + $8,400 * $94.40) = 0.0085

WACC = Weight of debt * Cost of debt + Weight of equity * Cost of equity + Weight of preferred stock * Cost of preferred stock

= 0.2682 * 4.18% + 0.7233 * 10.532% + 0.0085 * 4.98%

= 8.72%

Therefore, the WACC of Parrothead Enterprises is 8.72%.

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which of the following strategies may be used to alter a firm's capital structure toward a higher percentage of debt compared to equity? a. maintain a low dividend payout ratio b. share repurchase c. stock split d. stock dividend

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a firm's capital structure towards a higher percentage of debt compared to equity can be achieved through various strategies such as issuing more debt, decreasing dividend payouts, share repurchase, stock split, and stock dividend.

There are various strategies that a firm can use to alter its capital structure towards a higher percentage of debt compared to equity. Among these strategies are:
1. Increase the issuance of debt: This is perhaps the most straightforward approach to increasing the percentage of debt in a firm's capital structure. By issuing more debt, a company can increase its leverage and decrease the proportion of equity in its capital structure. This can be achieved through issuing bonds or taking out loans from financial institutions.
2. Decrease dividend payouts: By maintaining a low dividend payout ratio, a company can retain more of its earnings and use them to pay off debt. This can reduce the proportion of equity in a company's capital structure, as less money is paid out to shareholders.
3. Share repurchase: A share repurchase program involves a company buying back some of its own outstanding shares from the market. This can lead to an increase in the value of remaining shares, which may make debt financing a more attractive option for the company.
4. Stock split: A stock split is a process where a company increases the number of outstanding shares by dividing existing shares. This can make the shares more affordable for investors, leading to an increase in demand and a rise in the value of the company's stock. This can make it easier for the company to issue more debt as the value of equity increases.
5. Stock dividend: A stock dividend is a distribution of additional shares to existing shareholders instead of cash. This can increase the number of outstanding shares, which can decrease the proportion of equity in a company's capital structure.
In conclusion,   It is essential for a company to evaluate these strategies and determine which approach is best suited for its specific financial situation and long-term objectives.

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triton corporation (triton) hired ursula to be its agent. triton has now dissolved. what happens to the agency?

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When a corporation like Triton dissolves, the agency's relationship with Ursula will generally come to an end.


An agency relationship is a legal arrangement where one party (the agent) agrees to act on behalf of another party (the principal) in business dealings with third parties. In this case, Triton Corporation hired Ursula to be its agent.

When Triton dissolves, it means that the corporation is no longer in existence. The assets and liabilities of the corporation are typically distributed among its shareholders, and the corporate entity is terminated.

As a result, the agency relationship between Triton and Ursula will generally be terminated as well. This means that Ursula will no longer have the authority to act on behalf of Triton in business dealings with third parties.

However, it is possible that the dissolution of Triton may not automatically terminate the agency relationship with Ursula. This will depend on the specific terms of the agency agreement between Triton and Ursula, as well as applicable state law. For example, if the agency agreement specifies that the relationship will continue even if the principal dissolves, then Ursula may still have the authority to act on behalf of Triton in certain circumstances.

Overall, the effect of Triton's dissolution on the agency's relationship with Ursula will depend on a variety of factors, including the terms of the agency agreement and applicable state law.

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Q# 1How Goods Market will be in Equilibrium according to savingand investment approach?Q# 2An increase in the expected real interest rate tends to raisedesired saving, but lower desired investmen

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For Q# 1: According to the saving and investment approach, the Goods Market will be in equilibrium when saving and investment are equal.

This means that the amount of goods produced and consumed in an economy will be determined by the level of saving and investment. When saving and investment are equal, there is no excess supply or demand for goods. The equilibrium level of saving and investment will be determined by the real interest rate, which is the rate that adjusts for inflation.

For Q# 2: An increase in the expected real interest rate tends to raise desired saving, but lower desired investment.

This is because a higher expected real interest rate increases the return on savings, making saving more attractive. At the same time, it makes borrowing more expensive, which lowers the return on investment and makes investment less attractive. As a result, an increase in the expected real interest rate tends to increase the level of saving and decrease the level of investment. This can lead to a decrease in the level of economic activity and output, as there may be less investment in new goods and services.

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Based on your assessment, you determine that the fetus is in a/an [blank] presentation

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Based on your assessment, you determine that the fetus is in a specific presentation. A "presentation" refers to the position of the fetus in the uterus during labor and delivery. An accurate assessment of fetal presentation is crucial for a successful and safe delivery. The main types of fetal presentations are:

1. Cephalic presentation: The most common presentation, where the fetus's head is facing downwards towards the birth canal. This is the ideal position for a normal vaginal delivery.
2. Breech presentation: The fetus's buttocks or feet are positioned towards the birth canal, making it more difficult for a vaginal delivery. This presentation may require medical intervention or a cesarean section.
3. Shoulder or transverse presentation: The fetus is lying sideways in the uterus, with its shoulder or arm facing the birth canal. This is a rare presentation and often results in a cesarean section due to potential complications.

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fiona has a monopoly on motorboat rentals on nantucket island during the summer. she can rent five boats per week at $11,000 each. if she wants to rent six, she can charge only $10,000 each. the quantity effect of renting the sixth motorboat is: group of answer choices $11,000. $10,000. $15,000. $21,000.

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The quantity effect of renting the sixth motorboat is $10,000. A company that enjoys monopoly status lacks replacements for its goods and faces little internal rivalry. Monopolies have the power to set prices and erect obstacles to entry for rival businesses.

Fiona has a monopoly on motorboat rentals on Nantucket Island during the summer, which means she is the only provider of this service in the area. She has set the rental price for five boats per week at $11,000 each. However, if she wants to rent six boats per week, she has to reduce the rental price to $10,000 each. This is because the additional boat would add to her costs, and she would have to lower the price to attract customers.

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a property was acquired for $950,000 and then produced cash flows of $100,000, $120,000, $135,000, $135,000, and $125,000 at the end of years 1 through 5, respectively. the property was then sold for $1,200,000 at the end of the fifth year. what was the internal rate of return for this investment?

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To calculate the internal rate of return (IRR) for this investment, we need to use a financial calculator or spreadsheet software. The IRR is the discount rate that makes the net present value of all cash flows equal to zero.

Using the cash flows provided, we can calculate the net present value (NPV) of the investment at different discount rates until we find the rate that makes the NPV equal to zero. After calculating, we get the IRR to be 11.2%. This means that the investment generated an annualized return of 11.2% over the five-year period.

Solve for IRR using an IRR calculator, Excel, or iterative numerical methods such as the Newton-Raphson method or the bisection method. Using an IRR calculator or Excel function, the internal rate of return for this investment is approximately 12.47%.To find the internal rate of return (IRR) for this investment, which includes the terms property acquisition, cash flows, and property sale.

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Conclusions and recommendations are the most widely read sections of any report. Conclusions summarize and explain your findings and are the heart of your report. The ability to draw sound conclusions and make clear recommendations from your research is crucial to business success. Companies value employees who can analyze data and use it to help answer questions and solve problems.
1. When drawing conclusions, make sure you (use consistent evaluation criteria / are open to sensationalization or exaggeration / avoid relating them to the initial report problem).
Consider the scenario, and then answer the question.
You are making recommendations after researching and writing a report on sports club discounts and employee health.

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Consistency in evaluation criteria, avoiding sensationalism, and relating recommendations to the initial problem is crucial when drawing conclusions and making recommendations in a report on sports club discounts and employee health.

When drawing conclusions in a report on sports club discounts and employee health, it is important to use consistent evaluation criteria. This means using the same standards for assessing different aspects of the research. For example, if the research looked at the effectiveness of the discounts on employee health, the criteria used to evaluate the impact of the discounts should be the same for all employees.

It is also important to avoid sensationalization or exaggeration when drawing conclusions. The conclusions should be based on the data and facts collected during the research process. Any claims made should be supported by evidence from the research.

When making recommendations, it is important to relate them to the initial report problem. The recommendations should address the issues identified in the report and provide solutions or suggestions for improvement. The recommendations should be actionable and feasible for the company to implement.

To draw sound conclusions and make clear recommendations in a report on sports club discounts and employee health, consistency in evaluation criteria, avoiding sensationalism, and relating recommendations to the initial report problem are key factors to consider. These skills are highly valued in the workplace, as they demonstrate the ability to analyze data and solve problems.

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The association that actively promotes excellence in project management is:.

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The association that actively promotes excellence in project management is the Project Management Institute (PMI). PMI is a global organization that provides resources, certifications, and networking opportunities for project management professionals.

They offer a range of certification programs, including the Project Management Professional (PMP) certification, which is widely recognized as the gold standard in project management. PMI also provides access to a wealth of educational materials, webinars, and events to help project managers stay up-to-date on best practices and trends in the field. Additionally, PMI advocates for the value of project management and the importance of the profession in achieving organizational success. Overall, PMI is a valuable resource for anyone looking to advance their project management career and promote excellence in the field.

The association that actively promotes excellence in project management is the Project Management Institute (PMI). PMI is a global, non-profit professional organization dedicated to advancing the practice, science, and profession of project management. They achieve this by providing resources, certifications, networking opportunities, and professional development courses to project management professionals. PMI establishes standards and best practices through their widely recognized publication, the Project Management Body of Knowledge (PMBOK). By adhering to PMI's guidelines and obtaining their certifications, project managers can demonstrate their commitment to excellence and improve their skills in managing projects effectively.

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you have identified relevant controls for several assertions within the revenue cycle, and you must use idea to perform several tests of controls. required: using the information above, complete all of the related steps shown below using idea. after completing each step, answer each question by supplying the required information. (enter your answers exactly as they appear in idea.) match the paid invoice numbers in the purchases data set with the invoice numbers in the cash disbursements data set. a. what is the total dollar amount of paid invoices listed in the purchase data, but not included in the cash disbursements data?

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(A) The total dollar amount of paid invoices listed in the purchase data, but not included in the cash disbursements data is [insert answer from IDEA output].

To match the paid invoice numbers in the purchases data set with the invoice numbers in the cash disbursements data set using IDEA, you can perform the following steps:

1. Import the purchases and cash disbursement data sets into IDEA.
2. Use the Join function in IDEA to match the invoice numbers in the two data sets.
3. Once the data sets are joined, use the Summarize function in IDEA to calculate the total dollar amount of paid invoices listed in the purchase data and included in the cash disbursements data.
4. Use the Extract function in IDEA to create a new data set that only includes paid invoices listed in the purchase data, but not included in the cash disbursements data.
5. Use the Summarize function in IDEA again to calculate the total dollar amount of paid invoices listed in the purchase data, but not included in the cash disbursements data.

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on december 31, 2023, vivid corporation prepared adjusting entries that included the following items: depreciation expense: $33,000. accrued sales revenue: $31,000. accrued expenses: $12,000. used insurance: $5,000; the insurance was initially recorded as prepaid. rent revenue earned: $3,000; the rent was initially prepaid by the tenant and credited to unearned rent revenue. if vivid corporation reported pretax income of $250,000 prior to the adjusting entries, how much is vivid's pretax income after the adjusting entries?

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$234,000 is vivid's pretax income after adjusting entries.

Pretax earnings are an organization's pay left over after every single working cost, including interest and deterioration, have been deducted from complete deals or incomes, yet before personal expenses have been deducted.

It is an organization's pay after all working costs, including interest and deterioration, have been deducted from all out deals or incomes.

Pretax pay after the Change = Pretax pay before changes + Accumulated deals income + Lease income acquired - devaluation - accrued expenses - used insurance

=  $250,000 + $31,000 + $3,000 - $33,000 - $12,000 - $5,000

= $234,000

The above were all period costs and thus should have been represented in the pay.

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recompute the weighted average cost of capital based on using new common stock in the capital structure. the weights remain the same, only common equity is now supplied by new common stock, rather than by retained earnings. after how much new financing will this increase in the cost of capital take place? determine this by dividing retained earnings by the percent of equity in the capital structure.

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To compute the new weighted average cost of capital (WACC) after using new common stock in the capital structure, we need to first calculate the cost of new common stock.

This can be done using the dividend growth model or the capital asset pricing model (CAPM). Once we have the cost of new common stock, we can use the same weights as before and the cost of debt to calculate the new WACC.

The increase in the cost of capital will take place after the amount of new financing equals the amount of retained earnings divided by the percentage of equity in the capital structure. This is because retained earnings have a cost of equity of 0% since they are already part of the equity in the capital structure. Once the amount of new financing exceeds this amount, the cost of equity will increase due to the issuance of new common stock, leading to an increase in the WACC.

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recording revenue from a sale even though the rights and risks of ownership have not yet passed to the purchaser is an example of what type of fictitious revenue scheme?

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Recording revenue from a sale even though the rights and risks of ownership have not yet passed to the purchaser is an example of a fictitious revenue scheme known as "bill and hold" or "ship and debit."

This type of scheme is considered fictitious because it inflates revenue figures by recognizing sales that have not actually been completed or shipped. The company essentially records revenue for a sale that has not yet occurred, and may delay the actual delivery of the product until a later time.

This type of scheme is fraudulent and misleading, as it can give investors and stakeholders a false sense of the company's financial health and performance. It is important for companies to accurately record revenue and only recognize it when the sale has been completed and the risks and rewards of ownership have transferred to the purchaser. Proper accounting practices and internal controls can help prevent fictitious revenue schemes and ensure accurate financial reporting.

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lim industries has average variable costs of $1 and average total costs of $12 when it produces 500 units of output. the firm's total fixed costs equal a. $13. b. $11. c. $6,500. d. $5,500.

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To find the total fixed costs of Lim Industries, we need to use the formula: Total Costs = Fixed Costs + Variable Costs x Quantity. We are given the average variable cost of $1 and the average total cost of $12 when producing 500 units of output.

Using this information, we can calculate the total variable costs as follows:

Total Variable Costs = Average Variable Cost x Quantity
Total Variable Costs = $1 x 500
Total Variable Costs = $500

Next, we can use the formula above to solve for the total fixed costs:

Total Costs = Fixed Costs + Total Variable Costs
$12 x 500 = Fixed Costs + $500
$6,000 = Fixed Costs + $500
Fixed Costs = $6,000 - $500
Fixed Costs = $5,500

Therefore, the answer is d. $5,500, as this represents the total fixed costs of Lim Industries.

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