4 2.5 If the Fed buys securities worth $20 million from a commercial bank, the Fed's balance sheet will show a. a decrease in securities held of $20 million and a decrease in bank reserves of $20 million b. an increase in securities held of $20 million and an increase in bank reserves of $20 million. c. an increase in securities held of $20 million and a decrease in bank reserves of $20 million d. a decrease in securities held of $20 million and an increase in bank reserves of $20 million 5 2.5 The value of the discount rate at any given point in time reflects the prevailing balance between the demand for and supply of discount loans. As such, the discount rate is a market determined rate. O-True O-False

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Answer 1

If the Fed buys securities worth $20 million from a commercial bank, the Fed's balance sheet will show an increase in securities held of $20 million and an increase in bank reserves of $20 million.

This is because when the Federal Reserve purchases securities, it essentially credits the commercial bank's reserve account with the corresponding amount, increasing the reserves. So, the correct answer is option (b).

As for the second part of your question, the value of the discount rate at any given point in time reflects the prevailing balance between the demand for and supply of discount loans. However, the statement that the discount rate is a market determined rate is false. The discount rate is set by the Federal Reserve and not determined by market forces. It is the interest rate charged by the Federal Reserve to commercial banks for borrowing from its discount window.

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Related Questions

Goods that have been started in the manufacturing process but are not yet complete are included in the A. Raw Materials Inventory account B. Cost of Goods Sold account C. Finished Goods Inventory account D. Work-in-Process Inventory account

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Goods that have been started in the manufacturing process but are not yet complete are included in the Work-in-Process (WIP) Inventory account.

WIP Inventory includes all partially completed goods, raw materials, labor, and overhead costs associated with the goods that are in the process of being manufactured.

The WIP Inventory account is an important component of the manufacturing process, as it allows companies to track the costs associated with producing goods at each stage of the production process. This information is critical for making informed decisions about production efficiency, cost management, and pricing strategies.

Once the goods are completed, they are transferred from the WIP Inventory account to the Finished Goods Inventory account. From there, they are sold and the cost of the goods sold is recorded in the Cost of Goods Sold account.

In summary, goods that have been started in the manufacturing process but are not yet complete are included in the Work-in-Process Inventory account. This account tracks the costs associated with producing goods at each stage of the production process and is an important tool for managing production efficiency and cost.

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On December 31, 2019, Cruise Company has 15,000 units of an inventory item, which cost $43 per unit when purchased on June 15, 2019. The selling price was $80 per unit. On December 30, 2019, it was determined that cost to sell was $47 per unit. At what amount should the 15,000 units of Inventory be reported at on the December 31, 2019 balance sheet? Multiple Choice a. $645.000 b. $1.200.000 c. $705.000 d. $495.000

Answers

The cost of goods sold (COGS) per unit can be calculated as follows:

COGS per unit = Cost to purchase + Cost to sell = $43 + $47 = $90

Therefore, the total cost of goods sold for 15,000 units would be:

Total COGS = COGS per unit × Number of units sold = $90 × 15,000 = $1,350,000

The inventory balance at the end of the year can be calculated as follows:

Inventory balance = Number of units on hand × Cost per unit

Since the inventory balance needs to be reported at the lower of cost or net realizable value, we need to compare the cost per unit ($43) with the net realizable value per unit ($80 - $47 = $33).

Since the net realizable value per unit is lower than the cost per unit, we need to use the net realizable value to value the inventory.

Therefore, the inventory balance on the balance sheet date would be:

Inventory balance = Number of units on hand × Net realizable value per unit

= 15,000 × $33

= $495,000

Therefore, the correct answer is (d) $495,000.

If research indicates that a new intervention for a chronic health condition may offer more benefits than an established intervention, it would be unethical to allow a patient who has been educated about both options to continue using the established intervention.
Group of answer choices
True
False

Answers

False. It is not unethical to allow a patient to continue using the established intervention if they have been educated about both options.

If research indicates that a new intervention for a chronic health condition may offer more benefits than an established intervention, it would not be unethical to allow a patient who has been educated about both options to continue using the established intervention if they choose to do so. It is important to respect the patient's autonomy and allow them to make informed decisions about their healthcare. However, it is also important to provide the patient with accurate and up-to-date information about both interventions so that they can make an informed decision. It is also important to continue to monitor and evaluate the effectiveness and safety of both interventions to ensure that patients are receiving the best possible care.
As long as the patient has been provided with accurate and comprehensive information, they have the right to make an informed decision about their own healthcare, even if the new intervention may offer more benefits.

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if you expect their yields to maturity to be 8 t the beginning of next year, what will be the price of the bond?

Answers

To calculate the price of a bond when you expect the yield to maturity (YTM) to be 8% at the beginning of next year, you need to know the bond's face value, coupon rate, and remaining time to maturity. You can then use the bond pricing formula to find the bond's price.


Price of bond = (Coupon payment / (1 + r)^1) + (Coupon payment / (1 + r)^2) + ... + (Coupon payment + Face value / (1 + r)^n) where r is the yield to maturity, n is the number of years to maturity, and Coupon payment is the periodic interest payment.
Assuming that the bond has a face value of $1,000 and an annual coupon rate of 6%, the coupon payment per year would be $60. If the yield to maturity is 8% and the bond has a maturity of 1 year, the price of the bond can be calculated as follows:
Price of bond = (60 / (1 + 0.08)^1) + (1000 / (1 + 0.08)^1)
Price of bond = (60 / 1.08) + (1000 / 1.08)
Price of bond = 55.56 + 925.93
Price of bond = $981.49
Therefore, if you expect the yield to maturity to be 8% at the beginning of next year, the price of the bond would be $981.49.

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The city of Clement levies a 5 percent tax on the base price of rooms provided by hotels and motels located within the city limits. This year, the aggregate room price subject to tax was $25 million, so current year revenue was $1.25 million Clement's city council recently voted to increase the hotel tax rate to 6 percent for the next fiscal year. Required: a. Compute next year's hotel tax revenue assuming next year's tax base equals the current year base. b. Compute next year's hotel tax revenue assuming next year's tax base decreases to $22 million c. Compute next year's hotel tax revenue assuming next year's tax base decreases to $19 million

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a. Next year's hotel tax revenue assuming next year's tax base equals the current year base is $1.5 million. b. Next year's hotel tax revenue assuming next year's tax base decreases to $22 million is $1.35 million. c. Next year's hotel tax revenue assuming next year's tax base decreases to $19 million is $1.14 million.

a. If the hotel tax rate is increased to 6 percent for the next fiscal year and the tax base remains at $25 million, the next year's hotel tax revenue will be $1.5 million. This can be calculated by multiplying the tax base ($25 million) by the new tax rate (6 percent or 0.06):

$25 million x 0.06 = $1.5 million

b. If next year's tax base decreases to $22 million, the next year's hotel tax revenue can be calculated by using the new tax rate of 6 percent or 0.06:

$22 million x 0.06 = $1.32 million

Therefore, if the tax base decreases to $22 million, the next year's hotel tax revenue will be $1.32 million.

c. If next year's tax base decreases to $19 million, the next year's hotel tax revenue can be calculated by using the new tax rate of 6 percent or 0.06:

$19 million x 0.06 = $1.14 million

Therefore, if the tax base decreases to $19 million, the next year's hotel tax revenue will be $1.14 million.

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monroe's motivated sequence is based on the _____ pattern, a more widely used structure.

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The pattern that Monroe's motivated sequence is based on is called the problem-solution pattern.

The problem-solution pattern is a more widely used structure for persuasive speeches and presentations than Monroe's motivated sequence. The problem-solution pattern begins by identifying a problem or issue that needs to be addressed and then presents a solution or course of action to solve the problem. This structure is effective because it not only highlights the issue at hand, but it also provides a clear and actionable plan for resolving it.

When it comes to persuasive speaking and presentations, there are a variety of different structures and patterns that can be used. One such pattern is Monroe's motivated sequence, which is a five-step pattern that begins with attention-getting, followed by a need, satisfaction, visualization, and action. While this pattern can be effective in some situations, it is not as widely used as the problem-solution pattern. The problem-solution pattern is a structure that begins by identifying a problem or issue that needs to be addressed. This could be anything from a societal issue to a business challenge. Once the problem has been established, the presenter then offers a solution or course of action to resolve the issue. This solution should be practical, actionable, and effective. The reason that the problem-solution pattern is more widely used than Monroe's motivated sequence is that it provides a clear and actionable plan for resolving the issue at hand. By first highlighting the problem and then presenting a solution, the presenter can create a sense of urgency and importance around the issue. This can be particularly effective in persuasive presentations where the goal is to convince the audience to take action.

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more retail stores decide to install systems where customers can self-order and self-checkout. this change is likely to decrease the demand for labor and decrease the equilibrium wage paid to workers.a. increase : decrease b. decrease: decrease c. decrease : increase d. increase: increase

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The answer to this question is option b: decrease: decrease. The reason for this is that when retail stores install self-order and self-checkout systems, it reduces the need for human labor.

This means that there will be fewer job opportunities for workers, leading to a decrease in demand for labor. As a result, the equilibrium wage paid to workers will also decrease. This is because with fewer job opportunities available, workers will be willing to accept lower wages in order to secure employment. However, it is important to note that while this change may initially lead to a decrease in demand for labor, it could also create new job opportunities for workers who are skilled in operating and maintaining these systems. Additionally, the use of self-order and self-checkout systems may lead to increased efficiency and cost savings for retail stores, which could lead to lower prices for customers. Overall, while this change may have some negative effects on workers, it could also have positive effects for both retail stores and customers.

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1.Generally, companies have a stronger incentive to expand internationally when fixed costs are [low/high] and the domestic market is [large/small]
2.Suppose Tanya decides to pursue FDI instead. Her company will establish a production facility in Brazil. She is considering either a wholly-owned subsidiary or a joint venture (JV) with a Brazilian company. Which of the following conditions would make a wholly-owned subsidiary more attractive relative to a JV? (check all that apply)
a.Tanya's Tools lacks knowledge of the Brazilian market.
b.Tanya's Tools is a small company, so building a production plant in Brazil would strain the company's financial resources.
c.Tanya's Tools has developed industry-leading technology and is very concerned about protecting its intellectual property.
d.The Brazilian government is known to be skeptical of foreign direct investment in this industry.

Answers

Companies have a stronger incentive to expand internationally when fixed costs are low and the domestic market is small.

Low fixed costs make it easier for companies to enter new markets without incurring significant expenses, while a small domestic market may limit growth opportunities, encouraging them to seek expansion in international markets.

2. Conditions that make a wholly-owned subsidiary more attractive relative to a JV:

a. Tanya's Tools lacks knowledge of the Brazilian market.
Incorrect. This condition would actually favor a joint venture since partnering with a local Brazilian company could help Tanya's Tools navigate the unfamiliar market.

b. Tanya's Tools is a small company, so building a production plant in Brazil would strain the company's financial resources.
Incorrect. This condition would favor a joint venture, as partnering with a Brazilian company could help share the financial burden of establishing a production facility.

c. Tanya's Tools has developed industry-leading technology and is very concerned about protecting its intellectual property.
Correct. A wholly-owned subsidiary would provide greater control over the company's intellectual property and minimize the risk of technology leaks or infringement that could occur in a joint venture.

d. The Brazilian government is known to be skeptical of foreign direct investment in this industry.
Incorrect. This condition would make a joint venture more attractive, as partnering with a local company could alleviate concerns from the Brazilian government about foreign direct investment.

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Shareholders inject capital into a company. Which answer best describes how this transaction would be reflected in the balance sheet? Select one: a. Cash increases and common stock increases b. Cash increases and liabilities increase c. Capital account increases d. No change in the overall level of assets

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Shareholders injecting capital into a company would be reflected in the balance sheet. The best answer for this is Cash increases and common stock increases (option a).

When shareholders inject capital into a company, they typically do so by purchasing shares of the company's common stock. This transaction increases the company's cash balance, as it receives money from the shareholders. Simultaneously, the company's common stock, which is an equity account, also increases, representing the ownership interest of the shareholders.

This transaction impacts the balance sheet in two ways. First, the asset side of the balance sheet increases as cash, which is an asset, increases. Second, the equity side of the balance sheet also increases, as common stock, which is an equity item, increases. This maintains the fundamental balance sheet equation of Assets = Liabilities + Equity.

In summary, when shareholders inject capital into a company by purchasing shares, the balance sheet reflects this transaction by showing an increase in cash (assets) and an increase in common stock (equity). This ensures that the balance sheet remains balanced, with total assets equaling total liabilities plus equity.

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green logistics is a term meaning shipping to and from farms. TRUE or FALSE?

Answers

Green logistics is a term meaning shipping to and from farms is FALSE.

What is green logistics then?


Green logistics refers to the implementation of environmentally friendly practices in the transportation and logistics industry.

It focuses on reducing carbon emissions, energy consumption, and waste generation while improving overall efficiency in the supply chain.

Green logistics includes sustainable transportation, warehousing, packaging, and inventory management practices. Although it may involve shipping to and from farms, it encompasses a much broader range of activities and is not limited to agricultural transportation.

The main goal of green logistics is to create a more sustainable and eco-friendly supply chain.

Hence, the statement is false.

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_____ The individual generally responsible for the direct-material price variance is the:
A. sales manager.
B. production supervisor.
C. purchasing manager.
D. finance manager.
E. head of the human resources department.

Answers

The individual generally responsible for the direct-material price variance is the: C. purchasing manager.

The purchasing manager is responsible for negotiating and managing contracts with suppliers and ensuring that materials are acquired at the best possible price, which directly impacts the direct-material price variance.

Direct material price variance (DM Price Variance) is defined as the difference between the expected and actual cost incurred on purchasing direct materials. It evaluates the extent to which the standard price has been over or under applied to different units of purchase.

Materials price variance represents the difference between the standard cost of the actual quantity purchased and the actual cost of these materials.

Although materials price variance may not be controllable, it provides management with important information for planning and decision-making purposes.

Knowledge of this variance may prompt a company's management team to increase product prices, use substitute materials, or find other offsetting sources of cost reduction.

Therefore, the correct option is C. purchase manager.

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What is the required return on assets? Multiple Choice 1. 3.12 percent. 16.5 percent. 33.33 percent. 10.85 percent

Answers

The required return on assets is  "10.85 percent". Option D is answer.

The required return on assets refers to the minimum rate of return that investors or companies expect to earn on their investments in assets. It represents the compensation for the risk associated with investing in those assets. The required return on assets is influenced by various factors such as the risk-free rate of return, market risk premium, and specific risk factors related to the asset class or investment. In this case, the required return on assets is determined to be 10.85 percent, indicating the expected rate of return that investors or companies demand from their investment in assets.

Option D is the correct answer.

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should a juvenile ever be waived to adult court with the possible risk that the child will be incarcerated with adult felons? why or why not?

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The decision to waive a juvenile to adult court should never be taken lightly, and it should only be done in the most extreme cases where the juvenile's crime is severe and violent. This is because incarceration with adult felons can be detrimental to the mental and emotional health of a young person.



Research has shown that juveniles who are incarcerated with adult felons are more likely to experience physical and sexual abuse, suffer from mental health disorders, and recidivate once they are released. This is due in part to the fact that juveniles' brains are not fully developed, and they lack the cognitive and emotional maturity of adults. Therefore, they are more susceptible to the negative influence of their adult peers.
Furthermore, the primary goal of the juvenile justice system should be to rehabilitate and reintegrate young offenders back into society. This goal is better achieved through programs that address the underlying causes of the juvenile's criminal behavior, such as substance abuse or family dysfunction, rather than by incarcerating them with adult felons.
In conclusion, while there may be cases where the waiver of a juvenile to adult court is necessary, it should only be done in rare and extreme circumstances. Otherwise, the potential risks to the juvenile's health and well-being outweigh any potential benefits of incarceration with adult felons. The juvenile justice system should focus on rehabilitation and reintegration rather than punishment and isolation.

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the end goal of all credit policies is to maximize profits by facilitating revenues while minimizing the risk generated by extending credit.

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The primary objective of all credit policies is to generate maximum profits by enabling revenues while minimizing the risk associated with extending credit.

What is the product of all of it?

This is achieved by adopting a set of guidelines that determine the creditworthiness of potential customers and the terms and conditions under which credit is extended.

By effectively assessing the creditworthiness of customers, a company can minimize the risk of default and increase its chances of profitability.

Moreover, by setting reasonable repayment terms and collecting payments promptly, a company can further minimize the risk of credit losses.

Overall, the end goal of credit policies is to strike a balance between generating revenues and minimizing risk, leading to sustainable profits over the long term.

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Suppose we have the following returns for large-company stocks and Treasury bills over a six year period:Year Large Company US Treasury Bill1 3.70 4.782 14.36 3.613 19.35 4.204 –14.33 5.925 –31.82 5.406 37.06 5.41a. Calculate the arithmetic average returns for large-company stocks and T-bills over this period. (Do not round intermediate calculations. Enter your answers as a percent rounded to 2 decimal places (e.g., 32.16).)

Answers

The arithmetic average returns for large-company stocks is 4.88% and Treasury bills is 4.89%.

Calculate the arithmetic average return for each investment as follows.

1. Add up the returns for each year.

2. Divide the sum by the number of years (in this case, 6).

For large-company stocks:

(3.70 + 14.36 + 19.35 - 14.33 - 31.82 + 37.06) / 6

For US Treasury bills:

(4.78 + 3.61 + 4.20 + 5.92 + 5.40 + 5.41) / 6

Now, let's calculate the arithmetic average returns:

Large-company stocks average return:

(3.70 + 14.36 + 19.35 - 14.33 - 31.82 + 37.06) / 6 = 4.88%

US Treasury bills average return:

(4.78 + 3.61 + 4.20 + 5.92 + 5.40 + 5.41) / 6 = 4.89%

So, the arithmetic average returns for large-company stocks and Treasury bills over the six-year period are 4.88% and 4.89%, respectively.

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being able to reasonably use a portion of a copyrighted work if it does not affect the profit of the copyright owner is

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You're referring to the concept of "fair use" in copyright law. Fair use allows individuals to use a limited portion of copyrighted material without obtaining permission from the copyright owner, as long as the use doesn't negatively impact the owner's profits or potential market. This concept is crucial in promoting creativity, innovation, and the exchange of ideas by enabling people to reference, critique, and build upon existing works.

There are four factors considered when determining fair use: (1) the purpose and character of the use, such as whether it is for commercial or educational purposes; (2) the nature of the copyrighted work, with more protection given to creative works than factual ones; (3) the amount and substantiality of the portion used in relation to the copyrighted work as a whole; and (4) the effect of the use on the potential market or value of the copyrighted work.

It is important to note that fair use is not an automatic right, and each case is assessed individually. For example, using a copyrighted image in a blog post for educational purposes may be considered fair use, while using the same image to sell merchandise would likely not be. Always exercise caution and consult legal advice when unsure if your use falls under fair use.

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wind damage occurs to your car costing $1,600 to repair. if you have a $110 deductible for collision and full coverage for comprehensive, what portion of the claim will the insurance company pay?

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In this scenario, the car has suffered wind damage that requires repairs costing $1,600. As per the given information, the policyholder has a $110 deductible for collision and full coverage for comprehensive.

Firstly, it is important to understand the difference between collision and comprehensive coverage. Collision coverage pays for damages caused to the policyholder's vehicle due to a collision with another car or object, while comprehensive coverage pays for damages caused by incidents other than collisions, such as theft, vandalism, or natural disasters like wind damage.In this case, wind damage falls under the category of comprehensive coverage. Therefore, the policyholder's insurance company will cover the cost of repairs minus the deductible amount for comprehensive coverage, which is $0 in this case.So, the insurance company will pay the entire cost of repairs, which is $1,600 minus the $110 deductible for collision coverage. This means that the insurance company will pay $1,490 towards the claim, and the policyholder will be responsible for paying the remaining $110 deductible.

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explain why the auditor's role in program development and acquisition should be limited.

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The auditor's role in program development and acquisition should be limited because it may lead to conflicts of interest and impair the auditor's independence.

Auditors are responsible for providing an objective assessment of an organization's financial statements and internal control, and their primary role is to provide reasonable assurance that the financial statements are free from material misstatements.

Involvement in program development and acquisition may put the auditor in a position where they may have a vested interest in the success of the program or acquisition, which could compromise their objectivity.

Furthermore, auditors may not have the necessary expertise in program development or acquisition to provide meaningful input or advice to the organization. Their primary area of expertise is in accounting and auditing, and they may not be familiar with the technical and operational aspects of program development and acquisition.

Therefore, it is important for auditors to maintain independence and objectivity in their role, and to limit their involvement in program development and acquisition to provide assurance on the financial implications of these activities.

This can be done by providing an independent assessment of the financial statements and internal controls, and by ensuring that any risks associated with program development and acquisition are adequately disclosed in the financial statements.

In summary, the auditor's role in program development and acquisition should be limited to maintain independence and objectivity and to ensure that any financial implications of these activities are appropriately disclosed.

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The following question is based on the cash T-account for XYZ Industries as of December 31, 2019. XYZ Industries T-Account December 31, 2019. What is XYZ's 2019 cash flow from operations? a.A net outflow of $20 million b. A net outflow of $50 million c. A net outflow of $90 million d.A net outflow of $150 million

Answers

Net outflow of cash from operations $90 million. Option C

Based on the given T-account for XYZ Industries as of December 31, 2019, the company had a net outflow of $90 million for the year 2019 from its operations. Cash flow from operations is calculated by adding or subtracting changes in current assets and liabilities from the net income of the company.

Looking at the T-account, we can see that the company had an opening cash balance of $100 million and a closing cash balance of $10 million. This means that the company had a decrease in its cash balance of $90 million.

Now, let's analyze the changes in the current assets and liabilities of the company. We can see that there was an increase in accounts receivable of $30 million and a decrease in inventory of $20 million.

This means that the company had an inflow of cash from accounts receivable but an outflow of cash from inventory. The company also had an increase in accounts payable of $40 million, which means that it had an outflow of cash to pay off its creditors.
Therefore, the calculation of cash flow from operations for XYZ Industries for the year 2019 is as follows:

Net income + Decrease in accounts receivable - Decrease in inventory + Increase in accounts payable
= $50 million + $30 million - $20 million + $40 million
= $100 million

However, since we are looking for the net outflow of cash, we need to reverse the signs of the changes in accounts receivable, inventory, and accounts payable. This gives us:

Net outflow of cash from operations = -$100 million + $20 million + $30 million - $40 million
= -$90 million

Therefore, the correct answer to the question is option c) A net outflow of $90 million.

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What are monopolistic competition and oligopoly? Order the industries based on increasing market power and ability to set prices, starting with the highest.

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However, there are differences between the two.In monopolistic competition, there are many firms selling similar but not identical products. Each firm has some degree of control over the price it charges, but there are low barriers to entry and exit in the market.

This means that new firms can enter the market easily, which keeps prices competitive. Examples of industries with monopolistic competition include restaurants, clothing stores, and hair salons.In contrast, oligopoly is a market structure in which a few firms dominate the market. These firms have significant control over the price of their products because there are high barriers to entry for new firms. Examples of industries with oligopoly include telecommunications, airlines, and automobile manufacturers.

Therefore, the order of industries based on increasing market power and ability to set prices, starting with the highest, would be as follows: 1. Monopolistic competition industries (restaurants, clothing stores, and hair salons)
2. Oligopoly industries (telecommunications, airlines, and automobile manufacturers)
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hose causes of variation that are large in magnitude, and therefore readily identified are classified as what? There is ONLY one correct answer. A) Accidents B) Significant variation C) unnatural variations D) Quality characteristics E) Assignable causes F) Chance causes

Answers

The causes of variation that are large in magnitude, and therefore easily identifiable, are classified as "Assignable Causes." These are causes that are directly responsible for the variations observed in a process or system.

Assignable causes can be identified and eliminated through root cause analysis and process improvement efforts. In contrast, "Chance Causes" are smaller in magnitude and may be due to random or natural fluctuations that occur in any process or system. They are often difficult to identify and address. Therefore, it is important to distinguish between assignable causes and chance causes when investigating and improving a process or system. In conclusion, the correct answer to this question is E) Assignable Causes.

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To maximize its profit, a monopoly should choose a price where demand is:
a .elastic.
b. inelastic.
c .unitary elastic.
d. vertical.

Answers

To maximize its profit, a monopoly should choose a price where demand is elastic. A monopoly, being the sole seller in a market, has the ability to control the price of its product. To maximize its profit, the monopoly should set the price at a level where demand is elastic.

When demand is elastic, the total revenue increases as the price decreases, because the increase in quantity demanded more than offsets the decrease in price. This means that the firm can capture more revenue from the increased quantity sold, thus maximizing its profit.

In case of other scenarios, If the monopoly chooses a price where demand is inelastic, the decrease in quantity demanded would outweigh the increase in price, resulting in lower total revenue.

In the case of unitary elastic demand, the total revenue remains the same regardless of price changes, as the percentage change in quantity demanded and price are equal.

Finally, vertical demand does not allow for any change in the quantity demanded, no matter the price, making it an unlikely scenario for a profit-maximizing monopoly.

Therefore, a monopoly should choose a price where demand is elastic to maximize its profit, as the increase in quantity demanded outweighs the decrease in price, resulting in higher total revenue.

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The farthest point in the future considered in decision making.

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When it comes to decision making, the farthest point in the future that is considered will vary depending on the situation and the individuals involved in the decision. Some may only consider the immediate future, while others may plan for years or even decades ahead. Ultimately, it is up to the decision makers to determine what time frame is appropriate for their particular situation and make informed choices based on that.

Some decisions may be short-term and immediate, focusing on the near future, while others may have longer-term implications and require considering potential outcomes several years or even decades ahead. For example, when it comes to strategic planning in businesses or governments, it is common to consider long-term scenarios that span several years or more.

However, it is worth noting that forecasting the future is inherently uncertain, and the accuracy of predictions tends to diminish as the time horizon extends. Therefore, while it is important to consider the potential consequences of decisions in the future, it is also prudent to review and adjust strategies as new information becomes available or as circumstances change.

Ultimately, the "farthest point in the future" considered in decision making will depend on the specific needs, goals, and circumstances of the decision-makers involved

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Multinational corporations (MNC) may take several forms. An exporter could be described as a MNC willing to commit itself to long-term foreign investment. the least risky political arrangement. More than one of the options is correct. a MNC that produces a product within its own borders, but sells in a foreign market.

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Multinational corporations (MNCs) are businesses that operate in more than one country, and they can take various forms depending on their operations. One type of MNC is an exporter, which refers to a company that produces goods or services within its home country and sells them in foreign markets.

Exporters are a common form of MNCs, as they allow companies to expand their customer base and increase profits without having to establish a physical presence in the foreign market.Another form of MNC is one that commits to long-term foreign investment.

This type of MNC may establish subsidiaries, joint ventures, or partnerships with companies in foreign markets. Long-term foreign investment involves a higher level of risk compared to exporting, as it requires a significant amount of capital and resources to establish and maintain operations in a foreign country. However, it also offers greater potential for growth and profit.

Multinational corporations may also opt for the least risky political arrangement, such as establishing operations in countries with stable political systems and favorable business climates. This strategy minimizes the risk of political instability, which can negatively impact the company's operations and profitability.In summary, MNCs can take various forms, including exporters, long-term foreign investors, and those that prioritize political stability. The choice of form depends on the company's goals, resources, and risk tolerance.

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More than one of the options is correct when it comes to describing the various forms that multinational corporations (MNCs) may take.

An MNC could indeed be an exporter that is willing to commit to long-term foreign investment in order to expand its reach and increase profitability. This type of investment may involve establishing production facilities or acquiring local companies in the foreign market, which can help to mitigate risks associated with changes in political arrangements. However, not all MNCs necessarily engage in foreign investment to the same extent. Some MNCs may choose to produce their products within their own borders but sell in a foreign market, while others may adopt different strategies altogether. Ultimately, the approach that an MNC takes will depend on a variety of factors, including the nature of its products, the level of competition in different markets, and the potential risks and rewards associated with different types of investment.

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Congress recently enacted an non refundable credit based on the cost of the qualifying alcohol and drug abuse counseling programs provided by and corporate employer to its employees . The credit is limited to 50 % of the total cost of the program .if a corporation elects the credit, none of the program costs are allowed as a deduction. Any credit in excess of current year tax may not be carried back to forward to another year.
A. TMM Corporation spent $ 80,000 for a qualifying counseling program this year .if TMM has $ 500,000 taxable income before considering this expense .should it elect the credit or deduct the program's cost as an ordinary business expense?
B. Would your answer change if TMM had only $ 70,000 taxable income before consideration of the expense?

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(a) If "TMM-Corporation" spent an amount of $80000 for qualifying counseling program, then it should elect the credit.

(b) If "TMM-Corporation" has only $70000 taxable income before consideration of expense, then it would be more advantageous for TMM Corporation to deduct the program cost.

Part (a) : If TMM Corporation has $500,000 taxable income before considering the $80,000 cost of the qualifying counseling program, it should elect the credit.

The credit is limited to 50% of "program-cost", which would be $40,000. TMM Corporation's "tax-liability" before credit would be $105,000, and after taking credit, it would be reduced to $65,000.

Part(b) : If the "TMM-Corporation" had only $70,000 taxable-income before considering expense, then it should deduct the "program-cost" as an ordinary business expense.

This would create a net operating-loss that could be carried back or forward to offset taxable income in other years. The credit would reduce the tax liability to $0, but any excess credit cannot be carried back or forward to another year.

Therefore, it would be more advantageous for TMM Corporation to deduct the program cost as an ordinary business expense in this scenario.

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A. TMM Corporation should elect the credit the program cost.

B. If TMM Corporation had only $ 70,000 taxable income before consideration of the expense they should deduct the program cost.

A. If TMM Corporation elects the credit, they would receive a non-refundable credit of 50% of the $80,000 program cost, which equals $40,000. Since the credit is non-refundable and cannot be carried to another year, TMM's tax liability will be reduced by $40,000.

If TMM chooses to deduct the program cost as an ordinary business expense instead, their taxable income would be reduced by $80,000 ($500,000 - $80,000 = $420,000).

In this case, it is more beneficial for TMM to elect the credit, as the tax savings from the $40,000 credit would likely be greater than the tax savings from reducing taxable income by $80,000.

B. If TMM had only $70,000 taxable income before considering the expense, the situation changes. Since the credit is non-refundable, electing the credit would result in a $40,000 credit, but TMM would only be able to use $30,000 of it, as their tax liability cannot be reduced below zero. If they choose to deduct the program cost as an ordinary business expense, their taxable income would become zero ($70,000 - $80,000 = $0).

In this case, it would be more advantageous for TMM to deduct the program's cost as an ordinary business expense to fully eliminate their taxable income.

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A company made net sales revenue of $500,000 and cost of goods sold totaled $300,000. Calculate its gross profit percentage. O A. 60%. O B. 40%. O C. 100% O D. 315%.

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The gross profit percentage for this company is: 40%. The correct option is B.

To calculate the gross profit percentage for the company with net sales revenue of $500,000 and cost of goods sold totaling $300,000, you'll first need to determine the gross profit. The gross profit is the difference between the net sales revenue and the cost of goods sold, which can be calculated as follows:

Gross Profit = Net Sales Revenue - Cost of Goods Sold
Gross Profit = $500,000 - $300,000
Gross Profit = $200,000

Next, to find the gross profit percentage, divide the gross profit by the net sales revenue and multiply the result by 100:

Gross Profit Percentage = (Gross Profit / Net Sales Revenue) * 100
Gross Profit Percentage = ($200,000 / $500,000) * 100
Gross Profit Percentage = 0.4 * 100


Gross Profit Percentage = 40%

So, the gross profit percentage for this company is 40% (Option B).

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Complete question:

A company made net sales revenue of $500,000 and cost of goods sold totaled $300,000. Calculate its gross profit percentage.

A. 60%.  

B. 40%.  

C. 100%

D. 315%.

According to the Taylor rule, the Federal Reserve should raise the federal funds rate when the that apply.) 12. . (Check all A. output gap rises. B. Fed's inflation rate target falls. ? C. exchange rate falls. D. inflation rate rises. ? E. Fed's long-run target for the federal funds rate rises.

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According to the Taylor rule, the Federal Reserve should raise the federal funds rate when the output gap rises and/or inflation rate rises.

The Taylor rule is a monetary policy guideline that suggests how central banks, such as the Federal Reserve, should adjust their target interest rates in response to changes in economic conditions. The rule is based on two key factors: the output gap, which measures the difference between actual and potential GDP, and the inflation rate.

The other options listed, such as the Fed's inflation rate target falling, the exchange rate falling, or the Fed's long-run target for the federal funds rate rising, may also be factors that influence the Federal Reserve's monetary policy decisions, but they are not specifically included in the Taylor rule.

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Dallas, store manager for Newberry Foods, learns that the store's refrigeration system failed overnight, and, for several hours, the cold meat and produce were exposed to temperatures that were a few degrees higher than required by company standards. She decides to discard the food, at cost of many thousands of dollars, because she believes it is the right thing to do, and the health of consumers is at stake. Dallas uses __________ as an ethical system to make her decision

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Dallas, the store manager for Newberry Foods, used the Deontological ethical system to make her decision.

The Deontological ethical system is a theory that is based on rules, duties, and obligations, which emphasizes that certain actions are inherently right or wrong, regardless of their consequences. This means that decisions are based on ethical and moral principles that are right and wrong based on their nature and not their outcome. Therefore, in this scenario, Dallas felt it was her duty to discard the food, as it was the right thing to do since the health of consumers is at stake

Refrigerator: A refrigerator is a device that is used for preserving perishable food items. It works by transferring heat from the inside of the refrigerator to the outside, which results in a cooling effect inside the fridge. The food items are kept fresh and protected from bacterial growth by the low temperature inside the fridge. Store manager: A store manager is responsible for overseeing the day-to-day operations of a store, including sales, inventory, personnel management, and customer service.

The store manager is accountable for ensuring that the store meets its sales targets, providing high-quality customer service, managing inventory levels, and creating a safe working environment for the employees.

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A strategic group a consists of those industry members that are growing at about the same rate and have similar product line breadth. Ob is made up of those frms having comparable profit margins. O C. is a cluster of industry rivals that have similar competitive approaches and market positions d consists of those firms whose market shares are about the same size. e includes all rival firms having comparable profitability.

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The terms mentioned are related to different aspects of the industry and its players. "Industry" refers to the overall market in which businesses operate, while "profit" relates to the financial performance of individual firms within that industry.

The concept of strategic groups highlights how industry members can be grouped based on their similarities in growth rates and product line breadth (group A), profit margins (group B), competitive approaches and market positions (group C), market shares (group D), and profitability (group E). This grouping allows for a better understanding of how different players in the industry are performing and competing with one another.
For example, firms in group A may be experiencing similar levels of growth and may have similar product offerings, which could indicate a more competitive market. On the other hand, firms in group B may be able to generate higher profits due to their cost structures or pricing strategies. Overall, the different strategic groups can provide insight into the dynamics of the industry and how firms are positioning themselves for success.
A strategic group is a concept in the industry where companies with similar business models, competitive approaches, and market positions are grouped together. This allows for better understanding and analysis of the industry dynamics and profit potentials. Group A consists of industry members growing at a similar rate and with similar product line breadth, while Group B comprises firms with comparable profit margins. Group C is a cluster of industry rivals with similar competitive approaches and market positions, and Group D consists of firms with similar market share sizes. Group E includes all rival firms with comparable profitability levels.

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identify your target audience in a reputation management system reputation management

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In a reputation management system, it is important to identify your target audience so that you can effectively manage and improve your reputation. Your target audience may include current and potential customers, stakeholders, investors, employees, and industry peers.

Understanding the needs and concerns of each group can help you tailor your reputation management strategy to address their specific concerns. For example, if your target audience includes potential customers, you may need to focus on building trust and credibility through positive reviews and testimonials.

On the other hand, if your target audience includes stakeholders and investors, you may need to prioritize transparency and communication to ensure they have a clear understanding of your company's performance and future prospects.

Overall, the key to effective reputation management is understanding your target audience and addressing their concerns in a timely and transparent manner. By doing so, you can build a positive reputation that enhances your credibility and helps you achieve your business goals.

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