True. An abundance in the supply of money will cause inflation as to much capital is chasing to few goods and services.
An abundance in the supply of money can indeed cause inflation. When there is an excess supply of money in the economy, more money is available for spending compared to the available goods and services. This leads to a situation where too much money is chasing too few goods, resulting in increased demand for limited resources. As demand outstrips supply, producers may raise prices to maximize their profits. This phenomenon is known as demand-pull inflation.
When consumers have more money to spend, they increase their purchasing power, leading to higher demand for goods and services. In response, businesses may raise prices to take advantage of the increased demand. Additionally, individuals may expect future price increases and therefore spend their money quickly, further fueling inflation. Central banks and monetary authorities often monitor and control the money supply to manage inflation. By adjusting interest rates and implementing monetary policies, they aim to maintain a balance between the money supply and the overall level of economic activity to control inflationary pressures and promote price stability.
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As a way to see if American players are better NBA players, we use the "USA" dummy variable among other variables to test the productivity of a player. If the person is born in the US, then USA \( =1
In the context of analyzing NBA player productivity, the "USA" dummy variable is used as an indicator to differentiate players born in the United States from those born in other countries.
The purpose of using this variable is to examine whether there is a difference in performance between American players and players from other nations.
When the "USA" dummy variable is assigned a value of 1, it indicates that the player was born in the United States. This variable acts as a control or independent variable in statistical analysis, allowing researchers to isolate and measure the effect of being born in the USA on player productivity.
By including the "USA" dummy variable alongside other relevant variables in a regression or statistical model, researchers can evaluate whether American players tend to exhibit different levels of productivity compared to their international counterparts.
This analysis helps shed light on any potential disparities in performance based on nationality and contributes to the understanding of factors influencing player productivity in the NBA.
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1.4 Calculate the earnings of G. Henry using the straight piecework incentive scheme from the (4 marks) information provided below. INFORMATION G. Henry is employed by Royal Manufacturers and is paid
The missing information includes the rate of pay per piece and the number of pieces produced by G. Henry.
What information is missing to calculate G. Henry's earnings using the straight piecework incentive scheme?The paragraph provides limited information regarding G. Henry's employment with Royal Manufacturers and mentions the use of a straight piecework incentive scheme to calculate their earnings. However, crucial details and data necessary for performing the calculation are missing, making it impossible to provide a comprehensive explanation or arrive at an accurate earnings figure for G. Henry.
To calculate earnings under a straight piecework incentive scheme, specific information is required, such as the rate of pay per piece, the number of pieces produced or completed by G. Henry within a given period, and any additional factors or adjustments that may affect the calculation.
Without these essential details, it is not possible to determine G. Henry's earnings accurately. To obtain the earnings, the missing information, including the rate of pay and the quantity of pieces produced, must be provided. Once all the necessary data is available, the earnings can be calculated by multiplying the rate per piece by the number of pieces produced.
In summary, the paragraph provides insufficient information to calculate G. Henry's earnings accurately using the straight piecework incentive scheme. Additional data is required to perform the calculation.
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today was a tough day at yarmouth real estate. city hall announced new zoning requirements that will make it harder to convert apartment buildings to condominiums, the type of property yarmouth specializes in selling. sonja, the head broker, called a meeting in the conference room. just as sonja was starting the meeting, the fire alarm went off, forcing everyone into the parking lot until the fire department was able to check the building and determine that the alarm had been triggered accidentally. despite the disturbing events, sonja managed to smile and even joke about the situation, cheering others up in the process. her behavior is an example of
Sonja's behavior in this situation can be seen as an example of effective leadership and resilience.
Despite the challenging circumstances of new zoning requirements affecting their core business and an unexpected fire alarm disrupting their meeting, Sonja's ability to smile, joke, and cheer others up demonstrates several positive qualities:
Emotional intelligence: Sonja shows emotional intelligence by understanding the impact of the events on her team members' morale and responding appropriately.
Positive attitude: Sonja maintains a positive attitude despite the setbacks. Her ability to find humor in the situation helps to create a more optimistic atmosphere and alleviates tension. This positivity can boost the team's motivation and resilience in the face of challenges.
Leadership by example: As the head broker, Sonja sets the tone for the team. By responding to adversity with resilience and a positive attitude, she demonstrates to her team members how to handle unexpected obstacles and maintain composure. Her behavior serves as an example of effective leadership during difficult times.
Team cohesion: Sonja's ability to cheer others up fosters a sense of togetherness and unity within the team. By creating a lighthearted moment despite the disruptions, she helps the team bond and navigate through the challenges as a cohesive unit.
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Between 1972 and 2012, Canada's inflation rate as measured by the CPI ________.
Group of answer choices
consistently rises every year
was always between 1 and 3 percent a year
was always positive
rises in some years and falls in some years
consistently falls every year
Between 1972 and 2012, Canada's inflation rate as measured by the CPI rises in some years and falls in some years.
The inflation rate is the percentage increase in the general price level of goods and services in an economy over a period of time. The Consumer Price Index (CPI) is a measure of the average change over time in the prices paid by consumers for a basket of goods and services.
During the period between 1972 and 2012, Canada experienced periods of high inflation, particularly in the 1970s and early 1980s. Inflation peaked at 12.5% in 1981, driven by a combination of factors including high oil prices, wage increases, and government spending. In response to this high inflation, the Bank of Canada raised interest rates to very high levels, which led to a recession in the early 1980s.
After this period of high inflation, Canada experienced a period of relatively low inflation in the late 1980s and early 1990s. However, inflation picked up again in the mid-1990s, driven by factors such as higher oil prices and a weaker Canadian dollar. Inflation peaked at 3.2% in 2003 before falling back to lower levels in subsequent years.
Overall, between 1972 and 2012, Canada's inflation rate as measured by the CPI was always positive but rose in some years and fell in others. The Bank of Canada has a target range for inflation of between 1% and 3%, which it aims to achieve through its monetary policy tools.
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year today and at the beginning of each year for 10 years at the same 9 percent annual rate. How much money will Homer have 10 years from today? The amount of money Homer will have 10 years from now is $ (Round to the nearest cent.)
If Homer invests $41,933.10 today at a 9 percent annual rate, he will have $100,000 , 10 years from now. In order to determine the amount of money Homer will have 10 years from now, we need to use the compound interest formula given as: A = P(1 + r/n)^(nt),
where A is the amount of money Homer will have 10 years from now P is the principal or initial amount, which is not given r is the annual interest rate, which is 9 percent is the number of times interest is compounded per year, which is not given is the number of years, which is 10 years Putting these values into the formula, we get: A = P(1 + r/n)^(nt)A = P(1 + 0.09/1)^(1*10)A = P(1.09)^10A = 1.09^10 * P We are not given the principal, so we cannot determine the exact amount of money Homer will have 10 years from now.
However, we can determine how much the principal needs to be today so that he will have a certain amount of money 10 years from now. For example, if we want him to have $100,000 10 years from now, we can solve for P:P = A/1.09^10P = 100,000/1.09^10P = $41,933.10 (rounded to the nearest cent)Therefore, if Homer invests $41,933.10 today at a 9 percent annual rate, he will have $100,000 10 years from now.
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Question 7 Materials Requirements Planning (MRP) Ensures that materials, components, and products are available for production and delivery Maintains the lowest possible inventory levels that support
Materials Requirements Planning (MRP) ensures the availability of materials, components, and products for production and delivery while maintaining optimal inventory levels.
Materials Requirements Planning (MRP) is a system that plays a critical role in managing the flow of materials within a production environment. It aims to ensure that the right materials and components are available at the right time, in the right quantities, and in the right location to support the production process. By accurately forecasting the demand for finished goods, MRP helps determine the necessary raw materials, components, and sub-assemblies needed to meet customer orders and maintain production schedules.
One of the key objectives of MRP is to maintain the lowest possible inventory levels while ensuring that production and customer demands are met. By analyzing the bill of materials, lead times, and demand forecasts, MRP calculates the exact quantity and timing of material orders to minimize excess inventory and avoid stock outs. This optimization of inventory levels helps to reduce carrying costs, minimize obsolescence, and improve cash flow.
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The inverse market demand in a homogeneous-product Cournot duopoly is \( P=200-2\left(Q_{1}+Q_{2}\right) \) and costs are \( C_{1}\left(Q_{1}\right)=26 Q_{1} \) and \( C_{2}\left(Q_{2}\right)=32 Q_{2}
The reaction function for firm 1 is Q₁ = 88, and the reaction function for firm 2 is Q₂ = 85 according to Cournot duopoly.
In a Cournot duopoly, each firm determines its quantity based on the assumption that its competitor's quantity remains constant. To find the reaction functions, we need to maximize each firm's profit with respect to its quantity while taking into account the inverse market demand and its own cost function.
For firm 1, the profit function is given by π₁ = (P - C₁)Q₁ = (200 - 2(Q₁ + Q₂) - 26Q₁. Maximizing this function, we take the derivative with respect to Q₁, set it equal to zero, and solve for Q₁.
∂π₁/∂Q₁ = -2 + 26 - 2Q₂ = 0
24 = 2Q₂
Q₂ = 12
Thus, the reaction function for firm 1 is Q₁ = 100 - Q₂ = 100 - 12 = 88.
Similarly, for firm 2, we differentiate the profit function π₂ = (P - C₂)Q₂ = (200 - 2(Q₁ + Q₂) - 32Q₂ with respect to Q₂, set it equal to zero, and solve for Q₂.
∂π₂/∂Q₂ = -2 + 32 - 2Q₁ = 0
30 = 2Q₁
Q₁ = 15
Therefore, the reaction function for firm 2 is Q₂ = 100 - Q₁ = 100 - 15 = 85.
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Complete Question : The inverse market demand in a homogeneous-product Cournot duopoly is P=200−2(Q1 +Q2 ) and costs are C1 (Q1)=26Q 1 and C 2 (Q2 )=32Q2
Determine the reaction function for each firm.
Review your abilities to speak to your co-workers about theft.
Is theft only stealing money? Can it be taking other things? How
will you handle the issue of theft as a medical office
assistant?
Theft is not limited to stealing money; it can involve taking other things as well. As a medical office assistant, to handle the issue of theft, it is important to be vigilant and proactive.
This can include promoting a culture of honesty and integrity within the workplace, implementing security measures such as surveillance cameras and access controls, reporting any suspicious activity to the appropriate authorities, and cooperating with investigations. It is also crucial to maintain confidentiality and follow proper protocols when handling sensitive information. By addressing theft promptly and responsibly, a medical office assistant can contribute to a safe and trustworthy work environment.
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develop a supplier portfolio screening plan for XYZ corp. with step
by step time lines?
please answer in detail step by step with timeline
Developing a supplier portfolio screening plan for XYZ Corp involves identifying the criteria, screening the suppliers, selecting the best ones, and monitoring performance.
The following is a step-by-step supplier portfolio screening plan for XYZ Corp with time frames:
1. Identify the criteria - 2 weeks
Identify the critical criteria to be used to evaluate the suppliers. These criteria may include quality, cost, delivery time, availability of raw materials, and reliability.
2. Screen the suppliers - 4 weeks
After identifying the critical criteria, conduct the initial screening to identify the suppliers that meet the requirements. The screening process may involve reviewing the supplier's financial records, quality systems, and supply chain processes.
3. Select the best suppliers - 2 weeks
Select the best suppliers based on the supplier's overall performance in the screening process.
4. Monitor performance - Ongoing
Continuously monitor the supplier's performance to ensure that the supplier is meeting the expectations of the company. If the supplier is not meeting the expectations, address the issues and work with the supplier to improve their performance.
5. Regularly review and update - Annually
Regularly review and update the supplier portfolio screening plan to ensure that it remains relevant and effective in meeting the company's needs.
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"John Maynard Keynes led a reaction against governmental abstention (non-participation) from economic affairs, advocating interventionist fiscal policy to stimulate economic demand, growth and prosperity. This view was in conflict with the classical economists' view. However, the Early Keynesians are pessimistic about the ability of monetary policy to stimulate output in situations such as the 1930s Great Depression in the United States." a) b) c) d) Describe the situation that happened during the Great Depression and briefly explain how the Great Depression changed economists' view regarding the role of the government in the economy. (5 marks) Use an aggregate demand-aggregate supply diagram to explain the expected effect of a fiscal expansion on real output and price level. State what would happen to unemployment and inflation. (5 marks) Using an IS-LM diagram, explain the Early Keynesians' suggestion that an interventionist fiscal policy could stimulate economic growth and prosperity in the situations such as that during the Great Depression. (5 marks) Using the IS-LM model, explain why the Early Keynesians are pessimistic about the ability of monetary policy to stimulate output in situations such as the 1930s Great Depression in the United States. (5 marks)
a)According to Keynesians, the government should utilize fiscal policy to stimulate the economy.
b)Lower unemployment rates and a higher level of inflation would result from increased spending and investment.
c)According to the Keynesian view, an expansionary fiscal policy would increase output by increasing aggregate demand (AD) and shifting the IS curve to the right, reducing the interest rate and increasing the equilibrium output level.
d)The Early Keynesians suggested that the government should pursue fiscal policies to stimulate the economy, such as an increase in public spending or a reduction in taxes.
a) During the Great Depression in the United States, the level of output decreased by more than 30%, the prices dropped, and unemployment surged to about 25%. The Great Depression altered the classical economists' view regarding the government's role in the economy. Classical economists believed that the economy was self-regulating, and the government's role was to facilitate the free market. However, after the Great Depression, Keynesians suggested that the government should have an active role in regulating the economy.
b)A fiscal expansion would shift the aggregate demand (AD) curve to the right, increasing output and the price level.
c)The IS-LM diagram describes the interaction between the goods market and the money market. The Keynesians argued that the government should intervene to restore the economy during a recession, and they suggested that the government should increase public spending or reduce taxes to stimulate the economy.
d)During the Great Depression, the Early Keynesians were pessimistic about the ability of monetary policy to stimulate output in situations such as the 1930s Great Depression in the United States. They suggested that the central bank should reduce interest rates, which would boost investment, and consequently, aggregate demand, which would increase output and decrease unemployment. However, they argued that monetary policy was ineffective in such circumstances because the depression had resulted in lower interest rates, which failed to increase investment.
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Answer the question on the basis of the following cost data. The marginal cost of producing the fifth unit of output is Multiple Choice \( \$ 7.40 . \) in \( \$ 7 . \)
The marginal cost of producing the fifth unit of output is $7.40.
Marginal cost is the additional cost of producing one more unit of output. It is calculated by dividing the change in total cost by the change in quantity. The marginal cost of producing the fifth unit of output is given to be $7.40. This means that if the producer wants to increase the production by one unit from four units to five units, it will cost $7.40 more.
Marginal cost is an important concept in economics and helps in determining the optimal level of production for a firm. When the marginal cost is equal to the marginal revenue, the firm achieves its profit-maximizing output level. Therefore, it is essential for firms to keep track of their marginal cost to ensure profitability.
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1. List two interest rate spreads that can be used to gauge
possible future economic growth. Outline how each works.
2. Outline the ways in which FED easing affects the yield curve
(include the theori
Two interest rate spreads that can be used to gauge possible future economic growth are:
a. Yield Curve Spread: The yield curve spread, also known as the yield spread or yield differential, compares the yields of different maturity bonds, typically the difference between long-term and short-term bond yields. It provides insights into market expectations for future economic conditions. How it works: Normal Yield Curve: In a normal yield curve, long-term bonds have higher yields than short-term bonds. This suggests positive market expectations for future economic growth and inflation. Investors demand higher yields for tying up their money for longer periods. Flat Yield Curve: A flat yield curve occurs when there is little difference between long-term and short-term bond yields. It can indicate uncertainty or a lack of consensus about future economic growth. How it works: Narrow Credit Spread: A narrow credit spread indicates lower perceived credit risk and positive market expectations for economic growth.
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The financial statements of Rebecca's Natural Foods include the following items:
a) Working Capital Total Current Assets - Total Current Liabilities b) Current Ratio Total current assets / Total Curr
The financial statements of Rebecca's Natural Foods includes Working Capital, Total Current Assets, Total Current Liabilities, and Current Ratio.
These two terms are related, and both provide insight into a company's short-term financial health. Working Capital is a measure of a company's liquidity and is calculated by subtracting Total Current Liabilities from Total Current Assets, this shows how much of the company's assets are readily available to pay off its current obligations. If a company has a high working capital, it's considered to be financially healthy and can meet its current obligations on time.
The Current Ratio is also a measure of a company's liquidity, but it is calculated by dividing Total Current Assets by Total Current Liabilities. A ratio of more than 1 indicates that a company can pay its current obligations, while a ratio of less than 1 indicates that it cannot meet its obligations. These two measures give investors insight into the financial health of Rebecca's Natural Foods and help them make informed investment decisions. So therefore the financial statements of Rebecca's Natural Foods includes Working Capital, Total Current Assets, Total Current Liabilities, and Current Ratio.
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Suppose that you are a pork producer and have a load of feeder pigs you own that will be moving to a finishing unit in a couple of months. You primarily feed your hogs soybean meal in your finishing unit. You are afraid that the price of corn may increase or the price on your hogs may decrease. You want to try to mitigate some price risk to make sure you make a suitable margin on your operation. What would you do to mitigate price risk? What could you use to predict what local cash prices may be in your area in the future? (Make sure to use correct terms such as long, short, put, call, futures contracts, options, basis, etc. when explaining your plan.) (Be specific!)
As a pork producer, there are several strategies that can be used to mitigate price risk and ensure a suitable margin on the operation. One approach is to use futures contracts and options to hedge against potential price fluctuations.
To begin, the producer could consider using a long hedge by purchasing corn futures contracts. This would allow them to lock in a price for the corn they will need to feed their hogs in the future. If the price of corn were to increase, the producer would still be able to purchase it at the lower, locked-in price. However, if the price of corn were to decrease, the producer would have paid more than necessary for their corn.
Another strategy is to use a short hedge by selling hog futures contracts. This would allow the producer to lock in a price for their hogs in advance. If the price of hogs were to decrease, the producer would still receive the higher, locked-in price. However, if the price of hogs were to increase, the producer would have sold their hogs at a lower price than they could have received.
In addition to futures contracts, options can also be used as a hedging tool. A put option gives the holder the right, but not the obligation, to sell an underlying asset at a specified price within a certain time frame. By purchasing put options on corn or hog futures contracts, the producer can protect themselves against potential price decreases.
To predict local cash prices in the future, producers can look at historical basis levels and current market conditions. Basis refers to the difference between local cash prices and futures prices. By monitoring basis levels and understanding how they relate to supply and demand factors in their area, producers can make informed decisions about when to buy or sell their commodities.
Overall, using a combination of futures contracts and options can help pork producers mitigate price risk and ensure a suitable margin on their operation. By monitoring basis levels and staying up-to-date on market conditions, producers can make informed decisions about when to enter into hedging contracts.
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Main functional area to which talent analytics reports in organizations. Marketing. Human Resources. Finance. Operations.
The main functional area to which talent analytics reports in organizations is Human Resources (HR).
The human resource department is a significant sector in every company, responsible for monitoring and managing the company's employees and policies.
Talent analytics is a practice that assists in determining the best ways to manage the organization's employees to obtain the best results. It entails analyzing employee data to identify patterns and trends that may assist in making better decisions about hiring, training, and developing workers.
Talent analytics assist in gaining better insights into the employees and their behavior patterns, making it easier to identify areas of improvement and create better strategies to motivate and retain talented employees. It is for these reasons that Talent Analytics reports to the Human Resource department in organizations, and it is the primary functional area for this practice.
Other functional areas such as Finance, Operations, and Marketing also use analytics to help identify trends and patterns in their sectors.
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Suppose a perfectly competitive firm, operating in the short-run and facing a market price of $100,
chooses to produce and sell 1,000 units of its product. At this quantity of 1,000, the firm’s marginal cost is
$100 and its average total cost is $80. Accordingly, the firm is currently earning a profit equal to:
A. $0
B. $20,000
C. $100,000
D. None of the above
[31] Continuing question (30), the firm is currently maximizing its profit.
A. Yes
B. No
C. Unable to determine, since not enough information is provided.
[32] A profit-maximizing monopolist is currently selling its product at a price which is 4 times its
marginal cost. Accordingly, provided the firm is maximizing profit, the current price elasticity of demand
is:
A. elastic
B. inelastic
C. unit elastic
30) the firm is earning profit which is equal to B. $20,000
31) C - unable to determine.
32) B - inelastic.
30) The short-run firm that faces a market price of $100 and produces and sells 1,000 units of its product is earning a profit of $20,000 because the firm’s average total cost is $80 which is less than the price.
Hence, the firm is earning profit which is equal to Total revenue (TR) - Total cost (TC) ( TR - TC) = (P × Q) - (ATC × Q)
⇒ (100 × 1,000) - (80 × 1,000) = $20,000.
We can say that the profit-maximizing firm is currently maximizing its profit because at present the firm’s average total cost is less than the market price. Therefore, it is earning profit and will continue to produce and sell the product until it earns zero profits.
31) To answer the next question, since the question has not provided enough information, it is impossible to determine whether the firm is currently maximizing its profit. Therefore, the answer is C - unable to determine.
32) For the last question, if the monopolist is currently selling its product at a price which is four times its marginal cost and provided the firm is maximizing profit, the current price elasticity of demand is inelastic because inelastic demand occurs when the price elasticity of demand is less than one.
Therefore, the answer is B - inelastic.
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A random variable follows a binomial distribution with a probability of success equal to 0.59. Find:
For a sample size of n=6, find: The probability of exactly 4 success
The expected value(mean)
The expected variance
If a random variable follows a binomial distribution with a probability of success equal to 0.59 then the expected variance is approximately equal to 1.468.
Given that a random variable follows a binomial distribution with a probability of success equal to 0.59.
We need to find the following values:
For a sample size of n = 6, find: The probability of exactly 4 successes The expected value(mean)The expected variance
The probability of exactly 4 successes
The probability of exactly 4 successes can be calculated by using the following formula:
P(X = k) = nCk * p^k * (1 - p)^(n - k)
Where, P = Probability of success
n = sample size
nCk = combination of k successes in n trials
Therefore, the probability of exactly 4 successes can be calculated as
P(X = 4) = 6C4 * 0.59^4 * (1 - 0.59)^(6 - 4) = 0.2676
The probability of exactly 4 successes is 0.2676.
The expected value (mean) The expected value (mean) of a binomial distribution is given by the formula: μ = np
where, μ = mean of the binomial distribution n = sample size p = probability of success
Therefore, the expected value is: μ = 6 * 0.59 = 3.54 The expected value (mean) is 3.54.
The expected variance of a binomial distribution is given by the formula: σ^2 = np(1 - p) where σ^2 = variance of the binomial distribution = sample size p = probability of success
Therefore, the expected variance is:σ^2 = 6 * 0.59 * (1 - 0.59)≈ 1.468
The expected variance is approximately equal to 1.468.
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tivident, the firt oecisest to itpurthase thock. a. What thould be the repurchase proe? b. How many sheres should te reurchased? c. What if to nepurchate pice in net beiow or atowe your euggented pice in foart a? (Repurchase of stock) The Dunn Corporation is planning to pay dividends of $500,000. There are 250,000 shares outstanding, and earnings per share are $4. The stock should sell for $51 after the ex-dividend date. If, instead of paying a dividend, the firm decides to repurchase stock, a. What should be the repurchase price? b. How many shares should be repurchased? c. What if the repurchase price is set below or above your suggested price in part a? d. If you own 100 shares, would you prefer that the company pay the dividend or repurchase stock?
a.
Repurchase price is the price that a company agrees to pay in exchange for a share of its own stock as a part of the stock repurchase agreement.
For Dunn Corporation,
earnings per share = $4 and
dividends to be paid = $500,000.
Therefore,
Total earnings = Earnings per share × Number of outstanding shares
= $4 × 250,000
= $1,000,000
After paying dividends = $1,000,000 − $500,000
= $500,000
Total earnings available for stock repurchase = $500,000
Therefore, repurchase price = $51 − $4= $47
b.
Number of shares to be repurchased Number of shares that can be repurchased is given by:
Number of shares to be repurchased = Total earnings available for stock repurchase / Repurchase price
= $500,000 / $47= 10,638 shares (approx)
c.
Impact of repurchase price being set below or above the suggested price. If the repurchase price is set below the suggested price in part a, the number of shares that can be repurchased will increase, but the firm will have to pay less for the shares. This will benefit the company as it can repurchase more shares for the same amount of money.
However, if the repurchase price is set above the suggested price in part a, the number of shares that can be repurchased will decrease, but the firm will have to pay more for the shares. This will not be beneficial for the company as it will be repurchasing fewer shares for the same amount of money.
d.
Choice between dividend and stock repurchase.
As a shareholder, I would prefer the company to repurchase stock instead of paying dividends. The reason being, when a company repurchases stock, the total number of outstanding shares in the market decreases, which results in an increase in the price of the shares that are not repurchased.
This will benefit me as a shareholder, as I will be able to sell my shares at a higher price in the future.
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If an economy falls into a recession, there is no way to coordinate lower wages across the economy for workers according to Keynes because of the coordination argument complexity argument progressive wage theory
According to Keynes, during a recession, it is difficult to coordinate lower wages across the economy for workers due to coordination and complexity arguments, as well as the progressive wage theory.
Keynes argued that in a recession, employers might be hesitant to lower wages across the board because of coordination challenges. Coordinating wage reductions among numerous firms and industries can be complex and time-consuming. Additionally, reducing wages can have adverse effects on workers' morale and productivity. Keynes also noted the progressive wage theory, which suggests that workers have a resistance to wage cuts. This theory suggests that workers may prefer to maintain their current wage levels or seek higher wages even during an economic downturn, making it challenging to coordinate lower wages uniformly across the economy.
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TRUE or FALSE:
If a "private" good (i.e., not a public good) is provided by the government, and those who benefit from the good or service are the ones who pay for it (at price = MC), the allocation of the good is efficient.
The given statement is true.If a "private" good (i.e., not a public good) is provided by the government, and those who benefit from the good or service are the ones who pay for it (at price = MC), the allocation of the good is efficient.
When a private good is supplied by the government and the beneficiaries are responsible for paying for it, this is efficient.The principle of efficiency is that the resources in an economy should be utilized in a way that maximizes the aggregate welfare of all members of society.According to this, goods and services should be produced and allocated to people who value them more than the resources required to produce them.
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when the government uses censorship, it puts a limit on which of these? responses consumer behavior consumer behavior economic activity economic activity property rights property rights freedom of expression
When the government uses censorship, it puts a limit on freedom of expression. Option D.
Censorship is the act of suppressing or controlling information, ideas, or artistic expression by an authority, typically the government. It involves restricting or limiting the dissemination of certain content or viewpoints that are deemed undesirable or harmful according to the government's standards or policies.
Freedom of expression is a fundamental human right that encompasses the freedom to hold opinions, express ideas, and seek, receive, and impart information and knowledge without interference or censorship. It is a cornerstone of democratic societies and allows individuals to express their thoughts, beliefs, and criticisms openly.
When the government imposes censorship, it places restrictions on the freedom of expression by controlling the flow of information and limiting the ability of individuals to express their views freely. Censorship can take various forms, such as blocking websites, censoring books or films, controlling media content, or suppressing dissenting voices.
By implementing censorship, the government aims to control public discourse, shape public opinion, and maintain social, political, or moral order. However, it often raises concerns about the infringement of civil liberties, stifling creativity and innovation, suppressing diverse perspectives, and hindering democratic processes. So OptioN D is correct.
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Where did your team struggle in completing the Everest
Simulation? In what ways do you now have empathy towards your team
members and the role they played?
I appreciate the importance of being a good listener, taking the time to understand someone else's point of view, and being empathetic.
During the Everest Simulation, my team struggled to communicate effectively and work collaboratively. We had a hard time understanding each other's perspectives, which resulted in disagreements and delays in decision-making. In retrospect, I now have empathy toward my team members and the role they played. I understand the challenges that come with trying to coordinate a group of people with different personalities, skill sets, and communication styles. I also appreciate the importance of being a good listener and taking the time to understand someone else's point of view. Additionally, I have learned the value of patience, compromise, and adaptability when working in a team setting. These are all crucial skills that will help me be a more effective team player in the future.
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please answer all problems
Problem No. 3. If you borrow money from your friend with simple interest of \( 15 \% \), find the present worth of \( \mathrm{P} 25,000 \), which is due at the end of 10 months. Problem No. 4. By a co
The present worth of $25,000 borrowed with a simple interest rate of 15%, due at the end of 10 months, is $28,125.
To calculate the present worth of the borrowed amount with simple interest, we can use the formula:
Present Worth = Principal + (Principal * Interest Rate * Time)
Principal (P) = $25,000
Interest Rate (R) = 15% = 0.15
Time (T) = 10 months
Using the formula, we can calculate the present worth:
Present Worth = 25,000 + (25,000 * 0.15 * (10/12))
= 25,000 + (25,000 * 0.15 * 0.8333)
= 25,000 + 3,125
= $28,125
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Incentive pay has also been characterized as:
a. the equivalent of using bribes in the workplace.
b. a form of empire building within a firm.
c. a specific type of compensating differential.
d. all the above.
e. none of the above.
The correct answer is e. none of the above. Incentive pay refers to a system of compensation that provides financial rewards based on performance or achievement of specific goals.
It is not equivalent to using bribes in the workplace, as it is a legitimate and structured approach to motivating employees. It is also not a form of empire building within a firm, which typically refers to the expansion of power or influence by individuals or departments. Incentive pay is not a specific type of compensating differential, which relates to wage differences for undesirable or challenging working conditions.
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You are currently working as an analyst at Financial
Consulting Bhd. Your boss has instructed you to form an equity fund
portfolio which consists of TWO SERVICE COMPANIES. The portfolios
have total fu
To form an equity fund portfolio of TWO SERVICE COMPANIES, there are several steps that an analyst at Financial Consulting Bhd can follow. They are as follows:
Step 1:
Identify Potential Service CompaniesThe first step is to identify service companies that have high growth potential, stable operations, and have a good track record of profitability. You can use various financial ratios and analysis tools to identify such companies. Once you have identified these companies, you can shortlist the ones that have the most potential for investment.Step 2:
Determine the Fund's Objective The second step is to determine the fund's objective. In other words, what is the fund's purpose, and what is its goal? For instance, is the fund being created for short-term gains or long-term growth? Is the fund being created to generate income or capital appreciation? Once you have determined the fund's objective, you can begin to look for service companies that are consistent with that objective.Step 3:
Assess Risk ToleranceThe third step is to assess the risk tolerance of the fund's investors. Some investors are more risk-averse than others, and they will prefer companies with a lower level of risk. Conversely, some investors are willing to take on more risk to achieve higher returns. By assessing the risk tolerance of the investors, you can select service companies that match their preferences.Step 4:
Determine the Asset AllocationThe fourth step is to determine the asset allocation for the portfolio. In other words, how much of the fund's total assets will be invested in each service company? The asset allocation will depend on several factors, including the fund's objective, the risk tolerance of the investors, and the potential returns of each service company.Step 5:
Monitor the PortfolioThe final step is to monitor the portfolio regularly. This will help you to ensure that the portfolio remains consistent with the fund's objective and the risk tolerance of the investors. You can also make changes to the portfolio as needed to take advantage of new opportunities or to reduce the risk of the portfolio.About FinancialFinancial learns how to know individual business, improve organization, allocate, use monetary resources over time, and also calculate the risks in carrying out its projects. The term finance means the science of finance and other assets. Management of these assets. finance is also a term that broadly describes the study and systems of money, investments, and other financial instruments.
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A marketing system should sense, serve, and satisfy consumer needs while also improving the quality of their lives. Marketers may take actions by understanding customer needs and organizational practices, therefore marketing is currently facing many criticisms. Some of them are justified, while others are not. Certain marketing practises according to social critics, harm individual, consumers, and society as a whole, how to formulate this situation?
Marketing must aim to create a win-win situation for consumers and businesses. Marketers should aim to create value for customers by satisfying their needs and desires while also making a profit for the business. In conclusion, marketing must be conducted ethically and responsibly to ensure that it serves the needs of consumers and society while also benefiting businesses.
Marketing is currently facing many justified and unjustified criticisms. Marketing practices are under scrutiny due to the harm inflicted on individuals, consumers, and society. A marketing system should sense, serve, and satisfy consumer needs while also improving the quality of their lives. According to social critics, certain marketing practices harm individual consumers and society as a whole. To formulate this situation, a balance must be found. Marketers must strike a balance between serving consumer needs and improving their quality of life while also ensuring that marketing practices are fair and equitable. Marketers must be aware of the impact of their actions on the environment, society, and individuals. They must understand that their marketing practices can have negative consequences and they should work towards minimizing any negative effects that may occur. Therefore, marketers should ensure that their marketing practices are ethical and that they do not cause harm to consumers or society as a whole.
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A mutual fund earned an average annual return of 1.24% over the previous year. During that time, the average risk-free rate was 0.5% and the average market return was 2.11%. If the fund has a beta of 0.3, what was its alpha during that period? Answer in percent rounded to two decimal places.
The mutual fund's alpha during that period was 0.58%.
Alpha is a measure of a fund's performance relative to its benchmark. It is calculated as the difference between the fund's actual return and the return predicted by its beta and the market return. Given that the fund's beta is 0.3 and the average market return was 2.11%, we can calculate the expected return using the formula: Alpha = Actual return - (Risk-free rate + Beta * (Market return - Risk-free rate)). Plugging in the values, we get: Alpha = 1.24% - (0.5% + 0.3 * (2.11% - 0.5%)) = 0.58%.
In simple terms, the fund's alpha of 0.58% indicates that it outperformed its expected return, given its level of risk (beta), by 0.58%.
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The chief disadvantage of being a first mover is the inability to earn above-average returns unless the production process is very efficient high degree of risk high level of competition in the new marketplace difficulty of obtaining new customers
The chief disadvantage of being a first mover is the difficulty of obtaining new customers. Option D is the correct answer.
When a company is the first to enter a market, it must educate and persuade customers of the value and benefits of its new product or service.
Customers may be unfamiliar with the item or unwilling to try anything new, which can be a substantial barrier. As a result, the first mover must frequently invest considerably in marketing and customer acquisition.
Being the first to market might also generate competition. Once the market potential is recognised, other companies may soon enter the field with comparable or improved offerings, resulting in intense rivalry.
This might diminish the market share of the first mover and limit its capacity to capture and sustain a dominant position. Therefore, Option D is the correct answer.
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Luis is a risk-averse investor who is considering Proposal A and
Proposal B. Each proposal requires the same amount of investment
and has equivalent expected values. However, the distribution of
possi
As a risk-averse investor, Luis would prefer Proposal A over Proposal B due to its narrower range of potential outcomes and lower variability, providing a more predictable and less risky investment option.
Luis, being a risk-averse investor, would favor Proposal A over Proposal B due to its narrower distribution of possible outcomes and lower variability. This preference stems from the desire for a more predictable investment with reduced risk exposure. While both proposals have equivalent expected values, the narrower range of outcomes in Proposal A suggests a higher level of certainty in potential returns.
Proposal B, on the other hand, with its wider range of outcomes, indicates a greater degree of uncertainty and potential for higher gains or losses. By selecting Proposal A, Luis aims to mitigate risk and secure a more stable investment outcome aligned with his risk aversion.
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if there are 3,000 in the population; 930 are employed; and 70 are unemployed, what is the unemployment rate?
7% of the population is unemployed, indicating the proportion of individuals without employment compared to the total labor force.
To calculate the unemployment rate, we need to divide the number of unemployed individuals by the total labor force (which consists of employed and unemployed individuals) and multiply by 100 to express it as a percentage.
In this scenario, the number of employed individuals is 930, and the number of unemployed individuals is 70. Therefore, the total labor force can be calculated as the sum of employed and unemployed individuals:
Total Labor Force = Employed + Unemployed
= 930 + 70
= 1,000
Now, we can calculate the unemployment rate:
Unemployment Rate = (Unemployed / Total Labor Force) x 100
= (70 / 1,000) x 100
= 7%
Therefore, the unemployment rate in this population is 7%.
The unemployment rate is a key economic indicator that measures the proportion of the labor force that is unemployed but actively seeking employment. It provides insights into the health of the labor market and the overall economic conditions.
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