Taxes and transfers are used by the government to more equitably share revenue. A Medicaid participant typically receives $1500 in benefits.
What distinguishes Medicare and Medicaid?Medicare is a health insurance program for seniors, disabled individuals under 65, and dialysis patients. Medicaid is a program that provides financial aid for low-income patients' medical costs.
Who covers Medicaid costs?The federal government and the states share funding for the Medicaid program. The amount that the federal government reimburses states for program costs is known as the Federal Medical Assistance Percentage, or FMAP (FMAP).
Who profits from Medicaid the most?Spending on Medicaid is mostly targeted at the elderly and those with disabilities. Despite accounting for over two-thirds of Medicaid spending, seniors and individuals with disabilities make up one in four beneficiaries, which reflects the high per-enrollee expenses for both acute and long-term care.
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which of the following correctly explains the crowding-out effect? a. an increase in government expenditures decreases the interest rate and so increases investment spending. b. an increase in government expenditures increases the interest rate and so reduces investment spending. c. a decrease in government expenditures increases the interest rate and so increases investment spending. d. a decrease in government expenditures decreases the interest rate and so reduces investment spending.
An increase in the government expenditures increases interest rate and so reduces the investment spending correctly explains crowding-out effect.
What is crowding-out?Crowding out is a phenomenon in economics that happens when increased government involvement in a market economy sector significantly impacts the rest of the market, either on the supply or demand side of the market. When expansive fiscal policy results in less private sector investment spending, this is one type that is frequently discussed. Government spending "crowds out" investment because it requires more loanable funds, raising interest rates in the process and lowering investment spending. A drawback of solutions based on private exchange is the crowding out of intrinsic motivation and prosocial norms in response to the financial incentives of voluntary market exchange, and behavioral economists and other social scientists use the term "crowding out" to describe this.
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After years of struggling with weight management, a middle-age man is evaluated for gastroplasty. He has experienced difficulty with managing his diabetes mellitus and hypertension, but he is approved for surgery. Which intervention is most important for the nurse to include in this client's plan ?A) Monitor for urinary incontinence B) Provide a wide variety of meal choices C) Observe for signs of depression D) Apply sequencial compression stockings
B) Providing a wide variety of meal choices is the correct answer.
In the current situation, a middle-aged man has a hard time controlling his hypertension, diabetes, and weight. He has also had a hard time controlling his weight for a long time. He has been given the go-ahead for weight-loss surgery using gastroplasty.
If he was accepted for the procedure as well, he had a history of hypertension and non-controllable diabetes. We must provide sufficient instruction about the guided weight loss program through food and lifestyle adjustment before the surgery itself.
Beginning nutritional education before surgery enables the patient to get ready for recovery and make a commitment to dietary limitations.
The gastroplasty treatment is strongly recommended for patients who have trouble controlling their weight when they have chronic diabetes and hypertension.
Therefore, a structured weight loss program is required before the procedure itself in order to improve the results of the procedure, ensure that the patient has followed the new dietary guidelines, and help him get ready for the procedure. As a result, consider a wide range of food options when arranging treatment for a patient who is having a gastroplasty and has unmanageable weight, chronic diabetes, and hypertension.
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standard neoclassical labor supply and demand, what will be the effect on the wages of california dishwashers if civil strife drives uneducated workers to leave central america for the united states?
The effect on wages of California dishwashers if civil strife drives the uneducated workers to leave central America for United Statesan is increase in wage paid to workers in competitive market.
What is competitive market?Consumer demands for goods and services result in the formation of a competitive market. Because of the rivalry it fosters, businesses are forced to consider their costs of production, pricing policies, and product output. In competitive marketplaces and in the idea of perfect competition, buyer and seller are taken into account equally and strategies are developed based on supply and demand dynamics at time. In this article, we define competitive marketplaces, discuss their traits, and clarify their functions and distinctions. The supply curve, which depicts a product's quantity, changes in response to supply and demand. Supply curves change to maintain the producer's expenses in relation to its sales because a producer must be willing to sell a product for what the market will pay in a competitive market.
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excerpts from colter corporation's most recent balance sheet appear below: year 2 year 1 current assets: cash $ 97 $ 127 accounts receivable, net 114 124 inventory 191 181 prepaid expenses 47 47 total current assets 449 479 total current liabilities $ 348 $ 325 sales on account in year 2 amounted to $1,385 and the cost of goods sold was $825. the acid-test (quick) ratio at the end of year 2 is closest to: multiple choice 0.74 0.90 0.61 1.29
Excerpts from colter organization's latest balance sheet is the present day Ratio for the yr 2 is closest to = current property/present-day Liab.
= $449/$348 = 1.29
A stability sheet is a financial statement that reports an organization's property, liabilities, and shareholder equity. The stability sheet is one of the three middle financial statements which are used to assess a commercial enterprise. It offers a picture of an organization's finances (what it owns and owes) as of the date of the guide.
In economic accounting, a balance sheet is a summary of the financial balances of a character or corporation, whether or not it's a sole proprietorship, an enterprise partnership, a business enterprise, a privately constrained organization, or another employer which includes authorities or not-for-earnings entity.
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. question 5 you decide to run a colleague test before a presentation to your stakeholders. what kinds of information might the exercise give you? select all that apply
You can find out if your stakeholders have any misunderstandings, questions, or preconceptions regarding your presentation by conducting a colleague test.
What are some examples of stakeholders?An stakeholder is a party with an interest in a business who has the potential to influence or be affected by it.
What is meant by a stakeholder?someone who owns shares in a corporation, either individually or collectively. an individual who is obligated to and interested inside the achievement of a group, community, or other organization, like a worker, customer, or citizen.
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Fixed costs are important because, at least in the ___________, the firm _______________.
B. short run; cannot alter them
Fixed costs are important because, at least in the short run, the firm cannot alter them.
Fixed Price: Definition.
The cost of a business expense is referred to as a fixed cost if it remains constant regardless of whether more or fewer goods and services are produced or sold. Fixed costs are frequently associated with ongoing costs like rent, interest payments, and insurance that aren't directly related to production.
In general, fixed costs are indirect because they have nothing to do with the creation of any goods or services by a company. Shutdown points are frequently used to cut fixed costs. These costs are one of two different types of business expenses; the other is a variable expense, and their combined costs equal their overall expenses.
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how does a country's rigidity of employment index correspond to the amount of long-term unemployment for that nation?
A country's Employment Rigidity Index corresponds to its long-term unemployment rate; the higher the index, the higher the long-term unemployment rate.
What is the Employee Index?The Employment Index in short-term statistics includes those employed in observation units (including employed owners, partners regularly employed in units, and unpaid family workers) and those owned and paid by units. Defined as the total number of people employed outside the unit they do business with.
How are employment rates determined?That is, the percentage of the population currently working. Employment rate is calculated as follows:
(employed ÷ non-institutional population of citizens) x 100.
How is the Labor Cost Index used?The ECI is used by the Federal Reserve to monitor the effectiveness of fiscal and monetary policies and to formulate those policies. “The ECI is essential to understanding the American economy,” said Federal Reserve Chairman Ben Bernanke.
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Georgina, Inc. makes one product and it provided the following information to help prepare the master budget for the next three months of operations: - The budgeted selling price per unit is $130. - Budgeted unit sales are: - April - 10,200 units - May - 12,600 units - June - 8,600 units - The ending finished goods inventory equals 20\% of the following month's sales. - The ending raw materials inventory equals 15% of the following month's raw materials production needs. Each unit of finished goods requires 3 pounds of raw materials. The raw materials cost $5.00 per pound. - June's total pounds required for production is 20,200 . (Hint: you need this to compute desired ending inventory for Direct Materials Budget) Prepare a sales budget, production budget, direct materials budget for the month of May. (Enter only numbers, do not include any words, such as 'units'. Use \$ for amounts in dollars, and do not use a \$ for amounts in units. And use only whole dollars, no cents. Also, include the comma for to separate the thousands, i.e. 20,000) Sales Budget - May
Expected sales (units)
Sales price per unit
Total sales revenue
Production Budget - May
Expected sales (in units)
Desired ending inventory
Total required units
Beginning inventory
Required production
Direct Material Budgets - May
Units to be produced
Direct material per unit
Total pounds needed for production
Desired ending inventory
Total material required
Beginning inventory
Pounds of direct material purchaser requirements
Cost per pound
Total cost of direct material purchase
June sales: $ 8,600 × 20%= $ 1720May sales: $ 12,600× 15% =189 Total cash collections $ 1909.
Total Cash is the sum of all cash and cash equivalents held by the Consolidated Group, whether they are held as collateral, in escrow, or were acquired through like-kind exchanges (including cash from like-kind exchanges on deposit with a qualified intermediary). In order to calculate cash per share, a company's cash flow must be divided by the total number of outstanding equity shares. Cash per share tells us how much of a company's stock price is available for shareholder dividends, corporate growth, debt reduction, and other advantageous projects.
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walden industries is considering investing in productionmanagement software that costs , has residual value, and leads to cost savings of per year over its fiveyear life. calculate the average amount invested in the asset that should be used for calculating the accounting rate of return.
The average amount invested in the asset that should be used for calculating the accounting rate of return is $348,500.
The average amount invested, or average investment is calculated by adding the initial investment plus the residual value, and then divide the result by 2:
Average amount invested = (amount invested + residual value) / 2
Average amount invested = ($630,000 + $67,000)/2 = $697,000/2
= $348,500
Average amount invested- Average Investment Value means the average of the aggregate Values of the Assets during a specified period, computed by taking the average of such Values at the end of each business day during such period.
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department direct expenses number purchase orders square feet purchasing $ 32,000 maintenance 18,000 fabrication 96,000 16 3,300 assembly 62,000 4 2,700 compute the amount of purchasing department expense to be allocated to assembly
Amount of purchasing department expense allocated to fabrication is 25600.
Calculation of amount of purchasing department expense allocated to fabrication:
Total purchase orders= 16+4= 20
Amount of purchasing department expense= $3200
Amount of purchasing department expense allocated to fabrication= 32000*16/20= 25600
A purchasing department is the division of a company it is liable for obtaining the products and services the commercial enterprise calls for to perform. a few agencies talk to shopping departments as procurement departments or shopping for departments.
The purchasing department of a business enterprise is accountable for buying the products, raw materials & services required to function the organisation efficiently.
Now, every agency has its particular needs in relation to the sourcing and procurement of system, raw substances, and services.
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Karen is buying a new laptop. She is looking for a light-weight computer. The laptop she purchases is a little heavier than she had originally hoped, but she was willing to accept the extra weight for a computer with a bigger, clearer screen. Karen made her purchase decision using a(n) ________.
Karen made her purchase decision using a(n) Rule of compensatory judgment.
What precisely is compensatory judgment?
If you prevail in court, you might be entitled to compensation known as "damages" in the legal community. Punitive and compensatory damages are the two main types of damages that are frequently awarded. Punitive damages aim to hold a person accountable for their wrongdoing. Comparatively, compensatory damages are only meant to compensate the injured party.
The reply is almost anything. If the plaintiff (the person who filed the lawsuit) suffered a physical injury, compensatory damages might also include his medical expenses, lost wages from taking too many sick days, and lost future wages due to a diminished ability to work.
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neubert enterprises recently issued $1,000 par value 15-year bonds with a 7% coupon paid annually and warrants attached. these bonds are currently trading for $1,000. neubert also has outstanding $1,000 par value 15-year straight debt with a 9% coupon paid annually, also trading for $1,000. what is the implied value of the warrants attached to each bond? do not round intermediate calculations. round your answer to the nearest cent.
The implied value of the warrants affixed to each bond is 128.35.
How is the implied value determined?Par value equals $1000
Bonds' coupon rate is 6%.
The straight debt's coupon rate is 9%.
9% interest rate
15 years are a period.
Price equals (Coupon1(1+r)nr)nr).
Value(1 + r) +Par
Coupon = (Coupon 1 (1 + r) n r) n Price Added Value (1 plus r) n
Bond price is (Cn / (1+YTM)n) + P / (1+i)n price,
Bond price is (Cn / (1+YTM)n) + P / (1+i)n price,
Price = 128.35
Why are bonds and warrants issued together?Warrants are frequently attached to bonds or preferred shares as a sweetener, allowing the issuer to lower dividend or interest payments. They can be used to improve the yield on the bond and make it more appealing to potential buyers. Warrants can also be used in private equity agreements.
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may industries has a bond outstanding that sells for $955. the bond has a coupon rate of 6.5 percent and 18 years until maturity. what is the yield to maturity of the bond?
YTM is the rate at which present value of all future cashflow will be equals to the price of bond.
By trial and error let YTM is 7%
Present Value = Interest * PVAF + Maturity value * PVF
= 65* 10.0591 + 1000*0.29586
= $949.7046
at 6.5 % Present value will be equals to Face Value $1000 (Since coupon rate = YTM)
Therefore YTM (Interpolation ) = LR + [(PV(LR) - Price) / (PV (LR) - PV (HR)] * (HR - LR)
= 6.50 + (1000 - 955) / (1000 - 949.7046) * ( 7 - 6.50)
= 6.9474 %
Here PVF and PVAF can be determine using present value and annuity table and alternatively using below formula
PVF = 1/(1+r)n
PVAF = (1 - 1/(1+r)n ) / r
Cashflow from operations is created from expenditures made as part of the everyday course of operations. Examples of those cash outflows are payroll, the cost of products bought, hire, and utilities. coins outflows can vary notably while commercial enterprise operations are quite seasonal.
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The purpose of closing entries is to:
1. update the retained earnings account on a daily basis.
2. update a periodic inventory account for credit sales.
3. reduce all temporary accounts to zero.
4. apportion prepaid expenses and unearned revenues to bring the accounts up to date.
Option (3), which states that closing entries are made to make all temporary accounts zero.
What purpose serve the final entries?The closing entry is used to reset the temporary account balances to zero in the general ledger, which is how a company's financial data is kept track of. Temporary accounts are used to track accounting activity over a specific time frame.
Why do closing entries for retained earnings need to be made?Closing entries are used to move funds from temporary to permanent accounts at the end of an accounting period. Due to the consolidation of your accounts brought on by these journal entries, you will be able to determine your retained earnings, or the amount remaining after expenses and dividends have been paid.
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a company has sales of $119,000; cost of goods sold of $74,870; and total direct expenses of $8,620. the department’ contribution to overhead is:
The department’ contribution to overhead is $35510.
How to calculate the department contribution to overhead?Given, sales= $119,000;
cost of goods sold= $74,870;
total direct expenses= $8,620.
Gross profit = Sales - (COGS + Direct expenses)
Gross profit = $119,000 - ($74870 + $8620)
Gross profit = $35,510.
What are direct expenses?Direct costs, commonly referred to as costs of goods sold (COGS), are expenses that are entirely attributable to the creation of a particular commodity or service. These expenses cover the direct costs of the materials required to make the product as well as maybe any labor charges that are utilized only to make the product.
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assume there must be one-to-one matching between consultants and projects. after the row and column reductions, what is the resulting entry in the new table for assigning rick to project d?
The resulting entry in the new table for assigning rick to project d will be 8 hours.
A table is an arrangement of information or data, usually by rows and columns or possibly in a more complex structure. Tables are widely used in communication, research and data analysis. Boards appear in print media, handwritten notes, computer software, architectural ornaments, street signs, and many other places.
The exact conventions and terms to describe tables vary depending on the context. In addition, tables vary greatly in diversity, structure, flexibility, notation, representation, and usage. Information or data conveyed in tabular form is said to be tabular. In technical books and articles, tables are often presented outside the main text as a numbered and annotated embossed block.
The above question is incomplete, the complete question is-
The president of a consulting firm wants to minimize the total number of hours it will take to complete four projects for a new client. Accordingly, she has estimated the time it should take for each of her top consultants—Charlie, Betty, Johnny, and Rick—to complete any of the four projects, as follows:
Assume there must be one-to-one matching between consultants and projects. After the row and column reductions, what is the resulting entry in the new table for assigning Rick to project D?
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under sec rules, which relationships between a covered person and an sec audit client are not prohibited? a. joint business ventures.
Sec regulations did not forbid immaterial landlord-tenant relationships between a covered person and a Sec audit client.
What is joint business venture?A joint venture is a partnership between two or more people that aims to develop one business or project for profit while splitting the associated risks. Participants in the joint venture must be at least two different natural people or entities. Although some legal characteristics of a joint venture (such as how it is treated for income tax purposes) may be governed by partnership regulations, a joint venture is not a partnership or a corporation. Joint ventures are frequently employed to enter international markets. Foreign companies create joint ventures with domestic companies already active in the markets they want to enter.
What are the advantages of joint venture business?The ability to accelerate corporate growth, boost productivity, and boost profits is one of the most significant benefits of joint ventures. Other advantages of joint ventures include: access to new markets and distribution networks; increased capacity; sharing of risks and expenses (i.e. liability); access to new knowledge and expertise, including specialized staff; access to more resources, such as technology and finance; and increased capacity. Growth is frequently made possible by joint ventures without the need for borrowing money or finding outside investors.
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________ entails evaluating a list of prospective customers and assessing their potential to purchase a product.
Lead qualification entails evaluating list of the prospective customers and assessing their potential to purchase product.
What is lead qualification?The method used by businesses to identify which prospects make the best sales targets is known as lead qualification. Everyone who expresses interest in a good or service may not be prepared to buy it. Because of this, lead qualification is an essential component of any sales strategy. However, it's a step that many companies either skip over or fail to execute successfully. One study found that despite the fact that only about a quarter of sales leads are qualified, almost two-thirds of B2B marketers do not take lead qualification into account when choosing where to focus their sales efforts. Fortunately, if your company has a solid process in place, these kinds of pitfalls are simple to avoid. This article will describe that procedure in detail and common lead qualification techniques.
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Apple often sells products in bundles, i.e., a product with multiple deliverable elements (e.g., software, hardware, AppleCare plan, and extended warranty) at the same time. Based on the provided disclosures, explain how Apple recognizes revenue for a bundle of products
For products that include multiple delivery elements, Apple recognizes revenue in accordance with the relative fair market value of each element. This value is generally determined by Vendor Specific Objective Evidence.
Vendor Specific Objective Evidence is the income every component would have gotten had it been sold separately. Also, every component's allotted income is perceived when the income acknowledgment measures for that component has been met. In the case Apple is unable to determine the fair market value, the income of that component is conceded until any remaining components of the item have been conveyed or performed. If the honest assessment of a conveyed component not entirely set in stone, Apple utilizes the leftover technique to concede the undelivered components and the excess part of the administration charge is distributed to the delivered element and perceived as revenue.
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Compound interest is calculated on the principal, as well as on any interest already earned. Use compound interest when the question explicitly uses the term "Compound".
Example:
John takes out a $10,000 loan at an annual interest of 12%, compounded semiannually. what will be the balance of the loan at the end of the year?
Notice the following:
1) Interest rate = 12% annual
2) Time - 1 year
3) Compound - semiannually. Interest is calculated after six months, then again at the end of the year.
John interest after 6 months = $10,600 and balance at the end of year = $11,236 .
Compound interest :Compound interest is adding interest to the principal of a loan or deposit, i.e. principal plus interest. This can be done by reinvesting the interest, adding it to the principal borrowed instead of repaying it, or requiring the borrower to pay and earn interest on the principal plus previously accrued interest in the next period. Compound interest is the norm in finance and economics.
Calculating the interest amount :Six months later, John's loan has reached half the annual interest rate, or 6%.
The balance of the loan after six months would be :
$10,000 + 10,000·6%
= 10,600.
The remaining interest accrues on this balance at the end of the year. Another 6%.
The year-end balance sheet is as follows:
10,600 + 10,600·6%
= $11,236.
Consider that the interest rate for every 6-month period is 6% - half of the 12% annual rate.
Interest....6%
Principal= $10,600....
$10,600(1+6%)
$10,600 + 636
=$11,236
Compound interest is in contrast to simple interest. With simple interest, there is no compound interest because previously accrued interest is not added to the principal for the current period. APR is the amount of interest per period multiplied by the number of periods per year.
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rue or false: programmed conflict is designed to create dysfunctional conflict on a regular basis, in order to stimulate creativity and innovation in teams. group of answer choices true false
It is FALSE that, Programmed conflict is designed to create dysfunctional conflict on a regular basis, in order to stimulate creativity and innovation in teams.
Conflict arises when one party believes that the interests of the other party are in opposition to or adversely affecting the first party.Programmed conflict occurs when disagreements are raised without consideration to the managers' sentiments. It can be difficult to persuade contributors to support or criticize ideas based on relevant facts as opposed to their own preferences or political agendas.Functional conflict is characterized by consultative contacts, a focus on the issues, mutual respect, and constructive give and take.Conflict that endangers an organization's interests is referred to as dysfunctional conflict.When the demands or pressures from work and family are incompatible, work-family conflict results.Learn more about Conflict, here
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An agent of a broker-dealer is currently doing business in one state and would like to conduct business in another state. When checking with the firm's compliance department, the agent would be told which of the following?A)If the agent is a partner, officer, or director and held that position at the time the broker-dealer was registered in that state, the individual need not register separately.B)Registration is required only if an offer is directed, accepted, and paid for in that state.C)No registration is necessary if no commission or other remuneration is paid or given directly or indirectly.D)No registration is necessary in the other state provided the agent's activities are limited exclusively to effecting transactions in certain exempted securities.
If the agent is a partner officer or director and held that position at the time the broker-dealer was registered in that state the individual need not register separately. Option A.
This rule requires a broker-dealer to own or control all full or excess margin securities held in a customer's account. A broker-dealer must periodically determine the amount of money it receives from using a client's money or securities.
Broker-Dealers perform several important functions in the financial industry. This includes providing investment advice to clients, providing liquidity through market-making activities, facilitating trading activity, issuing investment research, and raising capital for companies. Dual-registered investment advisors/brokers/dealers are common in the industry.
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Marcy charges $575 per month to rent a room at her eight-room apartment complex. running the complex costs marcy $9,880 per year in upkeep. assuming that all of the rooms are rented out, how much does marcy make from her apartment complex every year? a. $55,200 b. $45,320 c. $65,080 d. $16,780 please select the best answer from the choices provided a b c d
Option (b), assuming that all of the rooms are rented out, would see Marcy's apartment building generate $45,320 annually.
Renting is what?A contract for the temporary use of a good, service, or piece of property that belongs to someone else is referred to as renting, also known as hiring or letting. In a gross lease, all regular property expenses incurred by the owner are covered by the landlord in addition to the tenant's regular monthly rent payment.
The most popular approach is to multiply the amount of the weekly rental by the 52.14 weeks in a calendar year, then divide the result by the number of months in the year.
Charges (per month)= $575
Apartments= 8
Complex cost= $9,880
Rent of 8 months (per month)= 575 x 8 = 4600
Rent (per year)= 4600 x 12 = 55200
Total she get= Rent (per year) + Complex cost
= 55200 - 9880 = 45320
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specialization will increase output when it is based on: who can produce the fastest. who can produce at the least comparative cost. absolute advantage. comparative advantage.
Specialization will increase output when it is based on who can produce at the least comparative cost.
Comparative advantage refers to an economy's capacity to produce a certain item or service at a lower opportunity cost than its trade counterparts. The notion of comparative advantage presents opportunity cost as a consideration to consider when deciding between several manufacturing possibilities.
Comparative advantage refers to an economy's capacity to produce a certain item or service at a lower opportunity cost than its trade counterparts. The notion of comparative advantage presents opportunity cost as a consideration to consider when deciding between several manufacturing possibilities.
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question: if an analyst used nominal values to calculate gdp, that number would correct for the effects of inflation. true false
if an analyst used nominal values to calculate GDP, that number would correct for the effects of inflation. This statement is false.
What is used to correct the nominal GDP for inflation?We must separate the effects of rising pricing on nominal GDP in order to determine how much production has actually increased. The GDP deflator can be used to achieve this. A price index used to determine the average cost of all the goods and services used by the economy is the GDP deflator.
Relative to GDP from the previous year, the GDP growth rate is calculated. The growth figures that make headlines in the news are often those of "Real GDP," which is GDP that has already been adjusted for price adjustments (inflation).
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the government of balearic is concerned about a recession, so it decides to implement expansionary fiscal policy. how would this policy be depicted in an ad-as model? expansionary fiscal policy would shift the lras curve to the left. shift the lras curve to the left and the ad curve to the left. shift the ad curve to the right. shift the lras curve to the right and the ad curve to the right. shift the ad curve to the left.
The Balearic government decided to undertake an expansionary fiscal policy because it is worried about a recession. Fiscal expansion would cause the AD curve will move to the right.
What does the term "fiscal policy" mean?The phrase "fiscal policy" refers to whether the government utilizes spending and taxing to affect the economy. Governments frequently utilize fiscal policy to encourage strong, lengthy growth and to reduce poverty. There are three forms of monetary and fiscal policy. They are balanced, expansionary, and contractionary, respectively.
Please provide some examples of fiscal policy.In order to expand fiscal policy, the government typically cuts taxes while increasing spending. These two policies both seek to increase general demand while diminishing budget surpluses or increasing deficits.
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Exercise 18-10 In the month of March, Style Salon services 560 clients at an average price of $120. During the month, fixed costs were $21,024 and variable costs were 60% of sales. (a) Determine the contribution margin in dollars, per unit, and as a ratio. Contribution margin $ Contribution margin per unit $ Contribution margin ratio % (b) Using the contribution margin technique, compute the break-even point in dollars and in units. Break-even sales $ Break-even sales units
The contribution margin in dollars, per unit, is $40. The contribution margin in variable costing is calculated by deducting variable costs from sales.
The contribution margin in variable costing is calculated by deducting variable costs from sales. Sales minus variable costs equals contribution margin. The break-even point refers to the sales level at which a corporation does not make a profit or a loss (BEP). Sales below the BEP will result in losses for the business, while sales above the BEP will result in profits. Fixed costs x Contribution margin per unit equals BEP.
Total sales = $120 x 560= $67,200
Variable cost = Total sales x 60%= $67,200 x .60= $40,320.
Contribution margin (in dollars)= Total sales - Variable cost per unit
= $120-$120x60%
= $120-$72
= $48
Contribution margin ratio= contribution margin per unit / selling price per
unit
= $48/$120
= $48.
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"tuition at state university this year is $8,000. " which function of money does this statement best illustrate?.
This statement best illustrates unit of account function of money.
What is unit of account?Unit of account is one of the money functions in economics. The market worth of commodities, services, and other transactions is measured using a standard numerical monetary unit known as an account. Money serves as a common commercial denomination and a measure of standardization. It serves as a basis for price quoting and haggling as a result. For the creation of effective accounting systems, it is essential. In order for a company to evaluate its own performance, the unit of account in economics enables a largely meaningful interpretation of prices, costs, and profits. It enables investors to understand the company's past success and get a sense of its potential profitability. Market economies can tend to move toward efficiency when money is used as a relatively constant unit of measurement.
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1) describe three threats to safety and three threats to security in the hospitality organization with which you are most familiar. explain how management currently addresses (manages) these threats.
The owners of hospitality businesses face a range of security issues & Safety threats. These threats may hamper the smoothness of organization.
What is Hospitality sector?Among the many industries that build up the service sector's hospitality sector include hotel, food and beverage service, event organizing, theme parks, travel, and tourism. It contains lodging facilities, travel businesses, eateries, and bars.
This hospitality sector faces challenges in delivering its operation due to possible threats in relation to safety & security.
A) Security Threats:
Threats such as anti-social behavior of humans intervention, unauthorized visitors, and high staff turnover.
B) Safety Threats:
The most identifiable operational risks are falls, trips, and slip, Property damage, food contamination, liquor liability, special uncertain events, traffic accidents, hazardous chemicals, and natural calamity.
Therefore in order to maintain the long run stability of hospitality business then the managment shall mitigate these threats by training of staff and take necessary actions for safety & security.
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Assume the economy is at full employment and that investment spending declines dramatically.If the goal is to restore full employment, government fiscal policy should be directed toward:
A.an equality of tax receipts and government expenditures.
B.an excess of tax receipts over government expenditures.
C.an excess of government expenditures over tax receipts.
D.a reduction of subsidies and transfer payments and an increase in tax rates.
If the goal is to restore full employment, government fiscal policy should be directed toward C) an excess of government expenditures over tax receipts
Fiscal policy is the use of public expenditure and taxation to affect the economy, particularly macroeconomic conditions. These include employment, inflation, economic expansion, and the total demand for goods and services.
The government may reduce tax rates or boost spending during a recession to boost demand and the economy. On the other hand, it can increase rates or reduce spending to slow down the economy in order to battle inflation.
Government spending can be increased or decreased in response to a decline in private sector spending in order to directly boost aggregate demand. The government can spend less and/or tax more to reduce aggregate demand when the private sector is overly enthusiastic and invests in new projects and consumes too much money too quickly.
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