what is the long-run impact of an increase in oil price on an economy without policy response? assume that the determinants of potential output remain the same.

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Answer 1

An increase in oil price without any policy response can lead to inflation, slower economic growth, a negative impact on trade balance, and a shift in income distribution in the long run.

The long-run impact of an increase in oil price on an economy without policy response, assuming that the determinants of potential output remain the same, could involve the following consequences:

1. Inflation: Higher oil prices lead to increased production costs, which can result in higher prices for goods and services, causing inflation.
2. Slower economic growth: As production costs increase, businesses may reduce their production levels, leading to slower economic growth.
3. Negative impact on trade balance: If the country is an oil importer, the increased cost of oil will result in a higher import bill, potentially worsening the trade balance.
4. Shift in income distribution: An increase in oil prices can lead to a shift in income distribution, with oil-producing industries and countries benefiting, while consumers and non-oil producing industries bear the burden of higher costs.

In summary, an increase in oil price without any policy response can lead to inflation, slower economic growth, a negative impact on trade balance, and a shift in income distribution in the long run.

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Related Questions

The compensation associated with executive stock option plans is: Multiple Choice The book value of a share of the company's shares times the number of options. The estimated fair value of the options. Recorded as compensation expense on the date of grant. Allocated to expense over the number of years until expiration

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Executive stock option plans provide executives with an opportunity to purchase the company's stock at a predetermined price and within a specified period.

This compensation can have both financial and non-financial effects on the company. Financially, the compensation is typically recorded as an expense on the company's financial statements.In the context of financial accounting, the compensation associated with executive stock option plans is recorded as an expense on the date of grant and is allocated to expense over the number of years until expiration. This allocation can be done using various methods such as the straight-line method or the accelerated method.

The estimated fair value of the options is used to calculate the expense associated with the compensation. The fair value is calculated using various financial models such as the Black-Scholes model or the binomial model.The compensation associated with executive stock option plans is not the book value of a share of the company's shares times the number of options. The book value is the value of the company's assets minus the value of its liabilities, divided by the number of outstanding shares. The compensation is also not allocated based on the book value of the shares.

The compensation is also not the value of the options when they are exercised. The value of the options when they are exercised is the difference between the fair market value of the shares and the strike price of the options. The compensation expense is recorded when the options are granted, not when they are exercised.

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What are weak form, semi-strong form, and strong form efficiency? Does one form of efficiency imply another?

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It is important to note that the three forms of efficiency do not necessarily imply each other.

The three forms of market efficiency are weak form, semi-strong form, and strong form efficiency. The weak form efficiency suggests that all past market data, such as stock prices, trading volume, etc., is already reflected in the current stock prices. The semi-strong form efficiency means that all publicly available information, such as financial reports, news, and press releases, is already incorporated into stock prices. The strong form efficiency proposes that all public and private information, including insider trading, is already reflected in the stock prices. It is important to note that the three forms of efficiency do not necessarily imply each other. For instance, if the market is weak form efficient, it does not imply that it is semi-strong or strong form efficient. Similarly, if the market is semi-strong form efficient, it does not imply that it is strong form efficient. In a nutshell, market efficiency is crucial for investors to make informed decisions and earn profits. Weak form efficiency implies that technical analysis may not lead to abnormal returns, whereas semi-strong and strong form efficiency suggests that fundamental analysis may not lead to abnormal returns. Investors need to be aware of the type of market efficiency to make informed investment decisions and earn returns that are commensurate with the risks involved.

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Weak form, semi-strong form, and strong form efficiency are levels of market efficiency, which indicate how well a market reflects all available information in its prices.

1. Weak form efficiency implies that current prices fully incorporate all historical market data, such as past prices and trading volumes. In this form, technical analysis cannot consistently produce excess returns since the market has already accounted for past trends.

2. Semi-strong form efficiency states that current prices not only reflect past market data but also include all publicly available information, such as financial statements and economic indicators. In this form, neither technical nor fundamental analysis can consistently produce excess returns, as public information is already integrated into market prices.

3. Strong form efficiency suggests that market prices fully incorporate all information, including both public and private (insider) information. In this form, no one can consistently achieve excess returns, as all information is already reflected in market prices.

Regarding the implication of one form over another, a higher level of efficiency (semi-strong or strong) would inherently imply the lower level (weak) efficiency. However, weak form efficiency does not necessarily imply semi-strong or strong form efficiency, as there may still be unexploited public or private information not reflected in market prices.


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economists argue that most professional athletes___

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Economists argue that most professional athletes are overpaid.

This is because the salaries of professional athletes are often significantly higher than those of other professions with similar levels of education and training. Furthermore, the demand for professional sports is relatively inelastic, meaning that even if the price of attending a game or purchasing merchandise increases, fans will still pay for it.

his creates a situation where owners of sports teams can afford to pay their athletes extremely high salaries because they know that fans will continue to pay for tickets and merchandise.

Additionally, the salaries of professional athletes are often based on their market value, which is determined by the demand for their skills and the scarcity of similar talent. As a result, some economists argue that the high salaries of professional athletes reflect the distorted incentives and values of a society that places a premium on entertainment and spectacle rather than more productive and socially valuable pursuits.

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the opportunity cost of income is typically termed: a) leisure time. b) avocation time. c) time at home. d) time away from work.

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The opportunity cost of income refers to the benefits that you give up in order to earn more money. In other words, it's the value of the next best thing that you could have done with your time instead of working. Therefore, the correct answer to this question is a) leisure time.

When you choose to work longer hours or take on an additional job, you're sacrificing time that you could have spent doing something else, such as pursuing a hobby or spending time with loved ones. This is why it's important to weigh the opportunity cost of income against the potential benefits of earning more money. While increasing your income may be tempting, it's essential to consider how it will impact your overall quality of life and whether it's worth sacrificing other aspects of your life, such as your avocation time or leisure time. In conclusion, making informed decisions about how you spend your time is crucial for achieving a healthy work-life balance.

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An extensive study by Karolyi (1996) reportsi) the share price reacts favorably to cross-border listings.
ii) the total postlisting trading volume increases on average, and, for many issues, home-market trading volume also increases
iii) liquidity of trading in shares improves overall
iv) the stock's exposure to domestic market risk is significantly reduced and is associated with only a small increase
in global market risk
v) cross-border listings resulted in a net reduction in the cost of equity capital of 114 basis points on average
vi) stringent disclosure requirements are the greatest impediment to cross-border listingsO a. i), ii), and iii)
O b. i), ii), iii), iv), v), and vi)
O c. iii), iv), and v)
O d. iv), v), and vi)

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The study by Karolyi (1996) suggests that cross-border listings have several positive effects on a company's share price, trading volume, liquidity, and cost of equity capital.

Firstly, the study found that the share price of a company reacts favorably to cross-border listings. This indicates that investors perceive cross-border listings as a positive signal of the company's value and growth potential.  Secondly, the total post-listing trading volume increases on average, and for many issues, home-market trading volume also increases. This suggests that cross-border listings attract more investors and increase the overall demand for the company's shares. Thirdly, the liquidity of trading in shares improves overall. This means that the market becomes more efficient and it is easier for investors to buy and sell the company's shares.

Fourthly, the study found that the stock's exposure to domestic market risk is significantly reduced and is associated with only a small increase in global market risk. This means that cross-border listings help to diversify the company's risk and make it less dependent on the domestic market. Fifthly, cross-border listings resulted in a net reduction in the cost of equity capital of 114 basis points on average. This means that companies can raise capital more cheaply by listing their shares on foreign exchanges. Finally, the study found that stringent disclosure requirements are the greatest impediment to cross-border listings. This suggests that companies may face regulatory barriers when trying to list their shares on foreign exchanges. Therefore, the correct answer to the question is option b) i), ii), iii), iv), v), and vi).

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In preparing a common-size balance sheet, you express all account balances as a percentage of:a. total stockholders' equity.b. total liabilities.c. total assets plus total liabilities minus stockholders' equity.d. total assets.

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The correct answer is option D, total assets. When preparing a common-size balance sheet, all account balances are expressed as a percentage of the total assets.

This helps to analyze the composition of the assets and the relative proportions of each account. In this case, we need to determine which amount is used to express the account balances as a percentage. The options provided are total stockholders' equity, total liabilities, total assets plus total liabilities minus stockholders' equity, and total assets.

By expressing all accounts as a percentage of total assets, we can see how much of the assets are tied up in each account. For example, if accounts receivable is 10% of total assets, we know that 10% of the company's assets are tied up in accounts receivable. This information can be used to make informed decisions regarding the company's financial health and future prospects. It can also be used to compare the company's financial performance to industry standards or competitors.

In conclusion, when preparing a common-size balance sheet, account balances are expressed as a percentage of total assets. This provides valuable insights into the composition of the company's assets and can be used to make informed decisions.

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#32) The growing perpetuity present value formula assumes that
a. growth rate, g, equal discounting rate, r, and the time periods are limited in number.
b. the growth rate increases as time progresses.
c. growth rate, g, is less than discounting rate, r, and the time periods are finite the first cash flow occurs at Time 0.
d. growth rate, g, is less than discounting rate, r, and the time periods are regular and discrete.

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The growing perpetuity present value formula assumes that the growth rate, g, is less than the discounting rate, r, and the time periods are regular and discrete. The correct option is d.

This assumption is crucial in determining the present value of a series of cash flows that grow at a constant rate and continue indefinitely. The formula for calculating the present value of a growing perpetuity is PV = CF1 / (r - g), where PV is the present value, CF1 is the cash flow in the first period, r is the discount rate, and g is the growth rate.

This assumption ensures that the present value of the perpetuity converges to a finite value, allowing for an accurate calculation of the investment's worth. If the growth rate were equal to or greater than the discount rate, the present value would become infinite or negative, which is not a realistic outcome in financial evaluations.

By considering the time periods as regular and discrete, the formula acknowledges that cash flows occur at consistent intervals, such as yearly or monthly. This regularity allows investors to analyze and compare the value of different investments accurately. In conclusion, the growing perpetuity present value formula relies on the assumption that the growth rate is less than the discount rate, and the cash flows occur at regular, discrete intervals.

Thus, the correct option is d. growth rate, g, is less than discounting rate, r, and the time periods are regular and discrete.

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Voting cycles violate which important decision rule? Select the correct answer below: a) minority rule. b) majority rule. c) fairness. d) ochlocracy.

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Voting cycles violate the  majority rule. Option B

What is majority rule about?

The majority rule states that a choice is made based on the inclination of the larger part of the voters. In other words, the choice that gets more than 50% of the votes wins.

This choice run the show is considered vital in majority rule social orders since it guarantees that the inclinations of the larger part are taken into consideration which choices are made based on the will of the individuals.

Therefore, to guarantee that the majority rule is not violated , it may be vital to utilize elective choice rules such as positioned choice voting or endorsement voting, which permit voters to precise their inclinations for numerous alternatives in a single circular of voting.

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QUESTION 40 "If the exchange rate is 25 Korean won per US$, a jar of kimchi costs 150 won in South Korea, and a jar of kimchi costs $8 in New York, then a. the real exchange rate is greater than one and there is an arbitrage opportunity to buy kimchi in South Korea and sell in New York b. the real exchange rate is greater than one and there is an arbitrage opportunity to buy Kimchi in New York and sell in South Korea c. the real exchange rate is less than one and there is an arbitrage opportunity to buy kimchi in South Korea and sell in New York d. the real exchange rate is less than one and there is an arbitrage opportunity to buy kimchi in Newpork and sell in South Korea

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The correct answer is c. The exchange rate tells us the price of one currency in terms of another currency. In this case, 25 Korean won can be exchanged for 1 US dollar. If a jar of kimchi costs 150 won in South Korea and $8 in New York, we can calculate the cost of kimchi in terms of US dollars by dividing 150 by 25 (the exchange rate): 150/25 = $6.

Therefore, kimchi is cheaper in South Korea than in New York. This creates an opportunity for arbitrage, which is the practice of buying an asset in one market and immediately selling it in another market at a higher price to make a profit. In this case, one can buy kimchi in South Korea for 150 won, exchange it for $6 in the US (using the exchange rate of 25 won per dollar), and sell it for $8, making a profit of $2 per jar. Therefore, the real exchange rate is less than one and there is an arbitrage opportunity to buy kimchi in South Korea and sell in New York.
The exchange rate is 25 Korean won per US$. To find the cost of a jar of kimchi in South Korea in US dollars, we can divide the price in won by the exchange rate: 150 won / 25 won per US$ = $6. The real exchange rate can be calculated as the price in South Korea divided by the price in New York: $6 / $8 = 0.75.
Since the real exchange rate is less than one (0.75), there is an arbitrage opportunity to buy kimchi in South Korea and sell it in New York. Therefore, the correct answer is c. the real exchange rate is less than one and there is an arbitrage opportunity to buy kimchi in South Korea and sell in New York.

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​According to the IGM poll, most economists think that the crowding out effects were stronger than the stimulative effects of ARRA.
True
False

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'The given statement is false because the increase in government spending resulting from ARRA may have decreased private investment and overall economic growth, rather than boosting it.'


This belief is based on the theory of crowding out, which suggests that increased government spending can lead to higher interest rates and decreased private investment. This can occur because the government may compete with private investors for the same resources, such as borrowing from the same pool of savings.

However, it is important to note that there is still debate among economists regarding the effectiveness of ARRA and the extent of crowding out effects. Some argue that the increased government spending provided a necessary boost to the economy during a time of recession, and that the crowding out effects may have been limited.

Overall, while most economists surveyed in the IGM poll believe that the crowding out effects were stronger than the stimulative effects of ARRA, it is still a topic of ongoing discussion and analysis in the field of economics.

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If a domestic market begins to export goods to and import goods from a foreign market, we can assume that: A) producers in the exporting industry may be worse off. B) consumers of the imported good may be worse off. C) consumers of the exported good may be better off D) consumers in the importing industry are better off.

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C) consumers of the exported good may be better off. When a domestic market begins to export goods to a foreign market, it means that there is an increase in demand for the goods being produced in the domestic market.

This could lead to an increase in production and economies of scale, which can ultimately lead to lower prices for the consumers of the exported good. However, it is important to note that the impact on producers and consumers of the importing industry will depend on various factors such as competition, tariffs, and exchange rates.
If a domestic market begins to export goods to and import goods from a foreign market, we can assume that C) consumers of the exported good may be better off. This is because exporting goods can lead to increased production and potentially lower prices or higher quality goods for domestic consumers.

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c. suppose you deposited the $1,000 in 4 payments of $250 each at the end of years 1, 2, 3, and 4. how much would you have in your account at the end of year 4, based on 8 nnual compounding?

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If the $1,000 was deposited in four payments of $250 each at the end of years 1, 2, 3, and 4, the total future value of the investment at the end of year 4, based on 8 annual compounding, would be $1,115.72.

Assuming an annual interest rate of 8% compounded annually, the future value of a lump-sum investment of $1,000 made at the beginning of year 1 would be:

[tex]FV = PV \times (1 + r)^n = $1,000 \times (1 + 0.08)^4 = $1,360.49[/tex]

Now, suppose that the $1,000 was deposited in four payments of $250 each at the end of years 1, 2, 3, and 4. In this case, we can calculate the future value of each payment individually and add them up to get the total future value of the investment at the end of year 4.

The future value of the first payment of $250 made at the end of year 1 would be:

[tex]FV1 = PV \times (1 + r)^n = $250\times (1 + 0.08)^3 = $310.13[/tex]

The future value of the second payment of $250 made at the end of year 2 would be:

[tex]FV2 = PV \times (1 + r)^n = $250 \times (1 + 0.08)^2 = $285.22[/tex]

The future value of the third payment of $250 made at the end of year 3 would be:

[tex]FV3 = PV \times(1 + r)^n = $250\times (1 + 0.08)^1 = $270.37[/tex]

The future value of the fourth payment of $250 made at the end of year 4 would be:

[tex]FV4 = PV \times (1 + r)^n = $250 \times (1 + 0.08)^0 = $250[/tex]

Adding up the future values of all four payments, we get:

Total FV = FV1 + FV2 + FV3 + FV4 = $310.13 + $285.22 + $270.37 + $250 = $1,115.72

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You would have $1,126.95 in your account at the end of year 4.  If you deposited $1,000 in 4 payments of $250 each at the end of years 1, 2, 3, and 4, and assuming an annual interest rate of 8% compounded annually.

The calculation would be as follows:

At the end of year 1, you would have $250 in the account.

At the end of year 2, the $250 deposit from year 1 would have grown to:

$250 * (1 + 0.08) = $270

You would also have an additional $250 deposit from year 2, giving you a total of $520 in the account.

At the end of year 3, the $520 in the account would grow to:

$520 * (1 + 0.08) = $561.60

You would also have an additional $250 deposit from year 3, giving you a total of $811.60 in the account.

At the end of year 4, the $811.60 in the account would grow to:

$811.60 * (1 + 0.08) = $876.95

You would also have an additional $250 deposit from year 4, giving you a total of $1,126.95 in the account.

Therefore, you would have $1,126.95 in your account at the end of year 4.

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cost of goodsl sold was 5345 accoutns payable increased 11281 and inventroy increased by18838 what was cash paid to suppliers

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So, when considering the cost of goods sold ($5,345), the increase in accounts payable ($11,281), and the increase in inventory ($18,838), the cash paid to suppliers was $12,902.

Based on the information provided, we need to determine the cash paid to suppliers, taking into account the cost of goods sold, the increase in accounts payable, and the increase in inventory.

1. Start with the cost of goods sold (COGS), which is $5,345.

2. Add the increase in inventory, which is $18,838. This represents the additional inventory purchased during the period.

3. The sum of COGS and the increase in inventory is $5,345 + $18,838 = $24,183. This represents the total cost of inventory purchased during the period.

4. Subtract the increase in accounts payable, which is $11,281. This represents the amount of inventory purchased on credit and not yet paid for.

5. The cash paid to suppliers is therefore $24,183 - $11,281 = $12,902.

So, the cash paid to suppliers was $12,902.

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Verizon has a market value based capital structure of 32% debt and 68% common equity financing. Verizon has 30-year semi-annual coupon bonds outstanding selling at 112% of their $1000 par value with an annual coupon rate of 6.2% Verizon’s beta is 0.70 according to ValueLine. The 10-year T-bond rate is 2.8% and investors demand an 11.2% market return. The company’s marginal tax rate is 40%. What is Verizon’s WACC based on this information??

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The value of Verizon's WACC is 5.26%.

The semi-annual coupon rate of 6.2% translates to a semi-annual payment of $31 per bond. With a current selling price of 112% of par, the yield to maturity is calculated as follows:

YTM = [($31 x 2) / $1,120] + [($1,120 - $1,000) / (30 x $1,000 + $1,120)]

= 5.11%

Therefore, the after-tax cost of debt is:

After-tax cost of debt = YTM x (1 - Tax rate)

= 5.11% x (1 - 0.40)

= 3.07%

Next, we need to determine the cost of equity. Using the beta of 0.70 and the 10-year T-bond rate of 2.8%, we can calculate the cost of equity using the Capital Asset Pricing Model (CAPM):

Cost of equity = Risk-free rate + Beta x Market risk premium

= 2.8% + 0.70 x (11.2% - 2.8%)

= 8.96%

Finally, we can calculate the WACC:

WACC = (Market value of debt / Total market value) x After-tax cost of debt +

(Market value of equity / Total market value) x Cost of equity

= (0.32 x $1,120 million / ($1,120 million + $2,088 million)) x 3.07% +

(0.68 x $2,088 million / ($1,120 million + $2,088 million)) x 8.96%

= 5.26%

Therefore, based on the given information, Verizon's WACC is 5.26%.

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Daley Company prepared the following aging of receivables analysis at December 31.
Days Past Due Total 0 1 to 30 31 to 60 61 to 90 Over 90 Accounts receivable $ 580,000 $ 398,000 $ 92,000 $ 38,000 $ 20,000 $ 32,000 Percent uncollectible 3 % 4 % 7 % 9 % 12 % a. Complete a table to calculate the estimated balance of Allowance for Doubtful Accounts using aging of accounts receivable.
b. Prepare the adjusting entry to record Bad Debts Expense using the estimate from part a. Assume the unadjusted balance in the Allowance for Doubtful Accounts is a $3,800 credit.
c. Prepare the adjusting entry to record bad debts expense using the estimate from part a. Assume the unadjusted balance in the Allowance for Doubtful Accounts is a $300 debit.

Answers

a) The estimated balance of Allowance for Doubtful Accounts, which is  

    $41,560.    

b) The adjusting entry is:

   Debit: Bad Debts Expense $37,760

   Credit: Allowance for Doubtful Accounts $37,760

c) The Adjusting entry:

   Debit: Bad Debts Expense $41,260

   Credit: Allowance for Doubtful Accounts $41,260

Calculating allowance for Doubtful Accounts using aging of accounts receivable is an important concept in accounting, as it helps businesses estimate the amount of uncollectible accounts they may have and make adjustments to their financial statements accordingly.

Let's look at the table provided in the problem, which shows the Days Past Due and Percent Uncollectible for various categories of accounts receivable. Using this information, we can estimate the balance of Allowance for Doubtful Accounts by multiplying the balance of each category by its corresponding percent uncollectible and then summing the results.

a. Here is a table showing the estimated balance of Allowance for Doubtful Accounts using aging of accounts receivable:

Days Past Due Total

0 1 to 30 31 to 60 61 to 90 Over 90

Accounts receivable $580,000 $398,000 $92,000 $38,000 $20,000 $32,000

Percent uncollectible 3% 4% 7% 9% 12%

Estimated uncollectible amount $11,940 $15,920 $6,440 $3,420 $3,840

Estimated balance of Allowance for Doubtful Accounts $41,560

To get the estimated uncollectible amount for each category, we simply multiply the balance of that category by its corresponding percent uncollectible.

For example, the estimated uncollectible amount for accounts receivable that are 1 to 30 days past due is $398,000 x 4% = $15,920. We repeat this process for each category and then sum the results to get the estimated balance of Allowance for Doubtful Accounts, which is $41,560.

b. Now that we have the estimated balance of Allowance for Doubtful Accounts, we can use it to prepare the adjusting entry to record Bad Debts Expense. The entry will debit Bad Debts Expense and credit Allowance for Doubtful Accounts for the estimated balance we just calculated. We also need to take into account the unadjusted balance in the Allowance for Doubtful Accounts, which is given as a $3,800 credit. The adjusting entry is:

Debit: Bad Debts Expense $37,760

Credit: Allowance for Doubtful Accounts $37,760

c. In part c, we are given a different unadjusted balance in the Allowance for Doubtful Accounts, which is a $300 debit. This means that the company has previously overestimated its bad debt expense and needs to adjust for it in the current period. Using the same estimated balance of Allowance for Doubtful Accounts from part a, we can prepare the adjusting entry:

Debit: Bad Debts Expense $41,260

Credit: Allowance for Doubtful Accounts $41,260

In this case, we are debiting a higher amount of Bad Debts Expense because we need to adjust for the previous overestimation. We credit Allowance for Doubtful Accounts for the full estimated balance, which will result in a net balance of zero for the account after the adjustment.

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The internal rate of return (IRR) for an investment Would tend to be reduced if a company used an accelerated method of depreciation for tax purposes. May produce different results than the net present value method (NPV) in evaluating projects with different useful lives Frequently results in positive net present values on attractive projects. Ignores the time value of money Generally is greater than the company's desired rate of return.

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The internal rate of return (IRR) for an investment would tend to be reduced if a company used an accelerated method of depreciation for tax purposes.

The internal rate of return (IRR) may produce different results than the net present value method (NPV) in evaluating results in positive net present values on attractive projects, ignores the time value of money, generally is equal to or less than the company's desired rate of return.

a. The accelerated method of depreciation for tax purposes tends to reduce the taxable income, which in turn reduces the amount of cash flows that are available for the investor. This reduction in cash flows can lead to a lower internal rate of return.

b. The internal rate of return (IRR) and the net present value (NPV) methods are both capital budgeting techniques used to evaluate the profitability of investment projects. However, they may produce different results when evaluating projects with different useful lives because the timing and amount of cash flows are different for each project.

c. The internal rate of return (IRR) is a measure of the profitability of an investment, and it is frequently used to evaluate the attractiveness of projects. A positive internal rate of return indicates that the investment generates a return that is greater than the required rate of return.

d. The internal rate of return (IRR) is based on the concept of discounting the future cash flows to their present value, but it ignores the timing of the cash flows. Therefore, the IRR does not take into account the time value of money.

e. The internal rate of return (IRR) is a measure of the profitability of an investment and is compared to the company's desired rate of return to determine if the investment is attractive. If the IRR is greater than the company's desired rate of return, then the investment is attractive. However, if the IRR is equal to or less than the company's desired rate of return, then the investment is not attractive.

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after a revaluation, all other things equal, a country's balance of payments on the current account will likely:

Answers

After a revaluation, all other things equal, a country's balance of payments on the current account will likely decrease.

Refer to Exhibit 20.1. A shift of the demand curve from D' to D will O a. decrease the exchange rate from E' to E. O b. cause the foreign currency to appreciate. O c. cause the supply curve to shift. O d. increase the exchange rate from E to E. O e. cause the domestic currency to depreciate.

Answers

There will be a change in the demand curve from D to D. From E to E should be the new exchange rate. Consequently, option (D) is the proper one.

In the world of finance, an exchange rate is the cost at which one currency will be exchanged for another. Currency can occasionally be supra-national (like the euro) or sub-national (like Hong Kong), despite the fact that they are typically national currencies.

The exchange rate is also thought to indicate the relative value of one nation's currency to another.

For example, the 131 Japanese yen to the US dollar demand curve interbank rate predicts that 131 will be traded for US$1 or that US$1 will be exchanged for 131.

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You go to the gas station and see that the price of gasoline is unchanged. Can you use this observation to determine that the economy is not experiencing inflation? The price of gas does not tell you enough about inflation. Measurements of core inflation, which is the main gauge of inflation for consumers, exclude energy prices. does not tell you enough about inflation. Inflation is an increase in the average price level, and although gas prices may not have risen, prices of most goods and services may have. tells you enough about inflation. Since gas takes up a huge portion of consumers' budgets, gas prices are weighted heavily in the CPI. Thus, changes in gas prices invariably correspond to changes in the overall price level. tells you enough about inflation. Gas prices are "leading" prices—that is, they move to new levels in advance of other prices.

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The correct statement is: The price of gas does not tell you enough about inflation. Measurements of core inflation, which is the main gauge of inflation for consumers, exclude energy prices.

While gas prices can be an indicator of inflation, they are not sufficient on their own to determine the overall inflationary trends in the economy. Inflation refers to a general increase in the average price level across a wide range of goods and services, not just gas prices. Core inflation measures, which exclude volatile components such as energy and food prices, provide a more comprehensive assessment of inflationary pressures.

Gas prices can be influenced by various factors such as supply and demand dynamics, geopolitical events, and seasonal fluctuations. Therefore, changes in gas prices alone do not provide a complete picture of inflationary trends in the economy.

To assess inflation, it is important to consider a broader range of price indices, such as the Consumer Price Index (CPI), which tracks changes in the prices of a basket of goods and services representative of consumer spending patterns.

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The SKC Corporation plans to borrow​ $1,000 for a​ 90-day period. At maturity the firm will repay the​ $1,000 principal amount plus ​$35 interest. What is the effective annual rate of interest ​(APR​) for the​ loan?

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To calculate the effective annual rate of interest ​(APR​) for the loan, we need to first find the interest rate for the 90-day period. The interest paid is $35, and the principal amount is $1,000, so we can use the formula:
Interest rate = (Interest paid / Principal amount) x (360 / Number of days)


Substituting the values, we get:
Interest rate = ($35 / $1,000) x (360 / 90) = 0.14 or 14%
Now, we can use the formula to calculate the effective annual rate of interest:
Effective annual rate = (1 + Interest rate / Number of periods)^Number of periods - 1
Substituting the values, we get:
Effective annual rate = (1 + 0.14 / 4)^4 - 1 = 0.152 or 15.2%
Therefore, the effective annual rate of interest ​(APR​) for the loan is 15.2%. it's important for businesses to calculate the effective annual rate of interest when taking out loans to determine the true cost of borrowing. In this case, the SKC Corporation is borrowing $1,000 for a 90-day period and will repay the principal amount plus $35 interest. By using the formulas above, we calculated the interest rate for the 90-day period to be 14%. However, this doesn't reflect the true cost of borrowing over a year. To account for this, we used the effective annual rate formula to calculate the true interest rate, which is 15.2%. By knowing this rate, the SKC Corporation can make better-informed decisions about their borrowing options and ensure they're getting the best deal possible.

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If the United States levies a tariff of $0.50 on every pound of coffee imported from Kenya, the United States has
A.) LEVIED A SPECIFIC TARIFF ON IMPORTED COFFEE FROM KENYA
B.) LEVIED AN AD VALOREM TARIFF ON IMPORTED COFFEE FROM KENYA
C.) LEVIED A TRANSIT TARIFF ON IMPORTED COFFEE FROM KENYA
D.) VIOLATED ITS FREE TRADE AGREEMENT WITH KENYA
E.) IMPLEMENTED A VOLUNTARY RESTRAINTS AGREEMENT (VRA) ON COFFEE IN KENYA

Answers

The United States has levied a specific tariff on imported coffee from Kenya, making it more expensive for U.S. consumers to purchase Kenyan coffee and potentially protecting domestic coffee producers.

A tariff is a tax that a government imposes on imported goods to make them more expensive and less attractive to consumers, thereby protecting domestic industries from foreign competition. In this scenario, the United States is imposing a specific tariff of $0.50 on every pound of coffee imported from Kenya. This means that regardless of the value of the coffee, the tariff will be the same for each pound imported. It is not an ad valorem tariff because an ad valorem tariff is calculated as a percentage of the value of the imported goods. It is not a transit tariff because a transit tariff is a tax imposed on goods passing through a country, not on goods being imported.

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At his last performance evaluation, Elliott agreed to earn 20 continuing education credits before his next annual review. Ten months later, he still has not earned any. From this lack of action, we can infer that ________

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From Elliott's lack of action in earning continuing education credits, we can infer that he may be lacking motivation or commitment to fulfill the agreed-upon requirement.

It suggests a possible lack of initiative or prioritization on his part to fulfill his professional development obligations.

It could indicate a lack of interest in personal growth or a disregard for the importance of continuing education in advancing his career. Additionally, it may imply a lack of accountability or follow-through on his commitments. Ultimately, the lack of action suggests a potential disengagement or complacency on Elliott's part regarding his professional development.

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the bill of resources (bor) is a record of parent-component relationships and all the required materials, equipment time, staff, and other resources needed, including the usage quantities.

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False.

The bill of materials (BOM) is a record of parent-component relationships and all the required materials, equipment time, staff, and other resources needed, including the usage quantities.

The Bill of Resources (BOR) is an essential document that outlines the necessary materials, equipment, time, staff, and other resources required for a particular project or product. Bill of Resources serves as a comprehensive record of parent-component relationships, indicating how different elements are interconnected within the system.

By detailing usage quantities, the BOR helps project managers and teams effectively plan, allocate, and manage resources, ensuring the project progresses efficiently and within budget constraints. The BOR functions as a vital tool for effective resource management and project planning, contributing to the overall success of the project or product development process.

Therefore, instead of the bill of resources (bor), the bill of materials (bom) is a record of parent-component relationships and all the required materials, equipment time, staff, and other resources needed, including the usage quantities.

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If you own a portfolio of small company stocks, you may to compare your portfolio's performance to which one of the following indices? S&P 500 Dow Jones Industrial Average Russell 2000 Russell 1000

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If you own a portfolio of small company stocks, you may want to compare your portfolio's performance to the Russell 2000 index. The Russell 2000 index is a market-capitalization weighted index that tracks the performance of 2,000 small-cap U.S. companies.

It includes companies that have a market capitalization between $300 million and $2 billion. This makes it a suitable benchmark for investors who have invested in small company stocks, as it provides an indication of how their portfolio is performing relative to the broader market of small-cap stocks. The S&P 500 and the Dow Jones Industrial Average are not suitable benchmarks for small company stocks as they primarily track large-cap stocks. The Russell 1000 index, on the other hand, tracks the performance of the largest 1,000 U.S. companies and includes both large and mid-cap stocks. Therefore, it may not be an accurate benchmark for a portfolio of small company stocks. In summary, the Russell 2000 index is the most appropriate benchmark for investors who want to compare the performance of their small company stock portfolio.

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You are purchasing a 20-year, zero-coupon bond. The yield to maturity is 8.68 percent and the face value is $1,000. The interest rate is compounded semi-annually. What is the current market price? a. $106.67 b. $108.18 c. $182.80 d. $221.50 e. $228.47

Answers

The current market price of the bond is approximately $108.18, which corresponds to option (b).

The correct answer is option b.

To calculate the current market price of a 20-year, zero-coupon bond with a yield to maturity of 8.68% and a face value of $1,000, we can use the present value formula. Since the interest rate is compounded semi-annually, we'll need to adjust the yield to maturity and the number of periods accordingly.

First, divide the yield to maturity (8.68%) by 2 to account for semi-annual compounding: 8.68% / 2 = 4.34%. Convert this to a decimal by dividing by 100: 4.34% / 100 = 0.0434

Next, double the number of years to account for semi-annual compounding: 20 years * 2 = 40 periods.

Now, we can use the present value formula:

PV = FV / (1 + r)^n

Where PV is the current market price, FV is the face value ($1,000), r is the semi-annual interest rate (0.0434), and n is the number of periods (40).

PV = $1,000 / (1 + 0.0434)^40
PV ≈ $108.18

Therefore, the correct answer is option b.

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To calculate the current market price of the 20-year, zero-coupon bond, we need to use the formula: P = F / (1 + y/2)^(2n)

where P is the current market price, F is the face value, y is the yield to maturity, and n is the number of periods (in this case, 2 periods per year for 20 years, or 40 periods).Plugging in the given values, we get:

P = 1000 / (1 + 0.0868/2)^(2*20)

P = $182.80

Therefore, the current market price of the bond is $182.80 (option c).

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Marketing analytics is becoming an important subject, and its demand is growing rapidly in many industries. ONE of the following statements about marketing analytics IS INCORRECT. Which one?
A. The marketing analytics cannot analyze the human communication data, because voice communication cannot be converted to the digitized data, thus not suitable for quantitative marketing analysis
B. Explosive growth and availability of the big data call for the experts with analytical skills
C. The data generated by the social media of the peer to peer communication present the opportunity for the marketing analytics to study the word of mouth communication.
D. The growing opportunities for the marketing analytics are not limited to the emergence of the marketing big data but also the data collected from the surveillance footage and medical devices.

Answers

The incorrect statement about marketing analytics is A. While it is true that voice communication cannot be easily converted into digitized data, there are still ways to analyze human communication data.

For example, sentiment analysis tools can analyze the tone and emotional cues in voice communication to derive insights about customer preferences and behaviors. Additionally, there are other forms of data, such as customer feedback surveys or call transcripts, that can be used to understand customer communication patterns. The explosive growth of big data, as mentioned in statement B, is indeed calling for more analytical skills in the field of marketing. Statements C and D are also correct, as social media and various other sources of data provide ample opportunities for marketing analytics to study and analyze customer behavior and preferences.

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a company that wants to rapidly reach a wide fraction of the market, initiate word of mouth, and and capitalize on economies of scale should use

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If a company wants to rapidly reach a wide fraction of the market, initiate word of mouth, and capitalize on economies of scale, it should use a mass marketing strategy.

Mass marketing involves promoting a product or service to a large, general audience with the goal of reaching as many people as possible. The strategy often involves using mass media channels such as television, radio, and print advertisements, as well as digital channels such as social media and online advertising.

By reaching a wide fraction of the market, a company can quickly establish brand recognition and awareness, potentially leading to greater word-of-mouth promotion. Capitalizing on economies of scale can help to reduce the cost per unit of the product or service, making it more affordable and accessible to a larger audience.

However, it is worth noting that mass marketing is not always the most effective strategy for every company or product. It may be more appropriate for products with broad appeal and low price points, as opposed to niche products or luxury goods. Additionally, mass marketing may not be the most cost-effective strategy for companies with limited marketing budgets.

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You have just been appointed as the County Commissioner of Hazard County. Your first day on the job you have the following​conversations:
Ludwig mentions that​ Frank, the local​ rancher, is inflating land prices by buying too much land. This is an example of _______.
(a negative externality
a pecuniary externality
a positive externality
not an externality)

Answers

This is an example of a pecuniary externality.

Pecuniary externalities occur when an action of one person affects the price of a good or service and therefore affects the well-being of others in the market. In this case, Frank's buying of too much land is driving up land prices, which affects the well-being of others in the market who want to buy land. This is different from a negative or positive externality, which refers to the spillover effects of an action on third parties that are not involved in the market transaction.

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Which is an appropriate unit for a flow rate?
O Orders per day
O Currency
O Customers
O Centimeters

Answers

A flow rate is typically measured in units of volume per unit time, such as liters per minute or cubic meters per hour. Therefore, none of the options provided (orders per day, currency, customers, centimeters) are appropriate units for a flow rate.

However, if we consider the context of a specific flow (such as the flow of customers through a store), we may be able to define an appropriate unit based on the characteristics of that flow. Overall, though, the flow rates are typically measured in units of volume per unit time. A flow rate measures the quantity of a substance that flows through a specific point or area in a given time.

In this case, "Orders per day" represents the number of orders processed within a 24-hour period, making it a suitable unit for flow rate. The other options, such as currency, customers, and centimeters, do not accurately measure a flow rate as they represent different concepts (money, people, and length, respectively).

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The rent for apartments in New York City has been rising sharply. The demand for apartments in New York City has been rising sharply as well. This is hard to explain because the law of demand says that higher prices should lead to lower demand. Do you agree or disagree? Explain your answer

Answers

There seems to be a contradiction between the rising prices of apartments in New York City and the increasing demand for them, which goes against the conventional law of demand.

In this case, the rising prices of apartments in New York City alongside the increasing demand appear to defy the law of demand, which states that higher prices generally lead to lower demand.

Firstly, it's important to consider the concept of a "normal" or "inferior" good. Apartments in a highly desirable city like New York can be considered normal goods, where individuals are willing to pay more for the convenience, amenities, and location. As people's income increases, they may be more willing to spend a larger portion of their income on housing, leading to an upward shift in demand.

Secondly, the demand for apartments in New York City can also be influenced by external factors such as population growth, immigration, job opportunities, and urbanization. If the city experiences an influx of people seeking employment or other opportunities, the demand for housing will naturally increase, driving prices up.

Additionally, supply constraints and limited availability of land in densely populated areas like New York City can contribute to the rise in prices. Insufficient housing supply relative to the growing demand can result in a situation where prices continue to increase despite the expected decrease in demand based on the law of demand.

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a. Find the first four nonzero terms of the Maclaurin series for the given function. b. Write the power series using summation notation. c. Determine the interval of convergence of the series. f(x)=5 e - 2x a. who should be involved in the adoption of improvement programs that are under consideration? A. All levels of management and workers. B. Managers. C. Managers and HR personnel. D. Employees Calculate the average (arithmetic mean) of the list of numbers shown in the table. (rounded to the nearest tenth)ResponsesA 39.139.1B 44.044.0C 39.039.0D 35.235.2E 39.2 Over the course of an 8 hour day, 3.8x10^4 C of charge pass through a typical computer (presuming it is in use the entire time). Determine the current for such a computer. A large reflecting telescope has an objective mirror with a 10.0m radius of curvature. What angular magnification does it produce when a 3.00 m focal length eyepiece is used? Draw a sketch to explain your answer. SCT. Imagine walking home and you notice a cat stuck in the tree. Currently, you are standing a distance of 25 feet away from the tree. The angle in which you see the cat in the tree is 35 degrees. What is the vertical height of the cat positioned from the ground? Round to the nearest foot z = 4 x2 (y 2)2 and the planes z = 1, x = 3, x = 3, y = 0, and y = 3. Given that A={1,2,3,4,5} list the elements of the following sets. i.{x2:xA} ii.{ :xA} iii.{2x :xA} iv.{4x+1:xA} A surgeon is using material from a donated heart to repair a patient's damaged aorta and needs to know the elastic characteristics of this aortal material. Tests performed on a 16.0 cm strip of the donated aorta reveal that it stretches 3.75 cm when a 1.50 N pull is exerted on it.a) What is the force constant of this strip of aortal material?b) If the maximum distance it will be able to stretch when it replaces the aorta in the damaged heart is 1.14 cm, what is the greatest force it will be able to exert there?. Find the work done by F over the curve in the direction of increasing t. F = 2yi + 3xj + (x + y)k r(t) = (cos t)i + (sin t)j + ()k, 0 st s 2n Consider the following $1,000 par value zero-coupon bonds: Bond B C D Years to Maturity 1 2 3 Yield to Maturity 5.30% 6.80% 7.30% 7.80% 10.75% 4 5 The expected 1-year interest rate 2 years from now should be Multiple Choice 10.86% O 23.38% O 8.31% 17.32% in python:Create the getUserChoice() function. Parameter: menuDict is a dictionary for the menu Return value: a string that is a valid choice entered by the user Get input from the user using the following prompt:(example) Choice: c Use the appropriate loop to continue to ask the user for input until they entervalid input. Allow the user to enter in upper or lower case. The keys in themenuDict parameter have the valid letters.(example) Choice: 1(example) Choice: x(example) Choice: a Make sure to return an uppercase string.You should NOT use:while True loopsbreak statementscontinue statementsdef getMenuDict():menu = {"A":"All national parks", "B":"Parks in a particular state", "C":"The largest park", "D":"Search for a park", "Q":"Quit"}return menudef displayMenu(menuDict):for letter in menuDict:print(letter, "->", menuDict[letter])def getUserChoice(): #is this correct? I'm having issues resolving this.while userChoice == "A,B,C,D,Q"validChoice= input("Choice: ").upper()if validChoice in menuDict:return validChoice Heart rate while dancing: ___________ beats per minuteHeart rate while studying: ___________ beats per minuteHeart rate while riding a bike: _____________ beats per minute Scott is using a 12 foot ramp to help load furniture into the back of a moving truck. If the back of the truck is 3. 5 feet from the ground, what is the horizontal distance from where the ramp reaches the ground to the truck? Round to the nearest tenth. The horizontal distance is Based on the figure, blue cones maximally absorb light of what wavelength? Green Red Relative absorbance Wavelength of light (nom) A. 750 nm B. 650 nm C. 550 nm D.450 nm What is twenty-one and four hundred six thousandths in decimal form here are four structural isomers with chemical formula c4h9oh. how many of these alcohols are chiral? sequence the steps of the evolutionary development of the vertebrate brain, from earliest to most recent.The brain evolved a divided structure with specialized functional regions, such as the cerebellum. A bilaterian thought to be a vertebrate contained a mass of cartilage that appeared to surround a brain. Regions of the brain were modified in different lineages, depending on their ecological and evolutionary history. Larger sense organs provided more information while new motor neurons allowed for more complex movement. As they became predators, vertebrates grew in body size and developed longer neurons and insulating myelin. Force F =13j^N is exerted on a particle at r =(3i^+5j^)m.What is the torque on the particle about the origin? how many barr bodies can be found in the nuclei of a human with turners syndrome (xo)?