Absolute advantage is found by comparing productivity of one nation to that of another. The correct answer is option c.
What is an absolute advantage?An absolute advantage refers to the ability of an entity to produce more of a particular good or service than its competitors using the same amount of resources.
An absolute advantage can be found in various business sectors such as healthcare, manufacturing, and technology by analyzing production capacity and efficiency.
What is relative opportunity cost?The cost of an activity in terms of the value of an opportunity foregone that is most favorable for a particular enterprise or economic actor.
Relative opportunity cost is frequently used in economics to explain the benefit of one commodity in terms of the disadvantage of another commodity that must be foregone as a consequence of the first activity.
The correct answer is option c.
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Complete Question
absolute advantage is found by group of answer choices
a. comparing productivity of one nation to that of another
b. comparing relative opportunity costs
c. calculating the total cost of production
d. none of the above is correct
you know that bonds pay investors in two ways. first, investors receive interest each year for the duration of the bond. second, investors receive their par value when the bond matures. (the price of a bond is the sum of the present value of these two components.) think of a new bond that is being issued. it costs $1000, pays 7% interest, and has a duration of 30 years. using the time value of money, what is the present value of the $1000 that the investor will receive at the end of 30 years?
The present value of the $1000 that the investor will receive at the end of 30 years is $75.78.
With a certain rate of return, present value (PV) is the current value of a future financial asset or stream of cash flows. In other words, it represents the present value of a sum of money that will be earned in the future at a given rate of return.
The following equation can be used to determine a bond's present value:
Present Value Paid at Maturity = Face Value / (Market Rate/ 100) ⁿ
Present Value of Interest Payments = Payment Value × (1 - Market Rate/100) ⁿ
In this case, the bond costs $1000, pays 7% interest, and has a duration of 30 years. Therefore, the present value of the $1000 that the investor will receive at the end of 30 years can be calculated as follows:
Present Value Paid at Maturity = $1000 / (1 + 7%)³⁰ = $1000 / 13.18 = $75.78
Therefore, the present value of the $1000 that the investor will receive at the end of 30 years is approximately $75.78.
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if diane was in a 25% tax bracket and received a $1,800 tax credit, by how much would her taxes be reduced?
Diane's taxes would be reduced by $1,800 and her final tax liability would be $29,251
To determine how much Diane's taxes would be reduced, we need to first calculate her tax liability before the tax credit.
Since Diane is in the 25% tax bracket, we know that her taxable income must be at least $45,001 (the upper limit of the 22% tax bracket), and up to $90,000 (the lower limit of the 32% tax bracket) for the 2021 tax year.
Assuming her taxable income is exactly $45,001, her tax liability before the tax credit would be
$9,875 (10% of the first $9,950 of taxable income) + $19,676 (12% of the portion of taxable income over $9,950 up to $40,525) + $1,500 (25% of the portion of taxable income over $40,525 up to $45,001) = $31,051
Now we can subtract the tax credit from her tax liability
$31,051 - $1,800 = $29,251
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g suppose that a major foreign government defaults on its debt. what, if anything, will happen to the position and slope of the u.s. treasury yield curve?
If a major foreign government defaults on its debt, the U.S. Treasury yield curve will shift in yield and slope depending on how much money is invested in that particular country’s debt.
The higher the demand for US treasuries goes up due to people withdrawing from the foreign nations’ bonds, it will result in increased demand of US Treasuries and could push Treasury yields down, flattening the yield curve.
However, this scenario could also cause investors to become more conservative across all investments and lead to an increase in demand for safe haven investments, causing yields to rise and steepening the curve.
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matthews company has two classes of common stock, and each share represents the same proportion of ownership in the company. class a has 2 votes for each share. class b has one vote per share. which class is more valuable?
The class of common stock that is more valuable is Class A. Class A has 2 votes for each share. Common stock, also known as equity shares, represents the residual interest in a company and is divided into shares.
When a company has more than one class of common stock, it usually means that certain groups of shareholders have certain rights and privileges.
Each share of common stock represents a proportional share of ownership in the company, giving stockholders the right to vote on important matters such as the board of directors.
Matthews Company has two classes of common stock: Class A and Class B. Class A common stock carries two votes per share, while Class B common stock has one vote per share.
Although both classes of common stock represent the same ownership in the company, the two-to-one ratio of Class A common stock's voting rights makes it more valuable than Class B common stock.
This is because stocks with more voting rights are considered more valuable.
Therefore, Class A common stock is more valuable than Class B common stock.
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the market value of charter cruise company's equity is $15 million and the market value of its debt is $5 million. if the required rate of return on the equity is 20 percent and that on its debt is 8 percent, calculate the company's cost of capital. (assume no taxes.)
The company's cost of capital is 17% when there are no taxes.
The capital structure of a business refers to the ratio of its debt to equity. The capital structure of the charter cruise company is 1:3. Therefore, the weights for the equity and debt are 3/4 and 1/4, respectively.The cost of equity can be calculated using the capital asset pricing model (CAPM). It is a method that uses the risk-free rate, the market risk premium, and the company's beta (β) to calculate the expected return on equity.
The formula for CAPM is as follows:Re = Rf + β (Rm - Rf) Where Re = Required return on equity Rf = Risk-free rateRm = Market returnβ = Beta. The cost of debt, on the other hand, can be calculated using the following formula: Rd = Interest rate (1 - Tax rate)Where Rd = Required return on debt.
Therefore, the company's cost of capital (WACC) can be calculated as follows:WACC = (E/ (E+D)) * Re + (D/ (E+D)) * Rd Where WACC = Weighted average cost of capitalE = Market value of equityD = Market value of debtRe = Required return on equity Rd = Required return on debt (after tax) Assuming no taxes:WACC = (3/4) * 20% + (1/4) * 8% = 17%Therefore, the company's cost of capital is 17% when there are no taxes.
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is walmart or amazon currently in the stronger position? in ten years? why? why did walmart struggle in the online business for so long? what should walmart do going forward?
Walmart is a retail giant with a significant physical presence, while Amazon is an e-commerce behemoth with a strong online presence.
In the next ten years, it is difficult to predict which company will be in a stronger position, as both Walmart and Amazon are likely to continue investing in technology and expanding their operations. However, given the ongoing shift toward e-commerce, Amazon may have an advantage in terms of growth potential.
Walmart struggled in the online business for so long because it was slow to recognize the importance of e-commerce and was initially focused on its brick-and-mortar stores. It took Walmart some time to develop a comprehensive e-commerce strategy and to invest heavily in technology and logistics to compete with Amazon.
Going forward, Walmart should continue to focus on its e-commerce business and invest in new technologies and platforms to improve the customer experience. Walmart should also leverage its physical presence to offer a seamless omnichannel experience, where customers can seamlessly move between online and in-store shopping. Additionally, Walmart could focus on expanding its range of private label brands to differentiate itself from competitors and increase customer loyalty.
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the museum of contemporary art received two valuable paintings. the museum has determined that one, with a market value of $7,000, is inappropriate for display and therefore will be sold and the proceeds will be used to acquire another painting that can be displayed. the other, with a market value of $10,000, will be placed on exhibit. the museum has a policy of not capitalizing works of art unless required to do so. in the year that it receives the two paintings, it should recognize contribution revenues of
The Museum of Contemporary Art has a policy of not capitalizing works of art unless required to do so. Option A is correct.
This means that the painting that is placed on exhibit, despite having a market value of $10,000, will not be recognized as revenue because it is not required to be capitalized. Additionally, the sale of the other painting is not considered a contribution revenue, as the painting was not donated to the museum. The proceeds from the sale will be used to acquire another painting that can be displayed, but this transaction does not result in any contribution revenue recognition for the museum.
Overall, the museum should not recognize any contribution revenues for the two paintings received, as per its policy of not capitalizing works of art unless required to do so, and the fact that one painting was sold and the other was not donated. Option A is correct.
The complete question is
The Museum of Contemporary Art received two valuable paintings. The museum has determined that one, with a market value of $7,000, is inappropriate for display and therefore will be sold and the proceeds will be used to acquire another painting that can be displayed. The other, with a market value of $10,000, will be placed on exhibit. The museum has a policy of not capitalizing works of art unless required to do so. In the year that it receives the two paintings, it should recognize contribution revenues of
a. $0
b. $7,000
c. $10,000
d. $17,000
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barb's bakery earned $200 in total revenue last month when it sold 100 loaves of bread. this month it earned $300 in total revenue when it sold 60 loaves of bread. the price elasticity of demand for barb's bread is
The price elasticity of demand for Barb's bread is -1.5.
To calculate the price elasticity of demand, we use the formula:
% change in quantity demanded / % change in price
For Barb's bakery, the % change in quantity demanded is:
((60 - 100) / ((60 + 100) / 2)) x 100 = -40%
The % change in price is:
((300 - 200) / ((300 + 200) / 2)) x 100 = 25%
Therefore, the price elasticity of demand is:
-40% / 25% = -1.5
This means that a 1% increase in price will result in a 1.5% decrease in quantity demanded. The demand for Barb's bread is considered to be relatively elastic.
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which of the following is the largest category of earned income? a salaries and wages b overtime pay c interest income d capital gains e gratuities and bonuses
The largest category of earned income is a) salaries and wages.
This category includes the regular income earned from employment or a job, and it is typically the most significant source of income for most people.
Salaries and wages are paid in exchange for work performed, and the amount earned can vary based on factors such as job type, industry, experience, and education.This income is subject to various taxes, including income tax, social security tax, and Medicare tax.
Overtime pay, which is a type of additional pay for work performed beyond the standard workweek, is also included in this category. Other types of earned income, such as interest income, capital gains, gratuities, and bonuses, are typically considered unearned income.
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The largest category of earned income is typically salaries and wages, as these types of income are usually the greatest part of an individual's earnings. Overtime pay, gratuities, and bonuses are subcategories and generally contribute to a lesser extent. Interest income and capital gains are not considered earned income, as they do not stem from work.
Explanation:Salaries and wages account for the largest category of earned income.
It's important to understand, earned income typically refers to money that is received for work that you perform, which includes salaries, wages, and tips. Items such as overtime pay, gratuities, and bonuses are subcategories of this broader category, and typically account for a smaller portion of an individual's overall earned income.
On the other hand, interest income and capital gains are not considered earned income, because they are not obtained through work. Rather, they are considered unearned income, as they are derived from investments or other assets.
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the balance in retained earnings equals all net income, less all dividends, since the company began operations. group startstrue or false
The given statement "The balance in retained earnings equals all net income, less all dividends, since the company began operations." is True because balance in retained earnings equals all net income
Retained earnings is a part of the equity section on a company's balance sheet, and it represents the amount of accumulated earnings that a company has not distributed as dividends to its shareholders.
The balance in retained earnings is calculated as all net income less all dividends paid out to shareholders since the company began its operations.
Net income is the total revenue earned by the company during a particular period, less all expenses incurred during that period. Dividends, on the other hand, are the portion of a company's earnings that are paid out to its shareholders.
Therefore, the balance in retained earnings represents the portion of the company's earnings that have not been paid out as dividends to its shareholders. It is a cumulative total that grows over time as the company continues to generate net income and retain a portion of its earnings for future growth or use.
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a taxpayer sold for $200,000 equipment that had an adjusted basis of $180,000. through the date of the sale, the taxpayer had deducted $30,000 of depreciation. of this amount, $17,000 was in excess of straight-line depreciation. what amount of gain would be recaptured under section 1245 (gain from dispositions of certain depreciable property)?
No, things will change. If the recognized profit under the straight-line depreciation method and the service rendered after 1986 is less than $1250, there will be no depreciation recapture for an individual taxpayer.
Depreciation recapture, however, will be deducted from a C corporation's reported profit for sales of $1250 or more. If the recognized profit under the straight-line depreciation method and the service rendered after 1986 is less than $1250.
There will be no depreciation recapture for an individual taxpayer. Depreciation recapture, however, will be deducted from a C corporation's reported profit for sales of $1250 or more. While sections 1245 and 1250 provide guidance on how certain asset categories are taxed when sold at a gain or loss, section 1231 applies to all depreciable firm assets owned for more than a year. It becomes conventional to use the lesser of recognised gain or accumulated depreciation.
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crowd-sourcing recognition and appraisal software tools enable employers to gather comments from for employee performance appraisals. select one: a. supervisors b. suppliers c. co-workers d. customers
Crowd-sourcing recognition and appraisal software tools enable employers to gather comments from co-workers for employee performance appraisals. The correct option for the question is C.
This means that employees can provide feedback on their colleagues' performance, which can be used to improve their overall performance and help them achieve their goals.
This can be especially useful in companies with a large workforce, where it may be difficult for managers to keep track of individual performance.
By using crowd-sourcing recognition and appraisal software tools, employers can gather feedback from a wide range of sources and get a more comprehensive picture of employee performance.
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bonds valuation: assessing a bond's risk reinvestment rate risk is the risk of a decline in a bond's value due to an increase in interest rates. this risk is higher on bonds that have long maturities than on bonds that will mature in the near future. reinvestment rate risk is the risk that a decline in interest rates will lead to a decline in income from a bond portfolio. this risk is obviously high on callable bonds. it is also high on short-term bonds because the shorter the bond's maturity, the fewer the years before the relatively high old-coupon bonds will be replaced with new low-coupon issues. which type of risk is more relevant to an investor depends on the investor's investment horizon , which is the period of time an investor plans to hold a particular investment. longer maturity bonds have high -select- risk but low -select- risk, while higher coupon bonds have a higher level of -select- risk and a lower level of -select- risk. to account for the effects related to both a bond's maturity and coupon, many analysts focus on a measure called -select- , which is the bond's sensitivity to interest rates.
Longer maturity bonds have high reinvestment rate risk but low interest rate risk, while higher coupon bonds have a higher level of reinvestment rate risk and a lower level of interest rate risk. To account for the effects related to both a bond's maturity and coupon, many analysts focus on a measure called duration, which is the bond's sensitivity to interest rates.
Duration takes into account both the time to maturity and the size and timing of the bond's cash flows, and provides an estimate of how much the bond's price will change in response to a change in interest rates. A bond with a longer duration will be more sensitive to changes in interest rates than a bond with a shorter duration, all else being equal.
Investors with a longer investment horizon may be more concerned with interest rate risk, as they have more time for fluctuations in interest rates to impact the value of their investments. On the other hand, investors with a shorter investment horizon may be more concerned with reinvestment rate risk, as they have less time to reinvest the cash flows from their bonds at favorable rates.
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the gini index is one way that social scientists measure a. the amount of economic inequality in a society. b. the total national wealth. c. the distribution of public goods. d. the environmental impact of development.
The Gini index is a statistical measure used by social scientists to assess the level of economic inequality within a society.
It is calculated based on the distribution of income or wealth among a population, where a score of 0 represents perfect equality and a score of 1 represents perfect inequality.
The index is commonly used to measure income inequality, but it can also be applied to other forms of inequality such as wealth, education, and healthcare. A high Gini index indicates that a smaller percentage of the population holds a larger percentage of the total income or wealth, while a low Gini index indicates a more equal distribution.
The Gini index is an important tool for policymakers and researchers to assess the effectiveness of policies aimed at reducing inequality. It helps to identify areas of society where resources should be directed to improve the overall welfare of the population.
The Gini index is a useful measure for understanding the economic and social dynamics within a society, and for identifying areas where intervention is needed to address inequality.
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current information for the healey company follows: beginning raw materials inventory $ 16,900 raw material purchases 61,700 ending raw materials inventory 18,300 beginning work in process inventory 24,100 ending work in process inventory 29,700 direct labor 44,500 total factory overhead 31,700 all raw materials used were direct materials. healey company's direct materials used for the year is:
Healey Company's direct materials used for the year is $60,300.
Given information:
Beginning raw materials inventory = $16,900
Raw material purchases = $61,700
Ending raw materials inventory = $18,300
Beginning work in process inventory = $24,100
Ending work in process inventory = $29,700
Direct labor = $44,500
Total factory overhead = $31,700
All raw materials used were direct materials.
We are asked to find the direct materials used for the year.
Solution:
Direct Materials used = Beginning Raw Materials Inventory + Raw Material Purchases - Ending Raw Materials Inventory
All the raw materials used were direct materials.
Direct materials used = $16,900 + $61,700 - $18,300 = $60,300
Therefore, Healey Company's direct materials used for the year is $60,300.
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marsha can purchase goods for her store on credit terms of 2/10, net 25. what is the effective annual rate that marsha will pay if she forgoes the discount on a purchase of $8,700?
Marsha can buy merchandise for her store on terms of 2/10, net 25, and the effective annual rate she'll pay if she forgoes the discount on a $8,700 transaction is 50.63 percent.
The genuine interest rate on an investment or loan is the effective yearly interest rate since it takes compounding into account. The rate increases with the number of compounding periods. The effect of intra-year compound interest is not taken into account in the stated yearly return.
According to the financial purchase product they are offering, banks display whatever rate looks to be most attractive, accounting for intra-year compounding of interest.
Days in period = 28 - 10
= 18 days
Periods per year = 365 / 18
= 20.277778
Interest rate for 18 days = (0.020 × $9,000) / [(1 - 0.020) × $9,000]
= 0.02041
EAR = (1.0204)20.277778 - 1
= 50.63 percent
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remmy has just retired with an knvestment portfolio equal to $1 million. she plans on using the 4% capital balance approach to retirement distributions. she also plans on distribution the amount in one lump sum at the beginning of the year. her first year, she distributes $40,000 to live on, in addition to her other income. however, the market takes a significant decline, and her portfolio loses 40%. her second year, after she takes her distribtuion, her portfolio increases by 20%. how much can remmy take out in the third year if she is sticking with the 4% method
The amount that Remmy can withdraw is calculated to be $26,880 in the third year if she is sticking with the 4% method.
The 4% capital balance approach to retirement distributions suggests that Remmy can withdraw 4% of her investment portfolio balance each year. In the first year, her investment portfolio balance was $1,000,000, so she could withdraw $40,000 ($1,000,000 x 4%) for living expenses.
However, in the second year, her investment portfolio balance decreased by 40% due to the market decline. Therefore, her investment portfolio balance at the beginning of the second year was $600,000 ($1,000,000 - $400,000). She withdrew $40,000 in the second year, so her investment portfolio balance at the beginning of the third year was $560,000 ($600,000 - $40,000).
In the third year, her investment portfolio balance increased by 20%. Therefore, her investment portfolio balance at the end of the third year was $672,000 ($560,000 x 1.20). According to the 4% capital balance approach, Remmy can withdraw 4% of this balance for living expenses in the third year.
So, she can withdraw $26,880 ($672,000 x 4%) in the third year.
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say you own an asset that had a total return last year of 11.65 percent. if the inflation rate last year was 3.4 percent, what
The real return on the asset is calculated by subtracting the inflation rate from the total return. Therefore, the real return for last year can be calculated as:
Real Return = Total Return - Inflation Rate
Real Return = 11.65% - 2.75%
Real Return = 8.90%
So, the real return on the asset for last year was 8.90%. This means that the asset gained 8.90% in value after adjusting for the effects of inflation. Real return is an important measure of investment performance as it accounts for the effect of inflation on investment returns. In this case, the asset had a total return of 11.65%, which includes both the capital gain and income generated by the asset.
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Say you own an asset that had a total return last year of 11.65 percent. If the inflation rate last year was 2.75 percent, what was your real return? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
regional disaster relief services (rdrs) has just learned of 400 people who must be relocated, due to widespread flooding in a low-lying area. rdrs will use the supplies at its warehouse headquarters to assemble 400 overnight kits for each of the arrivals at the gymnasium shelter. each kit consists of a pillow, a blanket, assorted toiletries, a water bottle, and a pair of socks. the 400 evacuees will arrive via buses at the gymnasium shelter in 12 hours, and rdrs estimates about 30 minutes will be required to set up for overnight kit assembly and another 90 minutes required to transport the finished kits to the shelter. what cycle time should be assigned to an overnight kit assembly line at the warehouse so that the kits are in place when the evacuees arrive?
The cycle time should be assigned to an overnight kit assembly line at the warehouse so that the kits are in place when the evacuees arrive in 1.5 minutes per kit.
To determine the cycle time for the overnight kit assembly line at the warehouse, we need to calculate the total available time for assembly and then divide that by the number of kits to be produced. The evacuees will arrive at the gymnasium shelter in 12 hours, and RDRS estimates that 30 minutes will be needed for set up and 90 minutes for kit transportation.
First, let's convert the hours and minutes to minutes for easier calculation:
12 hours = 12 * 60 minutes = 720 minutes
30 minutes for set up
90 minutes for transportation
Now, subtract the setup and transportation times from the total available time:
720 minutes - 30 minutes - 90 minutes = 600 minutes available for kit assembly
Next, divide the available assembly time by the number of kits to determine the cycle time:
600 minutes / 400 kits = 1.5 minutes per kit
So, the cycle time for the overnight kit assembly line at the warehouse should be assigned as 1.5 minutes per kit to ensure that all 400 kits are completed and transported to the gymnasium shelter in time for the evacuees' arrival. This will allow RDRS to efficiently provide essential supplies for those affected by the flooding and support their immediate needs at the shelter.
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what is the name of the congressional act that stated manufacturers must treat all retailers - big and small - equally and fairly?
The congressional act that stated manufacturers must treat all retailers, big and small, equally and fairly is known as Robinson-Patman Act.
The Robinson-Patman Act, also called the Anti-Price Discrimination Act, is a law in the US that makes it illegal to charge different prices for the same thing.
In other words, it says that companies can't charge different buyers different prices for the same goods that are the same quality and quantity.
This was added to the Clayton Antitrust Act in 1936 as a change.
The Robinson-Patman Act says that it is against the law for businesses to sell the same goods or services to different buyers at different prices if doing so hurts competition between buyers or hurts competition with the seller.
The act also limits anti-competitive practices like rebates, promotions, allowances, and other things that could be seen as unfairly giving one buyer an advantage over another.
The goal of the Robinson-Patman Act is to encourage and maintain healthy competition by making sure that everyone is on the same level.
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imagine an economy that does not have international trade and is initially in equilibrium. later the government increases the level of spending by $350 million because it received a gift from abroad. in this economy, only 65 cents of every dollar is spent, and the rest is saved. refer to scenario 10.1. what is the marginal propensity to save for this economy?
The marginal propensity to save for this economy is 0.35 or 35%.
Marginal Propensity to Save (MPS) is defined as the ratio of the change in savings to the change in income. In other words, it is the percentage of a change in income that is saved, assuming that there is no change in taxes. It is the complement of the marginal propensity to consume (MPC).
MPS = ΔS / ΔY
where ΔS = change in savings and ΔY = change in income.
In the given scenario, the marginal propensity to save (MPS) for this economy can be calculated as follows:1. Identify the amount spent and the amount saved from every dollar.
- 65 cents of every dollar is spent, and the rest is saved.
2. Calculate the percentage of the dollar saved.
- Since 65 cents is spent, the remaining 35 cents (100 - 65) are saved.
3. Convert the cents into a decimal.
- 35 cents can be converted into a decimal by dividing by 100: 35/100 = 0.35
4. The marginal propensity to save (MPS) is the decimal value of the amount saved.
- In this case, the MPS is 0.35.
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write a short response paragraph explaining how a credit score could contribute to keeping someone caught in a cycle of poverty
Answer:
A credit score is a numerical representation of a person's creditworthiness, which lenders use to determine their ability to repay loans. Unfortunately, people with low credit scores may find it difficult to access credit, which can make it challenging to obtain loans to start a business, purchase a home, or cover emergency expenses. This lack of access to credit can make it challenging for people caught in the cycle of poverty to break free, as they may not have the resources to address urgent financial needs or invest in income-generating opportunities. Additionally, without access to credit, they may turn to predatory lenders or high-interest credit cards, further perpetuating the cycle of poverty. Therefore, a low credit score can contribute to keeping someone caught in a cycle of poverty by limiting their financial options and making it difficult to improve their economic situation.
Explanation:
the government's benefit from a tax can be measured by group of answer choices consumer surplus. producer surplus. tax revenue. consumer surplus plus producer surplus.
The government's benefit from a tax can be measured by tax revenue, so the answer is ''tax revenue''.
The government's benefit from a tax can be measured by tax revenue. Tax revenue is an important source of government revenue that can be used to finance public goods and services, such as infrastructure, health care, and education.
The following are some of the reasons why tax revenue is considered the best way to measure the government's benefit from a tax:
1) Tax revenue is the amount of money the government collects from citizens in the form of taxes.
2) Tax revenue is an objective measure of the government's benefit from a tax.
3) It is not influenced by any other factor, such as consumer or producer surplus.
What is a tax?A tax is a compulsory financial levy imposed on citizens by the government. Taxes are levied by the government to finance public spending.
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hubbard industries just paid a common dividend, d0, of $1.10. it expects to grow at a constant rate of 2% per year. if investors require a 8% return on equity, what is the current price of hubbard's common stock? round your answer to the nearest cent. do not round intermediate calculations. $ per share
Stock valuation is the process of determining the intrinsic value of a company's stock based on its financial and economic characteristics, and comparing it to the current market price.
Using the constant growth formula for stock valuation, we have:
P0 = D1 / (k - g)
where:
D1 = expected dividend next year = D0 x (1 + g) = $1.10 x (1 + 0.02) = $1.122
k = required rate of return = 8%
g = expected growth rate = 2%
Substituting these values, we get:
P0 = $1.122 / (0.08 - 0.02) = $14.03
Therefore, the current price of Hubbard's common stock is $14.03 per share (rounded to the nearest cent).
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a company has accounts receivable of $20,000 and an allowance for doubtful accounts of $1,500. the net realizable value that should be reflected on the financial statements is:
The net realizable value that should be reflected on the financial statements is $18,500.
To calculate the net realizable value (NRV) of the accounts receivable, you should subtract the allowance for doubtful accounts from the total accounts receivable.The given values are:- Accounts receivable: $20,000. Allowance for doubtful accounts: $1,500. Identify the total accounts receivable, which is $20,000 in this case.Identify the allowance for doubtful accounts, which is $1,500.Subtract the allowance for doubtful accounts from the total accounts receivable to determine the net realizable value.
$20,000 (Accounts receivable) - $1,500 (Allowance for doubtful accounts) = $18,500 (Net realizable value).So, the net realizable value that should be reflected on the financial statements is $18,500.
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approximately three-fourths of the world's industrial production is concentrated in three regions, including which of the following?group of answer choiceseastern north america and southeast asiaeastern europe and southern europenorthwestern europe and eastern south americaeastern north america and northwestern europe
Approximately three-fourths of the world's industrial production is concentrated in three regions, namely Northwestern Europe, Eastern North America, and Eastern Asia. The answer is Northwestern Europe and Eastern North America.
Northwestern Europe includes countries such as Germany, the United Kingdom, France, and the Netherlands. This region has a long history of industrialization, with a strong emphasis on manufacturing, engineering, and innovation. The region has access to key resources such as skilled labor, raw materials, and infrastructure, which have helped it to become a major hub of industrial production. Eastern North America includes the United States and Canada, which are major industrial powers.
The region has a diverse economy, with a strong focus on technology, aerospace, automotive, and pharmaceuticals. It has a large pool of skilled workers, advanced infrastructure, and a favorable business climate, which have made it a key center of industrial activity.Eastern Asia includes countries such as China, Japan, and South Korea. This region has experienced rapid industrialization over the past few decades, with a focus on low-cost manufacturing, electronics, and automotive industries.
It has a large labor force, favorable government policies, and a growing consumer market, which have made it a major driver of global industrial production.Overall, these three regions dominate global industrial production, and their economies are closely intertwined through trade, investment, and technology transfer.
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you have four commits in your project, and the head is the most recent. what do git logs show after reverting the third commit?
After reverting the third commit, the Git logs will show that the revert commit is the most recent, followed by the second commit, the first commit, and finally the initial commit.
The history will now show that the changes made in the third commit have been undone, and the codebase is now at the state it was in after the second commit. Any changes that were made in the third commit will no longer be present in the codebase, and any subsequent commits will be based on the codebase after the second commit.
After reverting the third commit in Git, the logs will show that the changes made in the third commit have been undone, and a new commit is added to the project history. The new commit will contain the changes that were made to undo the third commit. The new commit will have a different hash from the original third commit, and it will be the new head of the project.
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assume an economy has a banking system operating with limited reserves. if a government increases spending while lowering income taxes, what should the central bank do to keep the interest rates stable? sell government bonds buy government bonds increase the required reserve ratio target an increase in the federal funds rate decrease the monetary base
In an economy where the banking system has insufficient reserves and the government raises expenditure while lowering income taxes, the central bank should sell government bonds to maintain stable interest rates.
This is because selling government bonds reduces the quantity of money in circulation, which serves to counteract the increase in spending and keep interest rates stable. Simply put, an expenditure is a buy of goods, services, or products. One can happen to anyone: In your daily life, you might incur expenses like buying coffee, ordering something from Amazon, or employing a lawn care service. However, expenses in company are more detailed. The Expenditure Budget displays the revenue and capital expenditures of different ministries and divisions and provides estimates for each under "Plan" and "Non-Plan."
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if a bank's liabilities are more sensitive to interest rate movements than are its assets, then a) an increase in interest rates will reduce bank profits. b) a decrease in interest rates will reduce bank profits. c) interest rates changes will not impact bank profits. d) an increase in interest rates will increase bank profits.
The best choice is (A); a rise in interest rates will result in lower bank earnings. An increase in interest rates will result in an increase in a bank's interest costs.
Interest costs will lower its profits if its liabilities are more sensitive to interest rate movements than its assets. Simply stated, interest is the cost of borrowing money, whether it be through a credit card, mortgage, or student loan. When you borrow money, you typically have to pay it back plus interest, which is typically a certain proportion of the loan amount. People will ultimately start cutting back on their spending because higher interest rates result in higher borrowing costs. Then, as the desire for goods and services declines, so does inflation.
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on monday, smails offers to pay ty $50 for a golf lesson for lacy. they agree to meet on wednesday to exchange the cash for the lesson. after their meeting on monday, these parties have group of answer choices a bilateral contract. no contract a unilateral contract. a trilateral contract.
Based on the scenario described, it appears that Smails and Ty have entered into a bilateral contract.
A bilateral contract is a type of agreement in which both parties exchange promises and obligations. In this case, Smails has promised to pay Ty $50 for a golf lesson for Lacy, and Ty has promised to provide the lesson in exchange for the payment. Both parties have made a commitment to perform an action, and the agreement is legally binding.
It is important to note that the agreement between Smails and Ty was made on Monday and they agreed to meet on Wednesday to exchange the cash for the lesson. This means that both parties have not yet fulfilled their obligations, but they have already entered into a binding agreement.
If one party fails to fulfill their obligation, the other party may be able to seek legal remedies for the breach of contract.
In conclusion, based on the scenario described, it appears that Smails and Ty have entered into a bilateral contract, as both parties have exchanged promises and obligations in a legally binding agreement.
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