B Answer these questions within the framework of the IS-LM model presented in the lectures, in which output always adjusts to aggregate demand and the price level is exogenous. Except where specifically stated otherwise, assume the behavioural relations discussed in the lectures. For all questions involving an exogenous change, assume that the only exogenous change is the one specified in the question. Tick the correct alternative(s); more than one may be correct.

Equilibrium in the money sector means that
(a) the real quantity of money demanded equals the real quantity of money supplied
(b) the nominal quantity of money demanded equals the nominal quantity of bonds supplied
(c) the quantity of bonds demanded equals the quantity of money supplied
(d) the quantity of money people want to save is equal to the quantity of money people want to invest

Answers

Answer 1

Equilibrium in the money sector means that the real quantity of money demanded equals the real quantity of money supplied.

The correct option is (a) the real quantity of money demanded equals the real quantity of money supplied

This implies that the demand for money, which is determined by factors such as interest rates and income, is equal to the supply of money available in the economy. In the IS-LM model, the equilibrium in the money market ensures that individuals' desire to hold money matches the amount of money supplied by the central bank.

In the IS-LM model, the equilibrium in the money sector is achieved when the demand for money is satisfied by the available supply of money. The real quantity of money demanded refers to the amount of money individuals want to hold in terms of purchasing power. It depends on factors such as interest rates and income levels. The real quantity of money supplied is determined by the central bank's monetary policy decisions.

When the real quantity of money demanded equals the real quantity of money supplied, it indicates that individuals' desired money holdings are in balance with the actual supply of money. This equilibrium condition ensures that there is no excess demand or excess supply of money in the economy, leading to a stable money market. Therefore, option (a) is the correct alternative as it accurately describes the equilibrium in the money sector in the IS-LM model.

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Related Questions

between the firm's books and its tax return. Bens' tax rate is 35%. Required a. What amount of deferred tax liability should appear in Bens' 12/31/2016 balance sheet? b. Where in the balance sheet should the deferred tax liability appear? Current deferred tax liability Long-term deferred tax liability ODeferred tax liabilities are recorded as noncurrent liabilities on the balance sheet. ODeferred tax liabilities are recorded as current liabilities on the balance sheet. ODeferred tax liabilities are recorded as current and/or noncurrent liabilities on the balance sheet, depending on when they are due. Deferred tax liabilities are not reported on the balance sheet, rather they are disclosed in the Notes to the Financial Statement c. What amount of deferred tax liability should appear in Bens' 12/31/2017 balance sheet? Deferred tax liability

Answers

Bens should record a deferred tax liability of $14,000 on its 12/31/2016 balance sheet. The deferred tax liability should be classified as a non-current liability.

The deferred tax liability arises because Bens has recognized a loss on its books that will not be deductible for tax purposes until 2017.

This difference in timing will create a future tax liability, which is the deferred tax liability.

The amount of the deferred tax liability is calculated by multiplying the difference in book income and taxable income by the tax rate.

In this case, the difference in book income and taxable income is $40,000 and the tax rate is 35%, so the deferred tax liability is $14,000.

The deferred tax liability should be classified as a non-current liability because the difference between book income and taxable income is expected to reverse over a period of more than one year. If the difference were expected to reverse within one year, the deferred tax liability would be classified as a current liability.

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Ayayai, Inc is planning to produce 2,510 units of product in 2022. Each unit requires 3 pounds of materials at $6 per pound and a half hour of labor at $16 per hour. The overhead rate is 75% of direct labor. (a) Compute the budgeted amounts for 2022 for direct materials to be used, direct labor, and applied overhead.

Answers

The budgeted amounts for 2022 are as follows: Direct Materials: $45,180, Direct Labor: $20,080, Applied Overhead: $15,060

To compute the budgeted amounts for 2022, we'll calculate the following:

Direct Materials:

2,510 units * 3 pounds per unit = 7,530 pounds

7,530 pounds * $6 per pound = $45,180

Direct Labor:

2,510 units * 0.5 hours per unit = 1,255 hours

1,255 hours * $16 per hour = $20,080

Applied Overhead:

Applied Overhead = 75% of Direct Labor

Applied Overhead = 0.75 * $20,080 = $15,060

Therefore, The budgeted amounts for 2022 are as follows:

Direct Materials: $45,180

Direct Labor: $20,080

Applied Overhead: $15,060

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The internal rate of return and net present value methods of capital budgeting are superior to the payback method because they:

a. consider the time value of money.
b. are easier to implement.
c. All of these answers
d. reflect the effects of depreciation and income taxes.
e. None of these answers
f. require less data.

Answers

The internal rate of return and net present value methods of capital budgeting are superior to the payback method because they consider the time value of money. The correct answer is option (a). The time value of money is the idea that money today is worth more than the same amount in the future due to inflation and the potential for earning interest.

The internal rate of return (IRR) and net present value (NPV) methods take this into account and adjust for the time value of money, making them more accurate and reliable than the payback method, which does not account for this factor.In addition, the IRR and NPV methods are better suited for long-term investment decisions, whereas the payback method is more appropriate for short-term investments.

The IRR and NPV methods also consider the effects of depreciation and income taxes, which are important factors in capital budgeting decisions.All of these factors contribute to why the IRR and NPV methods are superior to the payback method in capital budgeting. While the payback method may be easier to implement and require less data, it is not as accurate or comprehensive as the IRR and NPV methods.

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Often in the workplace preparing a
recommendation doesn’t solve the problem as you need to adequately
prepare all stakeholders involved for how to communicate the plan.
Prepare a detailed role play

Answers

A detailed role-play is an effective way of identifying and addressing problems related to communication. Therefore, it can be a useful tool in preparing stakeholders to communicate plans effectively.

Preparing a recommendation doesn't always solve the problem in the workplace as it's vital to appropriately prepare all stakeholders involved for how to communicate the plan.

A role-play is a training and development technique that helps to develop participants' understanding, skills, and knowledge.

A detailed role-play is an effective way of identifying and addressing problems related to communication. Therefore, it can be a useful tool in preparing stakeholders to communicate plans effectively.

Role-playing allows stakeholders to practice their communication skills while receiving feedback from others. It allows participants to learn and observe their colleagues' communication methods, enabling them to identify their communication strengths and weaknesses.

Moreover, role-playing provides an opportunity to test ideas and plans to determine if they are feasible or not. Participants can also refine the communication plan and strategies to ensure that they are effective.

In conclusion, a detailed role-play helps stakeholders to prepare for communication of plans effectively, and it's a useful tool in identifying and addressing communication problems.

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On May 10, a company issued for cash 1,500 shares of no-par common stock (with a stated value of $2 ) at \$14, and on May 15, it issued for cosh 2 ,000 shares of $15 par preferred stock at \$5e. What is the amount of paid-in capital in stated value at May 10 and poidin capital in excess of par at May is, assuming that the common. stock is to be credited with the stated value?
a. May 10,$21,000, May is: $116,000
b. May to $18.000, May 1s. $86,000
C. May 10 $3.000; May 15: $30.000
d. May 10 $15,000, Msy I5: $46,000

Answers

The correct option is "a. May 10,$21,000, May is: $116,000".

The given data is:1. On May 10, the company issued for cash 1,500 shares of no-par common stock (with a stated value of $2) at $14.2. On May 15, it issued for cash 2,000 shares of $15 per preferred stock at $55e.The formulae for the calculation of Paid-in capital are:

1. Paid-in capital in stated value = Stated value * number of shares issued.

2. Paid-in capital in excess of par = (Issue price - par value) * number of shares issued.Issue price is the price at which the shares were issued to the public.So,The amount of paid-in capital in stated value at May 10 will be:$2 * 1,500 = $3,000.The amount of paid-in capital in excess of par at May 10, assuming that the common stock is to be credited with the stated value, will be:Total amount received for issuing common stock = Issue price * number of shares issued

= $14 * 1,500

= $21,000. Par value of common stock = $0Therefore,Amount of paid-in capital in excess of par = Total amount received - Paid-in capital in stated value

= $21,000 - $3,000

= $18,000. The amount of paid-in capital in stated value on May 15 will be:$15 * 2,000 = $30,000.The amount of paid-in capital in excess of par at May 15 will be:Total amount received for issuing preferred stock

= Issue price * number of shares issued

= $5 * 2,000

= $10,000. Par value of preferred stock

= $15. Therefore,Amount of paid-in capital in excess of par = Total amount received - Paid-in capital in stated value

= $10,000 - $30,000

= -$20,000. This shows a negative amount. But we are assuming that the common stock is to be credited with the stated value. Therefore, we cannot credit the negative value here.So,Amount of paid-in capital in excess of par at May 15 will be zero.The final answer will be,May 10:Paid-in capital in stated value = $3,000.Paid-in capital in excess of par = $18,000.May 15:Paid-in capital in stated value = $30,000.Paid-in capital in excess of par = $0. Answer: a. May 10,$21,000, May is: $116,000.

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Prior to liquidating their partnership, Joly and Haines had capial accounts of $24,000 and $82,000, respectively. The partnership assets were sold for $38,000. The partnership had no lisblities. Jolly and Haines share income and losses equaliy. Required: a. Determine the amount of Jolly's deficiency. b. Detemine the amount distributed to Haines, assuming that Jolly is unable to satisfy the deficiency.

Answers

Joly's deficiency in the partnership is $13,000, and Haines will receive $25,000 assuming Joly is unable to cover the deficiency.

In a partnership, the capital accounts represent the partners' investments in the business. Joly's capital account is $24,000, and Haines' capital account is $82,000. When the partnership is liquidated, the assets are sold and the proceeds are used to settle any liabilities and distribute the remaining amount to the partners based on their capital accounts.

Since the partnership had no liabilities, the total amount available for distribution is the proceeds from the sale of assets, which is $38,000 in this case. The partners share income and losses equally, so they are entitled to an equal distribution of the partnership assets.

To determine the deficiency, we need to compare the partners' capital accounts with their share of the assets. Joly's deficiency is calculated by subtracting his capital account of $24,000 from his share of the assets, which is half of the total assets since the partners share equally. Therefore, Joly's deficiency is $13,000 ($38,000 / 2 - $24,000).

If Joly is unable to satisfy the deficiency, it means he cannot cover the amount from his capital account. In such a case, the deficiency will be covered by distributing it among the other partner(s) who have sufficient capital. Since Joly is unable to satisfy the deficiency, Haines will receive the remaining assets after deducting Joly's deficiency. Therefore, Haines will receive $25,000 ($38,000 - $13,000).

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TRUE / FALSE.
The most important step to complete when QC is out of the acceptable range is do the test .

Answers

The most important step to take when QC is out of the acceptable range is to perform the test. Performing the test allows for a thorough evaluation of the situation and helps determine the extent of the issue.

It provides crucial information for identifying the cause of the problem and implementing appropriate corrective measures. By conducting the test, you can gather accurate data, compare it to the acceptable range, and make informed decisions based on the results. Quality control (QC) is a vital process in various industries to ensure that products or services meet specific standards and requirements. When QC results fall outside the acceptable range, it indicates a deviation from the desired quality level. Ignoring or neglecting such results can lead to significant consequences, such as compromised product integrity, customer dissatisfaction, or even safety hazards. Therefore, promptly performing the test is crucial as it allows you to assess the situation accurately and take appropriate actions to rectify any issues identified. By addressing the problem at its root cause, you can prevent further deviations and maintain consistent quality standards.

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Research an Enterprise Resource Planning (ERP) system and discuss how it improves organizational performance? (Be specific with an actual ERP and actual performance metrics!) Don't forget to cite the resources where you get the information from. Thanks

Answers

Implementing an ERP system like SAP ERP can significantly enhance organizational performance. In the case of SAP ERP, it improves inventory management, resulting in reduced carrying costs and improved on-time delivery performance.

The integration of business processes, real-time data visibility, and enhanced collaboration contribute to better decision-making, resource allocation, and scalability. By leveraging an ERP system, organizations can optimize their operations, drive efficiency, and achieve improved overall performance.

An example of an Enterprise Resource Planning (ERP) system that improves organizational performance is SAP ERP. SAP ERP is a comprehensive business management software that integrates various functions within an organization, such as finance, supply chain, human resources, and customer relationship management.

One specific performance metric that SAP ERP improves is inventory management. According to a case study conducted by Deloitte Consulting, a global management consulting firm, a manufacturing company implemented SAP ERP and experienced a significant reduction in inventory levels. The company achieved a 20% reduction in overall inventory carrying costs and a 15% improvement in on-time delivery performance (Deloitte, 2021).

SAP ERP enhances organizational performance in several ways. Firstly, it streamlines business processes by automating tasks and providing real-time data visibility, enabling better decision-making and resource allocation. With accurate and up-to-date information, organizations can optimize inventory levels, reduce stockouts, and improve order fulfillment, as demonstrated in the case study.

Furthermore, SAP ERP facilitates efficient collaboration and communication among different departments and stakeholders. For example, integrating finance and supply chain data enables better forecasting and demand planning, leading to improved inventory management and cost control.

SAP ERP also supports scalability and growth by providing a flexible and scalable platform for managing various aspects of an organization's operations. As businesses expand, SAP ERP can accommodate increased transaction volumes, additional users, and new business units, ensuring smooth operations and performance.

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A three-year project required an initial NWC of $50,000. The NWC increases to $60,000 in year one, decreases to 40,000 in year two, fully recovered in year three (even if it doesn’t say fully recovered you assume it is). Calculate the increases in NWC in years one, two and three.

Answers

The increases in NWC are $10,000 in year one and $20,000 in year two. There is no increase in year three as the NWC is fully recovered. the initial NWC is $50,000. In year one, it increases to $60,000, resulting in an increase of $10,000 ($60,000 - $50,000).

In year two, the NWC decreases to $40,000, indicating a decrease of $20,000 ($40,000 - $60,000). In year three, it is mentioned that the NWC is fully recovered, implying no further increase or decrease from the previous year's value.

Certainly! Let's break down the calculation of increases in Net Working Capital (NWC) for each year.

Year 1: The initial NWC is $50,000, and it increases to $60,000. To find the increase, we subtract the initial value from the final value: $60,000 - $50,000 = $10,000. Therefore, the NWC increases by $10,000 in year one.

Year 2: In the second year, the NWC decreases to $40,000. We calculate the decrease by subtracting the final value from the previous year's value: $40,000 - $60,000 = -$20,000. This indicates a decrease of $20,000 in NWC.

Year 3: The question assumes that the NWC is fully recovered in year three, although it doesn't explicitly state it. Therefore, there is no further increase or decrease in NWC during this year.

In summary, the increases in NWC are $10,000 in year one and $20,000 in year two. There is no increase in year three as the NWC is fully recovered.

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When performing step three of the tax research process:
______

A) A commercial tax service may provide an excellent starting point.
B) The researcher must discover all the facts concerning the client's transaction.
C) The researcher must communicate his or her conclusions to the client.
D) The researcher should always consult primary authorities first before turning to secondary authorities for guidance.

Answers

When performing step three of the tax research process, b) the researcher must discover all the facts concerning the client's transaction.

Tax research is an essential process of determining the tax laws and regulations applicable to specific situations.

The tax research process involves the following three main steps:

1. Understanding the facts.2. Identifying the relevant authorities.3. Researching the law.

Step Three- Researching the lawIn this step, the researcher must discover all the facts concerning the client's transaction. The researcher should collect information on the client's business, its activities, and its tax history. Additionally, the researcher must obtain copies of the client's tax returns, financial statements, and other relevant documents.

The researcher should start by consulting primary sources, which include statutes, regulations, and court decisions. These are the most authoritative sources of tax law. The researcher should then consult secondary sources, which provide a summary and interpretation of the primary sources.

A commercial tax service may provide an excellent starting point, but the researcher must verify the accuracy of the information provided. Finally, the researcher should communicate his or her conclusions to the client.

Therefore, the correct answer is b) the researcher must discover all the facts concerning the client's transaction.

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Sunland Company leases a building to Splish Brothers, Inc. on January 1, 2020. The following facts pertain to the lease agreement. 1. The lease term is 5 years, with equal annual rental payments of $6,050 at the beginning of each year. 2. Ownership does not transfer at the end of the lease term, there is no bargain purchase option, and the asset is not of a specialized nature. 3. The building has a fair value of $30,000, a book value to $unland of $23,000, and a useful life of 6 years. 4. At the end of the lease term, Sunland and $ plish Brothers expect there to be an unguaranteed residual value of $5,750. 5. Sunland wants to earn a return of 8% on the lease, and collectibility of the payments is probable. Splish Brothers was unaware of the implicit rate used in the lease by Sunland and has an incremental borrowing rate of 9%. Click here to view factor tables. How would Sunland (lessor) and Splish Brothers (lessee) classify this lease?

Answers

Sunland Company (lessor) and Splish Brothers, Inc. (lessee) classify the lease agreement as an operating lease because the asset is not of a specialized nature, and there is no bargain purchase option. The lessee doesn't receive ownership of the asset at the end of the lease term, and there is no transfer of ownership as well.

The lessee (Splish Brothers) will make equal rental payments of $6,050 at the beginning of each year for five years.The lessor (Sunland) wants to receive an 8% return on the lease and believes that the probability of payment collection is high.

The building has a useful life of six years, a fair value of $30,000, and a book value of $23,000. After the end of the lease term, Sunland and Splish Brothers anticipate there will be an unguaranteed residual value of $5,750. When computing the lease terms, the lessee (Splish Brothers) uses its incremental borrowing rate of 9 percent.

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1.""You need to find a new supplier for this critical component"". Why limits the search? How can you find a new supplier for the entire package? Take this as an opportunity and use the marketing department to sell a ""new and improved"" version etc. Answer in 200 word limit.

Answers

Expand the search beyond just the critical component and consider finding a new supplier for the entire package, utilizing the marketing department to promote a "new and improved" version.

The statement "You need to find a new supplier for this critical component" limits the search by suggesting that only the specific component needs to be replaced. However, it presents an opportunity to think beyond just finding a new supplier for the component and consider a more comprehensive approach.

Instead of solely focusing on finding a new supplier for the component, one can explore the possibility of finding a new supplier for the entire package or even reimagining the product altogether. This presents an opportunity to involve the marketing department to promote a "new and improved" version of the product, leveraging the potential benefits and unique selling points of the new supplier or package.

By reframing the search for a new supplier as an opportunity, the company can take a proactive approach to enhance the product and potentially attract new customers. Involving the marketing department can be beneficial in multiple ways. Firstly, they can collaborate with the sourcing or procurement team to identify potential suppliers who offer a complete package rather than just a component.

This broader perspective opens up possibilities for finding innovative solutions and improving the product's overall quality. Secondly, the marketing department can play a crucial role in creating a marketing strategy to promote the new and improved version of the product.

They can highlight the advantages of the new supplier or package, emphasizing the added value it brings to customers. This approach can help differentiate the company from competitors and generate interest among existing and potential customers.

In summary, rather than being limited by the search for a new supplier for a critical component, the company can view it as an opportunity to explore alternative solutions. By involving the marketing department, they can not only find a new supplier for the entire package but also leverage their expertise to market a "new and improved" version of the product, maximizing its potential and attracting customers.

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We can tell from the figure that from 1990-2020 the United States has run a trade a) ____, and net exports have been b)

Consider the Great Recession from Dec. 2007-June 2009. During this period, both the exports and the imports of goods fell. Given that the trade balance on goods rose from around −$70 billion to −$40 billion in that time, the decrease in exports of goods must have been ____ the decrease in imports of goods. You can assume that the trade balance in services did not change.

Answers

We can tell from the figure that from 1990-2020 the United States has run a trade deficit, and net exports have been negative.

Considering the Great Recession from December 2007 to June 2009, both the exports and imports of goods fell. Given that the trade balance on goods rose from around -$70 billion to -$40 billion in that time, the decrease in exports of goods must have been smaller than the decrease in imports of goods. This indicates that the decrease in imports was larger than the decrease in exports during the Great Recession.

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Question Content Area

Pat contributes a building with a basis of $40,000 and a FMV of $80,000 in exchange for a 30% partnership interst. The building was subject to a $30,000 liability which was assumed by the partnership. How much gain will Pat reconize?

$30,000
$20,000
$10,000
$0

Answers

$0. Pat will not recognize any gain. When contributing the building to the partnership, the gain or loss is not recognized if it's a transaction between a partner and a partnership in which the partner has a direct or indirect ownership interest.

In this scenario, Pat contributes a building with a basis of $40,000 and a fair market value (FMV) of $80,000 to the partnership in exchange for a 30% partnership interest. The building is subject to a $30,000 liability assumed by the partnership. When contributing property to a partnership, if the partner has a direct or indirect ownership interest, any gain or loss is not recognized for tax purposes. Therefore, Pat will not recognize any gain, and the answer is $0.

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What role do managers play in effective international
strategies, particularly in dynamic contexts? Why?
If this could be answered in paragraph format (preferably 2-3),
I'd appreciate it. Thank you!

Answers

The main objective of international business is to earn profits while providing value to customers. The financial management role of managers in international businesses involves ensuring that the company's resources are used effectively and efficiently.

Managers are responsible for creating budgets, managing cash flow, forecasting revenue and expenses, and making informed decisions to minimize financial risks. They must also be able to handle the complexities of foreign currency exchange rates and other financial challenges.

In order for international businesses to be effective, managers play an important role. The following are the key roles played by managers in effective international businesses: Strategy Development: It is the duty of managers to develop a strategy that outlines the direction and goals of the company in order to operate successfully in a foreign market.

Managers must choose the best strategy for the organization by analyzing market trends, competition, and consumer preferences. This includes designing, executing, and monitoring marketing, sales, and advertising campaigns, as well as designing pricing and distribution policies.

Communication: Communication is one of the most critical aspects of effective international business management. Effective communication helps to build trust, collaboration, and a strong relationship between management and stakeholders.

Managers should be able to communicate effectively with international partners, staff, and stakeholders, as well as communicate in the native language of the country. Cultural sensitivity and knowledge are required for successful communication in international business.Financial Management:

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An active portfolio manager outperformed the benchmark last year by 2.65%, where the benchmark is the S\&P500 index. In analyzing the portfolio for return attribution using the Carhart 4 factor model, you find the following results:
Factor Portofolio Sensitivity Benchmark sensitivity Factor return (%)
RMRF 0.97 1.02 5.42
SMB -1.01 -0.96 2.17
HML 0.31 0.04 4.17
WML 0.27 -0.07 6

What was the return to the portfolio resulting from the security selection component?

Answers

The return to the portfolio resulting from the security selection component is approximately 5.98%, indicating the active management skill of the portfolio manager in selecting securities.

Return from Security Selection = (Portfolio Sensitivity * (Portfolio Factor Return - Benchmark Factor Return)) for each factor

For the RMRF factor:

Return from Security Selection (RMRF) = (0.97 * (5.42% - 0%)) = 5.26%

For the SMB factor:

Return from Security Selection (SMB) = (-1.01 * (2.17% - 0%)) = -2.19%

For the HML factor:

Return from Security Selection (HML) = (0.31 * (4.17% - 0%)) = 1.29%

For the WML factor:

Return from Security Selection (WML) = (0.27 * (6% - 0%)) = 1.62%

Now, let's sum up the individual contributions:

Return from Security Selection = Return from Security Selection (RMRF) + Return from Security Selection (SMB) + Return from Security Selection (HML) + Return from Security Selection (WML)

Return from Security Selection = 5.26% + (-2.19%) + 1.29% + 1.62%

Return from Security Selection ≈ 5.98%

Therefore, the return to the portfolio resulting from the security selection component is approximately 5.98%.

Hence, the return to the portfolio resulting from the security selection component is approximately 5.98%.

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As an investor, you notice that South Korea has raised interest rates. You predict an increase in investment in this economy. What forecasting model are you using?
A. Time series model
B. Econometric model
C. Relative economic strength
D. Purchasing power parity (PPP)

Answers

B. Econometric model .In this case, the model would likely consider the impact of interest rate changes on investment decisions and provide insights into the expected increase in investment based on the observed interest rate hike.

When predicting an increase in investment in South Korea based on the country's raised interest rates, the forecasting model being used is likely an econometric model. Econometric models utilize statistical techniques to analyze and forecast economic relationships, incorporating variables such as interest rates, GDP growth, inflation, and other relevant factors to make predictions about economic behavior. In this case, the model would likely consider the impact of interest rate changes on investment decisions and provide insights into the expected increase in investment based on the observed interest rate hike.

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What’s the enterprise value of SoulBiking in year 2017?
Hint: Use the growth method, decompose EV into two parts. You will need to calculate the present value of FCFs from year 1 – 5, as well as the discounted residual value.
Select the best answer from the following:
a.) 576.5
b.) 812.0
c.) 1042.75
d.) 1138.45

Answers

The enterprise value of SoulBiking in year 2017 is c.) 1042.75.

The present value of FCFs from year 1 to 5 is calculated using the following formula:

[tex]PV = FCF / (1 + r)^t[/tex]

Where PV is the present value, FCF is the free cash flow, r is the discount rate, and t is the number of years.

The discounted residual value is calculated using the following formula:

[tex]DRV = FCF(terminal) / (1 + r)^n[/tex]

Where DRV is the discounted residual value, FCF(terminal) is the free cash flow in the terminal year, r is the discount rate, and n is the number of years to the terminal year.

In this case, the discount rate is 8%, the number of years to the terminal year is 5, and the free cash flow in the terminal year is $249.6.

Therefore, the enterprise value of SoulBiking is $747.79 + $294.96 = $1042.75

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Why long/short equities have the effect of making " exposure to
the overall market direction small"????
Long/short equities: Purchase securities considered to be undervalued and short those considered to be overvalued in such a way that the exposure to the overall direction of the market is small.

Answers

Long/short equities have the effect of making exposure to the overall market direction small due to the nature of their strategy.

When implementing a long/short equity strategy, an investor simultaneously takes both long positions (buying undervalued securities) and short positions (selling overvalued securities). This approach aims to capture relative price movements between individual stocks rather than relying on the overall market direction.

By taking long positions in undervalued stocks and short positions in overvalued stocks, the strategy seeks to profit from the price disparities between these securities. The idea is that if the market as a whole experiences a decline, the investor's short positions (selling overvalued stocks) may generate profits, offsetting potential losses from their long positions (buying undervalued stocks). Similarly, if the market rises, the long positions may generate gains, compensating for any losses from the short positions.

Overall, by maintaining a balance between long and short positions, a long/short equity strategy attempts to reduce the dependence on the overall market direction. This allows investors to potentially generate returns based on their stock selection skills rather than relying solely on the broader market movements.

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all of the following are non-price factors that influence demand except

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All of the following are non-price factors that influence demand except price.

Price is a key factor that directly affects demand. When the price of a product or service increases, demand tends to decrease, and vice versa. Non-price factors, on the other hand, refer to various elements that influence demand independently of changes in price. These factors include consumer preferences, income levels, consumer expectations, population demographics, advertising and marketing efforts, availability of substitutes, government regulations, and cultural or social influences. These non-price factors can significantly impact consumer behavior and shape the demand for a product or service. By understanding and analyzing these non-price factors, businesses can better anticipate and respond to changes in demand and adapt their marketing strategies accordingly.

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abc incorporated has a bond outstanding with a coupon rate of 6% and semiannual payments. the yield to maturity is 4.3% and the bond matures in 20 years. what is the market price if the bond has a par value of 1000?

Answers

To calculate the market price of the bond, we can use the present value formula for the bond's cash flows,By evaluating the calculations, the market price of the bond is approximately $1,180.29.

which includes the coupon payments and the final principal repayment at maturity. Here's how we can calculate it:

Step 1: Calculate the number of periods. Since the bond makes semiannual payments and has a maturity of 20 years, the number of periods is 20 years multiplied by 2 (since there are two semiannual periods in a year), which equals 40 periods.

Step 2: Calculate the periodic coupon payment. The coupon rate is 6%, and since it's a semiannual payment, we divide it by 2. Thus, the periodic coupon payment is 6% / 2 = 3%.

Step 3: Calculate the yield to maturity (YTM) per period. Since the bond has a yield to maturity of 4.3% and it's a semiannual bond, we divide the YTM by 2. Thus, the YTM per period is 4.3% / 2 = 2.15%.

Step 4: Calculate the present value of the coupon payments. We can use the present value of an ordinary annuity formula:

PV = C * [1 - (1 + r)^(-n)] / r

Where:

PV = Present value of the coupon payments

C = Periodic coupon payment

r = Yield to maturity per period

n = Number of periods

PV = 3% * [1 - (1 + 2.15%)^(-40)] / 2.15%

Step 5: Calculate the present value of the principal repayment at maturity. The principal repayment is the par value of the bond, which is $1000, and it will be received at the end of the bond's maturity.

PV of Principal Repayment = $1000 / (1 + 2.15%)^40

Step 6: Calculate the market price of the bond by summing the present values of the coupon payments and the principal repayment:

Market Price = PV of Coupon Payments + PV of Principal Repayment

Now let's calculate the values:

PV = 3% * [1 - (1 + 2.15%)^(-40)] / 2.15%

PV of Principal Repayment = $1000 / (1 + 2.15%)^40

Market Price = PV + PV of Principal Repayment

By evaluating the calculations, the market price of the bond is approximately $1,180.29.

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1)Jonah put $1,000 in his saving account with a 5% annual interest rate with interest being compounded quarterly. Morgan put $1,000 in her saving account with a 4% annual interest rate that was compounded monthly. Both soon forgot about the money and never added more principal to their accounts. Now, after 20 years, both are taking money out of their accounts. Calculate how much each person has. Who has more money after 20 years and how much more do the have? How do you explain the difference in the two balances?


2) What are the differences between stocks and bonds? What happens to the owners of stocks or bonds if the company issuing them goes bankrupt?

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After 20 years, Jonah will have $2,653.30 in his savings account, while Morgan will have $2,653.01 in her savings account. Jonah has slightly more money by approximately $0.29.  Both Jonah and Morgan have experienced growth in their savings due to compound interest.

The difference in the balances can be explained by the compounding frequency and the interest rates. Although Jonah's account has a higher annual interest rate of 5%, it compounds quarterly, which means the interest is added to the account four times a year. On the other hand, Morgan's account has a lower annual interest rate of 4%, but it compounds monthly, with interest being added twelve times a year.

The more frequent compounding of interest in Morgan's account allows for smaller, more frequent additions to the principal amount, leading to a slightly higher overall balance. The compounding effect becomes more pronounced over time, resulting in a marginal difference between the two balances after 20 years.

Overall, both Jonah and Morgan have experienced growth in their savings due to compound interest. While Jonah's account had a higher interest rate, Morgan's account benefited from more frequent compounding, resulting in a slightly higher balance after 20 years.

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There are three other names that are sometimes used when
referring to the business market. List them and give an example of
each.

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The three other names that are sometimes used when referring to the business market are B2B, Industrial Market, and Organizational Market.

B2B refers to transactions and relationships between businesses. It involves the exchange of products, services, or information between two or more companies. An example of B2B would be a manufacturing company purchasing raw materials from a supplier.

Industrial Market refers to the market segment composed of businesses that purchase goods and services for industrial purposes. This includes businesses in sectors such as manufacturing, construction, and utilities. For example, a construction company buying heavy machinery from an equipment manufacturer would be considered part of the industrial market.

Organizational Market encompasses all types of organizations that acquire goods and services to support their operations. This includes government agencies, educational institutions, and non-profit organizations. An example of the organizational market would be a hospital procuring medical equipment from a supplier.

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The city of Denver has been experiencing an increase in homelessness. To address the issue, Denver city officials have begun funding "affordable housing" by subsidizing builders to construct various kinds of housing. This housing will be allotted to those who fall under a range of income requirements. What is likely to be the effect of this program? Will it be more effective at reducing homelessness in the short-run or in the long-run? Why?

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The program of funding "affordable housing" in Denver is likely to have a positive effect on reducing homelessness in both the short-run and the long-run.

In the short-run, the availability of subsidized affordable housing can provide immediate relief to individuals and families experiencing homelessness. By offering housing options that align with their income levels, the program can help address the immediate housing needs of those who fall under the income requirements. This can lead to a decrease in the number of individuals living on the streets or in temporary shelters, providing them with stability and improved living conditions.

In the long-run, the program can contribute to reducing homelessness by creating a sustainable solution. By subsidizing builders to construct various kinds of housing, the supply of affordable housing increases. This expanded supply can help meet the demand for affordable housing over time, making it more accessible to individuals who may be at risk of homelessness or struggling with housing affordability. By providing stable and affordable housing options, the program can prevent individuals from falling into homelessness or experiencing recurrent periods of homelessness.

Overall, the program's effectiveness in reducing homelessness will depend on various factors such as the scale of the program, the efficiency of the allocation process, ongoing support services for individuals transitioning into affordable housing, and addressing underlying causes of homelessness such as income inequality and access to supportive services. However, by addressing immediate housing needs and creating long-term solutions, the program has the potential to make a significant impact on reducing homelessness both in the short run and the long run.

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Day Co., a retail chain selling windows, makes two contracts, one with a wholesaler to sell windows and a second contract with a homeowner to sell windows. The contract for the sale of the windows says: "the parties agree that the parties will agree to set the price for the sale of the windows". The contract for the installation of the windows says: "the parties agree that the parties will agree to set the price for the installation of the windows". Under the circumstances: a. Both contracts fail because they are indefinite.
a. The contract for the sale of the windows is invalid because of indefiniteness.
b. Both contracts are valid as they are both deemed to be definite because of gap fillers.
c. The contract for the installation of the windows is invalid because of indefiniteness.

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Both contracts for the sale and installation of windows are invalid due to indefiniteness.

The contracts in question contain provisions that state the parties will agree to set the price for the sale of windows and the installation of windows. These provisions create an indefinite term and lack the essential elements required for a valid contract. In order for a contract to be enforceable, it must contain definite and certain terms, including the price to be paid. The principle of definiteness ensures that the parties have a clear understanding of their obligations and prevents subjective interpretation or potential disputes. Since the contracts in this case fail to provide a specific price or a method to determine the price, they cannot be considered valid agreements. Both contracts are affected by this indefiniteness issue, rendering them unenforceable.

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Match each scenario with its impact on M1. A. Yuval transfers \( \$ 300 \) from their bank account into their savings account B. Mr. Top opens a new account at Bank of Houston and deposits \( \$ 1000

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In scenario A, M1 remains unchanged. In scenario B, M1 increases. In scenario C, M1 decreases.

M1 refers to the measure of a country's money supply that includes physical currency (such as coins and banknotes) and demand deposits in banks. In scenario A, when Yuval transfers $300 from their bank account into their savings account, there is no change in M1. This is because the money is simply moved from one type of account to another within the same financial institution, without affecting the overall money supply.

In scenario B, when Mr. Top opens a new account at Bank of Houston and deposits $1000 cash, M1 increases. This is because the cash deposit adds to the physical currency component of M1, increasing the overall money supply.

In scenario C, when Kim transfers $100 from their savings account into their bank account, M1 decreases. This is because the money is moved from a demand deposit (savings account) to a different type of account, reducing the amount of money available for immediate spending.

Understanding the impact of different financial transactions on M1 helps in analyzing changes in the money supply and its implications for the economy.

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The complete question is:

Match each scenario with its impact on M1.

A. Yuval transfers $300 from their bank account into their savings account

B. Mr. Top opens a new account at Bank of Houston and deposits $1000 cash

C. Kim transfers $100 from their savings account into their bank account

1. M1 decreases

2. M1 increases

3. No change in M1

Assume you have just found out you are entitled to receive $118,000 in 20 years. If the interest rate is 17 percent, what should you be willing to take today in exchange for the future payment? (Enter your answer as a positive number rounded to 2 decimal places.)

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You should be willing to accept approximately $6,179.15 today in exchange for the future payment of $118,000 in 20 years, assuming an interest rate of 17 percent.

To determine the present value of a future payment, we can use the concept of discounting, which takes into account the time value of money.

The present value represents the amount of money you should be willing to accept today in exchange for the future payment of $118,000 in 20 years.

Using the formula for the present value (PV) of a future payment, we can calculate it as:

[tex]PV = FV / (1 + r)^n[/tex]

Where:

PV = Present value

FV = Future Value

r = Interest rate

n = Number of periods

In this case, the future value (FV) is $118,000, the interest rate (r) is 17 percent (or 0.17), and the number of periods (n) is 20 years.

Plugging these values into the formula, we have:

[tex]PV = 118,000 / (1 + 0.17)^{20[/tex]

Calculating this expression, we find:

PV ≈ [tex]118,000 / (1.17)^{20[/tex] ≈ 118,000 / 19.084

Therefore, the present value is approximately $6,179.15.

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During 2018, Ambiance Company reported net revenue of $3,600,000. The company reported net fixed assets of $710,000 on January 1, 2018 and net fixed assets of $890,000 on December 31,2018.
Required:
Part a. Calculate the fixed asset turnover ratio.
Part b. Assume the 2018 fixed asset turnover ratio was lower than the 2017 ratio. Explain how an analyst might interpret this change.
Part c. Describe at least one circumstance that might have caused the fixed asset turnover ratio to decline and be consistent with bad news.
Part d. Describe at least one circumstance that might have caused the fixed asset turnover ratio to decline and yet be consistent with good news.

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Calculation of Fixed Asset Turnover Ratio is as follows.

How to find?

Fixed Asset Turnover Ratio = Net revenue / Average fixed assets

Average Fixed Assets = (Beginning Net Fixed Assets + Ending Net Fixed Assets) / 2

= ($710,000 + $890,000) / 2

= $1,600,000

Fixed Asset Turnover Ratio = $3,600,000 / $1,600,000

= 2.25

Part b. If the 2018 fixed asset turnover ratio was lower than the 2017 ratio, it would indicate that the company was less efficient in using its fixed assets to generate sales revenue in 2018 than in 2017.

This might indicate that the company is experiencing declining sales or increasing fixed asset investments.

The firm may be experiencing financial difficulties, and management should take measures to improve the firm's financial condition.

Part c. The fixed asset turnover ratio may decrease if the company is replacing old equipment with new, more expensive equipment.

This may be due to the fact that new machinery is often more expensive than old machinery, and the additional depreciation expenses associated with it may have a negative impact on the fixed asset turnover ratio.

This would be consistent with bad news because the ratio would decrease as a result of the increased costs. As a result, the company's profitability may decrease.

Part d. The fixed asset turnover ratio can decrease if the company is increasing production capacity.

Although this may result in increased investment in fixed assets, the increase in production capacity may also result in increased revenue and profitability for the company, which is consistent with good news.

The decrease in the fixed asset turnover ratio is the result of the increased investment in fixed assets and does not indicate any negative implications for the company's financial performance.

Therefore, an analyst may interpret this change as good news, assuming that the increase in investment in fixed assets is due to increased demand for the company's products.

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Suppose that a small country faces fixed world prices that happen to be equal to its (undistorted) domestic autarky prices. Show the effect of a production subsidy to the X sector on production, welfare, and exports (include a diagram and a careful verbal explanation)

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As a result of the subsidy, the new production level of X increases from Q1 to Q2. This increase in production helps to meet domestic consumption needs, but there is also excess supply available for export.

Since the world price is fixed and equal to the domestic autarky price, the small country can export the excess production at the world price. The quantity of X exported is the difference between the new production level (Q2) and domestic consumption (Q1). The country benefits from exporting the excess production and earning additional revenue from those exports.

The welfare effects of the production subsidy can be analyzed in terms of producer and consumer surplus. Producers benefit from the subsidy as it reduces their costs and increases their profits. Consumer surplus may or may not change significantly, depending on the elasticity of demand for X.

In summary, the production subsidy in the X sector leads to an increase in domestic production, which helps meet domestic consumption needs and creates an excess supply available for export. The country can export the excess production at the fixed world price. The welfare effects of the subsidy depend on the specific conditions, but it generally benefits producers and can potentially benefit the country through increased exports.

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Machinery purchased for $41,400 by Grouper Corp. on January 1, 2015, was originally estimated to have an 8-year useful life with a residual value of $3,000. Depreciation has been entered for five years on this basis. In 2020, it is determined that the total estimated useful life (including 2020) should have been 10 years, with a residual value of $3,600 at the end of that time. Assume straight-line depreciation and that Grouper Corp. uses IFRS for financial statement purposes.

Prepare the entry that is required to correct the prior years’ depreciation, if any. (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts.)

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The entry to correct the prior years' depreciation is follows :Depreciation Expenses $1,920, Accumulated Depreciation $1,920. This entry reduce the accumulated depreciation by amount of depreciation that was incorrectly recorded in the prior years.

Types of expenses include operating expenses, which are costs incurred in the day-to-day operations of a business, such as rent, utilities, salaries, and office supplies. Cost of goods sold (COGS) refers to expenses directly related to the production or purchase of goods sold by a business. Other common expense categories include marketing and advertising expenses, research and development expenses, administrative expenses, interest expenses, and depreciation and amortization expenses. Each type of expense represents a different aspect of the costs involved in running a business and impacts the overall profitability and financial performance.

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