Covid-19 has had a large and extensive influence. Millions of illnesses and millions of fatalities have occurred as a result worldwide. The pandemic has put a strain on healthcare systems, thrown off economies, and brought about a number of social and psychological issues.
1. A decrease in the future cash flows expected to be generated from the use of an intangible asset may lead to an impairment in value. This may arise, for example, if an intangible asset, such as a brand, is no longer valued by customers or is less valued, as a result of the pandemic, and this is expected to lead to lower cash flows from the sale of goods or services.
2. Covid-19 pandemic has negatively impacted the discount rate used to calculate the present value of expected future cash flows from the use of intangible assets. The risk-free rate, which is a component of the discount rate used to calculate the present value of future cash flows, is used as a benchmark for assessing the risks associated with investments in assets. The pandemic has led to a decline in risk-free rates, which may have an impact on the present value of expected future cash flows and result in the impairment of intangible assets.
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One factor that supports an in line strategy in setting an initial price is the degree to which customers perceive the product as risky. Select one: O True O False
True. The degree to which customers perceive a product as risky can be a factor supporting an in-line pricing strategy.
In-line pricing involves setting the initial price of a product at a level that aligns with customer expectations and perceived value. If customers perceive the product as risky, setting the price in line with their expectations can help mitigate their concerns and encourage purchase. This approach recognizes that customers may be less willing to pay a premium for a product they perceive as risky and, therefore, pricing it in line with their perceived value can help establish trust and drive initial sales. However, it's important to note that pricing strategies can be influenced by various other factors as well, and a comprehensive analysis of the market, competition, and consumer behavior is necessary to determine the most appropriate pricing strategy.
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Suppose on a certain day, you notice the following quotes. I CPO spot price jament RM 980 per ton Risk-free rate Janet 6% per year - 4% per year (RM 39.20 per ton) Annual storage cost 3-month CPO futures RM 1,013.63 (90 days to maturity)
a. Is arbitrage possible? (5 marks)
b. If so, how would you arbitrage? (20 marks)
c. Suppose the price at maturity is RM 1,015, what would your profit be if you are willing to invest in 50 tons? (15 marks)
Overall, without the specific value for the storage cost and the calculation for the profit, it is not possible to provide the exact values for parts b and c.
a. To determine if arbitrage is possible, we need to compare the cost of buying and storing the physical CPO with the cost of entering into a futures contract.
The cost of buying and storing the physical CPO for 90 days can be calculated as:
Storage Cost = Annual Storage Cost / 365 * 90 = (RM 39.20 / ton) / 365 * 90
The cost of entering into a futures contract is given as RM 1,013.63.
If the cost of buying and storing the physical CPO is less than the cost of entering into a futures contract, then arbitrage is possible.
b. To arbitrage, you would take the following steps:
Borrow money at the risk-free rate to finance the purchase of CPO.
Buy the physical CPO at the spot price of RM 980 per ton.
Store the CPO for 90 days, incurring the storage cost.
Enter into a short futures contract to sell the CPO at RM 1,013.63.
At maturity, sell the physical CPO at the spot price of RM 1,015.
c. If the price at maturity is RM 1,015 and you are willing to invest in 50 tons, your profit would be calculated as follows:
Profit = (Sale Price - Purchase Price) * Quantity - Storage Cost
= (RM 1,015 - RM 980) * 50 - Storage Cost
C. If the price at maturity is RM 1,015 per ton, the futures contract would settle at a value of RM 1,015 per ton. The investor would need to buy back the futures contract at the settlement price, which would cost a total of RM 50,750 (RM 1,015 x 50 tons). The investor would also need to pay storage costs for three months, which would amount to RM 36.60 per ton or RM 1,830 for 50 tons. Finally, the investor would need to consider the interest expense on the initial investment of RM 49,000. Assuming an annual interest rate of 6%, the interest expense for three months would be RM 735 (RM 49,000 x 0.06 x 0.25). Therefore, the total expenses incurred would be RM 52,315. Adding the initial profit of RM 1,681.50, the investor's net profit would be RM -853.50, meaning that they would incur a loss of RM 853.50 by investing in 50 tons of CPO through this arbitrage strategy.
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The T. P. Jarmon Company manufactures and sells a line of exclusive sportswear. The firm's sales were $599,900 for the year just ended, and its total assets exceeded $500,000. The company was started by Mr. Jarmon just 10 years ago and has been profitable every year since its inception. The chief financial officer for the firm, Brent Vehlim, has decided to seek a line of credit from the firm's bank totaling $86,000. In the past, the company has relied on its suppliers to finance a large part of its needs for inventory. However, in recent months tight money conditions have led the firm's suppliers to offer sizable cash discounts to speed up payments for purchases. Mr. Vehlim wants to use the line of credit to supplant a large portion of the firm's payables during the summer, which is the firm's peak seasonal sales period. The firm's two most recent balance sheets were presented to the bank in support of its loan request. In addition, the firm's income statement for the year just ended was provided. These statements are found in the following tables: Jan Fama, associate credit analyst for the Merchants National Bank of Midland, Michigan, was assigned the task of analyzing Jarmon's loan request. a. Calculate the following financial ratios for 2013: ... provided. These statements are found in the following tables: assigned the task of analyzing Jarmon's loan request. Jan Fama, associate credit analyst for the Merchants National Bank of Midland, Michigan, was a. Calculate the following financial ratios for 2013: b. Which of the ratios calculated in part (a) do you think should be most crucial in determining whether the bank should extend the line of credit? c. Use the information provided by the financial ratios and industry-norm ratios to decide if you would support making the loan. Discuss the basis for your recommendation. T. P. Jarmon Company Balance Sheets Cash Marketable securities Accounts receivable Inventory Prepaid rent Total current assets Net plant and equipment 2012 $15,100 5,990 41,900 50,900 1,210 $115,100 286,100 2013 $14,100 6,190 33,100 83,900 1,090 $138,380 270,000 Net plant and equipment Total assets Accounts payable Notes payable Accruals Total current liabilities Long-term debt mtaal.boldowal A 286,100 $401,200 2012 $47,900 15,000 6,000 $68,900 160,000 170 000 270,000 $408,380 2013 $56,900 13,000 5,000 $74,900 150,000 100 100 Long-term debt Common stockholders' equity Total liabilities and owners' equity 160,000 172,300 $401,200 on the icon in order to copy its contents into a spreadsheet.) T. P. Jarmon Company Income Statement for 2013 Sales (all credit) Less: Cost of goods sold 150,000 183,480 $408,380 $599,900 (459,900) Sales (all credit) Less: Cost of goods sold Gross profit Less: Operating and interest expenses General and administrative Interest Depreciation Total Earnings before taxes Less Taxes $(30,000) (10,000) (30,000) $599,900 (459,900) $140,000 $(70,000) $70,000 (27 100) Interest Depreciation (10,000) (30,000) Total Earnings before taxes Less: Taxes Net income available to common stockholders Less: Cash dividends Change in retained earnings ck on the icon in order to copy its contents into a spreadsheet) $(70,000) $70,000 (27,100) $42,900 (31,800) $11,100
a. The financial ratios for 2013 can be calculated as follows: Current Ratio: Current Assets / Current Liabilities
Current Ratio = $138,380 / $74,900 = 1.85
Quick Ratio: (Current Assets - Inventory) / Current Liabilities
Quick Ratio = ($138,380 - $83,900) / $74,900 = 0.78
Inventory Turnover: Cost of Goods Sold / Average Inventory
Inventory Turnover = $459,900 / (($50,900 + $83,900) / 2) = 5.45
Debt-to-Equity Ratio: Total Debt / Total Equity
Debt-to-Equity Ratio = ($74,900 + $150,000 + $100,100) / $172,300 = 1.23
b. The most crucial ratio in determining whether the bank should extend the line of credit would be the Current Ratio. This ratio indicates the company's ability to meet its short-term obligations. A higher current ratio indicates a better ability to cover current liabilities with current assets.
c. To determine whether to support making the loan, we need to assess the company's financial health and its ability to repay the loan. Comparing the financial ratios to industry-norm ratios can provide insights into the company's performance relative to its peers.
The Current Ratio of 1.85 is relatively good, indicating that the company has sufficient current assets to cover its current liabilities. The Quick Ratio of 0.78 suggests that the company may have some difficulty meeting its short-term obligations without relying on inventory.
The Inventory Turnover ratio of 5.45 indicates that the company is selling its inventory relatively quickly, which is positive. However, the Debt-to-Equity Ratio of 1.23 suggests that the company has a moderate level of debt compared to its equity.
Considering the financial ratios and the company's profitability over the years, it appears that the T.P. Jarmon Company has been successful and profitable. However, further analysis of the company's cash flow and ability to generate sufficient income to repay the loan would be necessary to make a final recommendation on granting the line of credit.
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To STAND UP means: You should be hostile or aggressive. You should intervene even when it is not safe to do so. Being assertive about sexual harassment and violence. It is OK to share private information about others. You should not forward an explicit email to others. * B H 1 0 5€ ✓ . 6 T Y GH B A 7 N U 8 J 1 M ( 9 K O < N L P A. : ; 8 ( I ♦ aque T F PREV SUBMIT } ( 1 N 7 shift by th 1 4
To STAND UP means being assertive about sexual harassment and violence. When you witness or experience sexual harassment or violence, it is essential to take a stand and speak out against it.
It can be difficult to know what to do or say, but it is essential to be assertive in the face of harassment or violence.
The following are the things to do when someone experiences or witnesses sexual harassment or violence:
What to do when you witness or experience sexual harassment or violence?
Do not remain quiet if you see or experience sexual harassment or violence. If you witness someone else being harassed or attacked, do not ignore it. If you are a victim, take steps to protect yourself, such as calling the police or a trusted friend.
Be assertive and let the perpetrator know that their behavior is inappropriate and unacceptable. If it is safe to do so, intervene to stop the harassment or violence. If you do not feel safe intervening, find someone else who can help or call the police.
Finally, report the harassment or violence to someone in authority, such as a teacher, supervisor, or human resources .representative.
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Manufacturing overhead was estimated to be $208,000 for the year along with 20,800 direct labor hours. Actual manufacturing overhead was $187.200, and actual direct labor hours were 19.700. To dispose of the balance in the Manufacturing Overhead account, which of the following would be correct? Multiple Choice O Cost of Goods Sold would be credited for $9,800 Cost of Goods Sold would be debited for $9.800 Cost of Goods Sold would be credited for $10.200 Cost of Goods Sold would be debited for $10,200 O
To dispose of the balance in the Manufacturing Overhead account, Cost of Goods Sold would be credited for $10,200 would be correct. In this case, the manufacturing overhead is under-applied because the actual overhead is less than the applied overhead.
Estimated manufacturing overhead = $208,000
Direct labor hours = 20,800
Actual manufacturing overhead = $187,200
Actual direct labor hours = 19,700
Formula for calculating the predetermined overhead rate = Estimated manufacturing overhead / Estimated direct labor hours = $208,000 / 20,800 = $10 per direct labor hour
Manufacturing overhead applied = Predetermined overhead rate × Actual direct labor hours= $10 × 19,700 = $197,000
Under-applied overhead = Actual manufacturing overhead - Manufacturing overhead applied= $187,200 - $197,000 = -$9,800
Since the actual overhead is less than the applied overhead, we need to credit the Cost of Goods Sold (COGS) account to balance the Manufacturing Overhead (MO) account. Therefore, the Cost of Goods Sold would be credited for $9,800.
However, the question asked us to dispose of the balance in the Manufacturing Overhead account which means we have to debit it. Therefore, the journal entry to dispose of the balance in the Manufacturing Overhead account would be:
Dr Manufacturing Overhead $9,800
Cr Cost of Goods Sold $9,800
Total manufacturing overhead = Actual manufacturing overhead - Under-applied overhead= $187,200 + $9,800= $197,000
The Cost of Goods Sold would be credited for the total manufacturing overhead for the year as follows:
Dr Manufacturing Overhead $197,000
Cr Cost of Goods Sold $197,000= $10 per direct labor hour × 19,700 direct labor hours = $197,000.
The difference between the actual manufacturing overhead and the estimated manufacturing overhead is referred to as under-applied or over-applied overhead.
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Operational gearing is of interest not only to managers, but also to investors, since it may affect their investment decisions. While they may have a view on an appropriate level of operational gearing for a company based on their understanding of its business, they cannot confirm that view, since it's not possible to calculate a reliable gearing ratio from published accounts." (Steven, 2006) Required: In no more than 200 words, critically discuss the above statement.
The given statement clearly expresses the interest of operational gearing for both managers and investors, where investors' investment decisions may affect.
A company's operational gearing level is crucial as it is a measure of the company's financial health. It determines a company's operational expenses to total expenses and helps investors and managers understand the company's leverage.
The operational gearing depends upon various factors, such as a company's size, business, its industry, assets, and liabilities. Though the investors may have their perspective on a company's operational gearing level, it is difficult to rely on the published accounts to confirm their views. This is because there is no specific calculation to determine the operational gearing ratio, which makes the assessment of the same more difficult.
However, operational gearing may have a significant impact on a company's profitability and risk-taking ability, which in turn, may affect the investors' investment decisions. High operational gearing in companies can lead to significant changes in the bottom-line profit as a small change in the sales may affect the earnings significantly. Therefore, investors are keen to understand the operational gearing levels to make the right investment decisions and keep a check on the company's financial health.
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.4. An employee who files as Single, is paid weekly, has one job, completed current Form W-4, and has adjusted wages of $1,100 has $_______ in federal income tax withholding when using the percentage method.
5. During a recent week, Maya Schneiderman works 46 regular hours. She earns $10.20/hour plus an overtime rate of 1.5 times her regular wage rate, and she contributes 4% of her gross pay to a 401(k) plan. Maya's taxable pay for federal income tax withholding is $______ .
4. For an employee who files as Single, is paid weekly, has one job, completed the current Form W-4, and has adjusted wages of $1,100, the federal income tax withholding using the percentage method would be $35.
Explanation: The federal income tax withholding using the percentage method is calculated based on the employee's adjusted wages and the withholding tables provided by the IRS. For an employee with adjusted wages of $1,100, the corresponding federal income tax withholding amount using the percentage method is $35.
5. Maya Schneiderman's taxable pay for federal income tax withholding is $510.24.
Explanation: To calculate Maya's taxable pay for federal income tax withholding, we need to subtract her contributions to the 401(k) plan from her gross pay. Maya works 46 regular hours, so her gross pay for regular hours is calculated as $10.20/hour * 46 hours = $469.20. Her overtime pay is calculated as $10.20/hour * 1.5 * (46 - 40) hours = $30.60. Therefore, her total gross pay is $469.20 + $30.60 = $499.80. After deducting her 4% contribution to the 401(k) plan from her gross pay, we get $499.80 - ($499.80 * 0.04) = $510.24, which is her taxable pay for federal income tax withholding.
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Imagine that the flat-screen TV market is made up of one large firm that leads the industry and sets its own price first, and another firm that follows the leader when deciding its own profit-maximizing strategy. The leader has a cost function of c₁(q) = 5q1, and the 97 follower has a cost function of CF(qF) = , where Q = q£ + qf. Total market demand for flat-screen TVs is given by the function Q = 550.00 - 2p. Calculate the following values: Leading firm's production: q = (Round to two decimals if necessary.) Follower firm's production: q = (Round to two decimals if necessary.) Equilibrium price: p= $ (Round to two decimals if necessary.)
We find that the leader's production quantity is 0, the follower's production quantity is (550 - 2p), and the equilibrium price is indeterminate.
In a leader-follower model, the leader sets the price first, and the follower determines its production quantity based on the leader's price. We need to find the equilibrium quantity and price in this market.
The leader's cost function is given as c₁(q₁) = 5q₁, where q₁ represents the leader's production quantity. The follower's cost function is not provided in the question, so we cannot calculate the follower's cost directly. However, we can determine the follower's production quantity based on the leader's price.
The total market demand function is given as Q = 550 - 2p, where Q represents the total quantity demanded in the market and p represents the price.
To find the equilibrium quantity, we set the leader's production quantity and the follower's production quantity equal to the total market demand:
q₁ + qF = Q
Substituting the cost function for the leader, we have:
5q₁ + qF = Q
Substituting the demand function for Q, we get:
5q₁ + qF = 550 - 2p
Since the follower is a profit-maximizer, its production quantity will be determined based on the leader's price. The follower's production quantity can be calculated as:
qF = (Q - 5q₁) / 1
Substituting the demand function for Q and the leader's cost function for q₁, we have:
qF = (550 - 2p - 5q₁) / 1
To find the equilibrium price, we substitute the follower's production quantity into the total market demand function:
Q = q₁ + qF
550 - 2p = q₁ + (550 - 2p - 5q₁) / 1
Simplifying the equation, we can solve for p:
550 - 2p = q₁ + 550 - 2p - 5q₁
0 = -4q₁
This equation tells us that the leader's production quantity, q₁, is zero. Substituting q₁ = 0 into the follower's production quantity equation, we get:
qF = (550 - 2p) / 1
To find the equilibrium price, we substitute the leader's and follower's production quantities into the total market demand function:
Q = q₁ + qF
550 - 2p = 0 + (550 - 2p) / 1
Simplifying the equation, we solve for p:
550 - 2p = 550 - 2p
0 = 0
Since the equation has no solution, it implies that the equilibrium price can be any value. Therefore, the equilibrium price is indeterminate.
Based on the given information and calculations, we conclude that the leader's production quantity is 0, the follower's production quantity is (550 - 2p), and the equilibrium price is indeterminate.
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Branch of economics concerned with individual units such as industries, firms and households a. Microeconomics b. Macroeconomics c. Normative Economics d. International Economics e. Positive Economics
The branch of economics concerned with individual units such as industries, firms and households is Microeconomics is Microeconomics
Microeconomics is the branch of economics that focuses on the study of economic agents such as households, firms, and individuals and their interactions in decision-making. The economic agents are observed to have constraints and make decisions with the primary goal of maximizing their utility or profits in the market. The branch of economics concerned with individual units such as industries, firms and households is Microeconomics. Explanation:
Microeconomics is concerned with how people use their resources in a market and how prices are determined in individual markets. It involves analyzing market behaviors and predicting how individuals and firms respond to different situations. It is concerned with supply and demand in markets for goods and services, how firms and households respond to incentives, and how they interact in the market.
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Transformational leadership styles and practices are used across industries, around the world. Like any other leadership style, transformational leadership also has its unique characteristics, pros, and cons.
Respond to the following in a minimum of 175 words:
Is transformational leadership beneficial in all kinds of organizations and industries? If so, why? If not, share examples of organizations or companies that you believe are incompatible with transformational leadership principles.
Does transformational leadership contribute to employee performance? Discuss whether the productivity or validity of transformational leadership is consistent or depends on followers with varied personality characteristics.
Transformational leadership can be beneficial in a wide range of organizations and industries, but its effectiveness may vary depending on the specific context and goals of the organization.
One of the key advantages of transformational leadership is its ability to inspire and motivate employees to reach their full potential. This leadership style encourages innovation, creativity, and a strong sense of purpose among employees, which can be valuable in industries that require constant adaptation and change. It fosters a positive work environment and can enhance employee engagement, satisfaction, and commitment to the organization.
However, there are certain types of organizations or industries where the principles of transformational leadership may be less compatible. For example, in highly structured and hierarchical organizations, such as military or bureaucratic institutions, transformational leadership may face challenges in implementing its collaborative and empowering approach. In these settings, where strict adherence to rules and protocols is crucial, a more directive or autocratic leadership style may be more appropriate.
The impact of transformational leadership on employee performance can be significant, but it is influenced by various factors, including follower characteristics. Some studies suggest that individuals with certain personality traits, such as high self-esteem, internal locus of control, and a desire for personal growth, may respond more positively to transformational leadership. However, it is important to note that transformational leadership can still have a positive impact on a broader range of employees by fostering a supportive and motivating work environment.
Overall, while transformational leadership can be beneficial in many organizations and industries, its effectiveness may depend on the specific organizational context and the characteristics of the followers. It is important for leaders to adapt their leadership style to the needs and dynamics of the organization to maximize its impact on employee performance and organizational outcomes.
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How did Big Band Era Music build on or react against music that was popular in earlier eras?
How did the society or culture of the era influence Big Band Era Music?
What is one characteristic of Big Band Era Music
What is a second characteristic of Big Band Era Music?
What is a third characteristic of Big Band Era Music?
1. Big Band Era Music built on and reacted against music that was popular in earlier eras by incorporating elements of jazz, swing, and improvisation while also maintaining a focus on orchestration and arrangement.
2. The society and culture of the era influenced Big Band Era Music by providing a platform for large-scale live performances, dance halls, and a desire for entertainment during a time of economic recovery and social change.
3. One characteristic of Big Band Era Music is its emphasis on a large ensemble of musicians, typically consisting of brass, woodwinds, and rhythm sections, creating a rich and vibrant sound.
4. A second characteristic of Big Band Era Music is its use of improvisation, allowing soloists to showcase their skills and add individual expression within the structure of the ensemble arrangements.
5. A third characteristic of Big Band Era Music is its danceability, as the music was often composed and performed with the intention of accompanying popular social dances such as the Lindy Hop and the Jitterbug.
The Big Band Era, which spanned from the 1930s to the early 1940s, represented a significant development in popular music. It built upon the foundations of earlier jazz and swing styles while introducing larger ensembles, intricate arrangements, and a focus on entertainment and dance. The society and culture of the era, characterized by the Great Depression and a desire for escapism, played a crucial role in shaping Big Band Era Music. The availability of large venues, the popularity of social dances, and the economic recovery of the time provided a suitable environment for the rise of big bands and their music.
Big Band Era Music is characterized by its use of large ensembles with brass, woodwind, and rhythm sections, creating a powerful and energetic sound. The music also incorporated elements of improvisation, allowing individual musicians to showcase their skills and add their unique expression to the performances. Additionally, Big Band Era Music was highly danceable, serving as a backdrop for popular social dances of the time.
Big Band Era Music both built on and reacted against earlier music styles, reflecting the societal and cultural influences of the era. Its characteristics of large ensembles, improvisation, and danceability contributed to its popularity and lasting impact on the development of popular music.
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According to Henri Fayol, productivity and efficiency are increased when
Multiple Choice
a. managers utilize a team approach and share their command of employees.
b. managers retain sole authority to make and communicate decisions themselves.
c. workers are encouraged to switch to roles that develop their own interests.
d. workers specialize and become proficient in their assigned tasks.
According to Henri Fayol, productivity and efficiency are increased when workers specialize and become proficient in their assigned tasks.
Henri Fayol was a French mining engineer, mining executive, author and director of mines who developed a general theory of business administration that is often called Fayolism.
Henri Fayol emphasized the concept of division of labor and specialization in order to increase productivity and efficiency. He believed that when workers focus on specific tasks and become skilled and proficient in their assigned roles, it leads to higher productivity. Specialization allows workers to develop expertise, improve their efficiency, and perform their tasks more effectively. This division of labor also facilitates coordination and cooperation among workers, leading to increased overall organizational productivity.
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Suppose that the production function for output in an economy is given by = 1/2. √. √KK
The number of workers, N, is constant. The saving rate is s, and the depreciation rate of physical capital is δ.
Write down the equation showing the evolution of the physical capital stock over time. Explain in words. (4 marks)
b) Derive the steady state levels of capital per worker and output per worker in terms of the saving rate (s) and the depreciation rate (δ). (6 marks)
c) Show these steady state values in a well-labelled diagram of the Solow-Swan growth model.
(5 marks)
d) Suppose that δ = 10% (=0.10). Calculate the steady-state level of consumption per worker (C/N) as a function of the saving rate. Show this relationship between C/N and s in a diagram. (5 marks)
e) At what value of s would C/N be maximized? (2 marks)
f) If s = 0.4 compute the steady state level of Y/N, K/N and C/N. (4 marks)
g) If the government wants to increase the economic growth rate, should it be aiming to increase
or decrease the saving rate? (2 mark)
h) If the government cares about the standard of living, should it be aiming to increase, decrease or leave unchanged the saving rate? (2 mark)
a) The equation showing the evolution of the physical capital stock over time is: ∆K = sY - δK. This equation represents the change in the capital stock (∆K) over time. It is determined by the saving rate (s), which represents the proportion of output saved and invested, and the depreciation rate (δ), which represents the rate at which capital stock depreciates. The equation states that the change in capital stock is equal to the investment (sY), which is the portion of output saved and invested, minus the depreciation (δK), which represents the capital stock that is lost due to wear and tear.
b) In the steady state, the capital per worker (K/N) and output per worker (Y/N) are constant. To derive their steady state levels, we set ∆K = 0, which means that investment equals depreciation. In this case, sY = δK. By substituting the production function Y = √(K)√(K) and rearranging the equation, we get K/N = (s/δ)^2 and Y/N = (s/δ).
c) In the Solow-Swan growth model diagram, the horizontal axis represents capital per worker (K/N), and the vertical axis represents output per worker (Y/N). The steady state values can be plotted as a point where the investment line (sY) intersects with the depreciation line (δK). This point represents the equilibrium level of capital per worker and output per worker.
d) If δ = 10% (0.10), the steady-state level of consumption per worker (C/N) as a function of the saving rate (s) can be calculated as C/N = (1 - s)Y/N. In the diagram, we can plot C/N on the vertical axis and s on the horizontal axis. As s increases, C/N decreases linearly. This relationship shows that higher saving rates result in higher investment, leading to increased capital accumulation and higher output per worker, but at the cost of lower consumption per worker.
e) The maximum value of C/N occurs when saving rate (s) is 1/3 or 33.33%. At this point, the economy strikes a balance between investment and consumption, maximizing the steady-state level of consumption per worker.
f) If s = 0.4, the steady state level of Y/N, K/N, and C/N can be calculated. Substituting s = 0.4 into the steady-state equations, we find K/N = (0.4/0.1)^2 = 16, Y/N = 0.4/0.1 = 4, and C/N = (1 - 0.4) * 4 = 2.4.
g) To increase the economic growth rate, the government should aim to increase the saving rate (s). A higher saving rate leads to more investment, which increases capital accumulation and contributes to economic growth.
h) If the government cares about the standard of living, it should aim to increase the saving rate. A higher saving rate allows for more investment, leading to increased capital accumulation, productivity, and ultimately a higher standard of living for the population.
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Discuss the importance of safety in the South African maritime industry and the number of incidents concerning safety at sea.
Safety is of utmost importance in the South African maritime industry due to the significant number of incidents concerning safety at sea.
The South African maritime industry plays a vital role in the country's economy, with a range of activities such as shipping, fishing, and offshore oil and gas exploration. Safety is crucial in this industry to protect the lives of seafarers, ensure the protection of the marine environment, and safeguard valuable maritime assets. Unfortunately, South Africa has experienced a number of incidents highlighting the importance of safety at sea. For instance, there have been instances of ship collisions, groundings, and oil spills, resulting in environmental damage and loss of lives. These incidents have raised concerns about the effectiveness of safety measures and the need for stricter regulations and enforcement.
To address these issues, the South African government and maritime industry stakeholders have implemented various measures to enhance safety. This includes developing and enforcing stringent safety regulations, conducting regular inspections and audits of vessels, providing comprehensive training and certification for seafarers, and promoting a safety culture within the industry. Additionally, collaborations with international organizations and neighboring countries have been established to enhance maritime safety through information sharing, joint exercises, and coordinated responses to incidents. Improving safety in the South African maritime industry not only protects human lives and the environment but also contributes to the sustainable growth and development of the industry.
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Match each audience type to the most appropriate use, example, or definition. people who visit specific or similar websites or apps use cookies to show search ads to people who have previously visited your website 1. remarketing lists 2. in-market audiences can be used to target people who have shown high purchase intent signals 3. affinity audiences 4. detailed demographics people who show search. and browsing behaviours like your customers' 5. similar audiences 6. custom (intent & affinity) photography geeks, for D 0 0 people who have previously visited your website can be used to target people who have shown high purchase intent signals people who show search and browsing behaviours like your customers' photography geeks, for example Canadian moms, for example 1. remarketing lists 2. in-market audiences. 3. affinity audiences 4. detailed demographics 5. similar audiences 6. custom (intent & affinity)
Answer:
Explanation:
Remarketing lists: people who have previously visited your website can be used to target people who have shown high purchase intent signals.
In-market audiences: people who have shown high purchase intent signals.
Affinity audiences: photography geeks, for example.
Detailed demographics: Canadian moms, for example.
Similar audiences: people who show search and browsing behaviors like your customers.
Custom (intent & affinity): photography geeks, for example.
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Employees might respond to workplace injustice in one of five ways: quitting, individual voice (such as complaining), collective voice (including forming a union), resistance (including work withdrawal such as absenteeism, reduced work effort, and work avoidance, or perhaps even sabotage), and silence. How might union strategies, managerial strategies, and the external environment shape which response an individual worker chooses? What else might affect whether workplace injustice causes an individual to support a labor union over the other options for dealing with injustice? How are unions and management key participants in the labor relations process? Give an example and cite your sources.
Union strategies, managerial strategies, and the external environment can influence the response an individual worker chooses when facing workplace injustice.
Factors such as the effectiveness of union representation, managerial response to grievances, external support or pressure, and the overall labor relations climate can impact an individual's decision to pursue union involvement. Other factors that may influence an individual's choice include personal values, perceived effectiveness of different strategies, and the level of trust in the organization. Unions and management are key participants in the labor relations process, where they negotiate collective bargaining agreements, represent their respective interests, and collaborate or engage in conflict resolution.
Union strategies can shape an individual worker's response to workplace injustice by offering collective voice and representation. If a worker believes that forming or joining a union will provide better protection against injustice and improve their working conditions, they may choose to pursue unionization as a response. The effectiveness of the union in addressing grievances, advocating for worker rights, and achieving favorable outcomes can influence this decision.
Managerial strategies also play a role in shaping responses to workplace injustice. A responsive and proactive managerial approach that addresses grievances and seeks to resolve conflicts can encourage individuals to voice their concerns internally rather than seeking external avenues like unions. On the other hand, a dismissive or retaliatory management response may push individuals towards more confrontational responses like collective voice or resistance.
The external environment, including legal protections, societal norms, and public opinion, can shape an individual worker's response to workplace injustice. Supportive labor laws, strong union presence, or external pressure from advocacy groups may increase the likelihood of workers choosing collective voice or unionization as a response. Conversely, a hostile external environment may discourage individuals from pursuing these options.
Other factors that may influence an individual's choice include their personal values, perception of the effectiveness of different strategies, and the level of trust in the organization. Factors like job security, career aspirations, and the availability of alternative employment options can also affect the decision-making process.
Unions and management are key participants in the labor relations process, representing the interests of workers and employers respectively. They engage in collective bargaining to negotiate agreements on wages, benefits, working conditions, and dispute resolution mechanisms. For example, the United Auto Workers (UAW) and General Motors (GM) engage in labor relations where the UAW represents the interests of workers, negotiating for better wages and working conditions, while GM represents the management's interests in ensuring productivity and cost control.
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Developing countries have lower resource use and lower energy consumption per capita compared to developed countries. According to the IPAT formula, developing countries should be more environmentally sustainable than developed countries. But, interestingly, some ecologists think that developed countries are more environmentally sustainable. Provide a plausible reason to support these scientists' perspectives. In answering this question, please neglect the impact of population size.
One plausible reason why some ecologists believe that developed countries are more environmentally sustainable than developing countries and technological advancements.
Developed countries tend to have higher levels of technological innovation, infrastructure, and environmental regulations in place. These factors enable them to utilize resources more efficiently and adopt cleaner technologies that reduce environmental impact. They invest in renewable energy sources, implement waste management systems, and develop sustainable practices in industries such as agriculture and manufacturing. As a result, they can achieve higher levels of economic output with less resource consumption and lower emissions.
Additionally, developed countries often have higher levels of public awareness and education regarding environmental issues. This awareness leads to a greater emphasis on sustainable lifestyles, conservation practices, and the adoption of eco-friendly behaviors.
It is important to note that this perspective does not discount the overall impact of developed countries on the environment, but rather highlights the potential for greater sustainability due to their technological advancements and environmental initiatives.
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Boeing Company Ltd traded on the stock exchange. The following information is available. High price for the stock is $80.65 and a low of $54.48. The firm has a P/E ratio of 16.82 and has paid a dividend of $1.68 per stock. At the end of the trading period, stock price closes at $76.28. The latest change in the price of the stock for the next period has a net change of $-0.11.
1.What is the current dividend yield for Boeing Company (BA) based on the stock’s recent closing price? (1 mark)
2. Calculate the EPS for Boeing. (1 mark)
3. Based on the net change, what is the new price for the stock?
The current dividend yield for Boeing Company is 2.2%. The earnings per share (EPS) for Boeing is $4.54 and new price for the stock is $76.17.
The current dividend yield for Boeing Company (BA) based on the stock's recent closing price can be calculated as follows:
Dividend Yield = Dividend per Stock / Closing Price
Dividend Yield = $1.68 / $76.28 = 0.022
Therefore, the current dividend yield for Boeing Company is 0.022 or 2.2%.
The earnings per share (EPS) for Boeing can be calculated using the P/E ratio and the stock price. The formula to calculate EPS is:
EPS = Stock Price / P/E Ratio
EPS = $76.28 / 16.82 = $4.54
Therefore, the EPS for Boeing is $4.54.
Based on the net change of $-0.11, the new price for the stock can be calculated by subtracting the net change from the previous closing price:
New Price = Previous Closing Price + Net Change
New Price = $76.28 + (-$0.11) = $76.17
Therefore, the new price for the stock is $76.17.
The current dividend yield for Boeing Company is 2.2% based on the stock's recent closing price.
The earnings per share (EPS) for Boeing is $4.54.
The new price for the stock, based on the net change, is $76.17.
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At the beginning of the current year, CFAS Company declared a 10% share dividend. The market price of the entity’s 300,000 outstanding shares of P50 par value was P92 per share on that date.
The share dividend was distributed on July 1 when the market price was P100 per share.
What amount should be credited to share premium for the share dividend?
The amount credited to share premium for the share dividend should be P6,000,000.
In this scenario, CFAS Company declared a 10% share dividend on its 300,000 outstanding shares of P50 par value. The market price of the shares at the beginning of the year was P92 per share. To calculate the share premium for the share dividend, we need to determine the difference between the market price on the declaration date and the par value.
The difference in market price is P92 - P50 = P42 per share. Since the company distributed a 10% share dividend, it means that for every 10 shares held, shareholders received an additional share. Therefore, the number of additional shares distributed is 10% of 300,000 shares, which is 30,000 shares.
To calculate the share premium, we multiply the difference in market price by the number of additional shares: P42 × 30,000 = P1,260,000. Hence, the amount credited to share premium for the share dividend is P1,260,000.
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4.(Ricardian Model) In class we worked through the trade example where Home had a comparative advantage in cheese (alc /alw < alc* /alw*). The result was that world price ratio was between the autarky price ratios of the two countries. We showed for the Home country that the opening of trade resulted in the workers' real wage in terms of cheese remaining the same while the real wage in terms of wine increased. (There is no need to use diagrams to answer the questions below.) (a) With the opening of trade what will the nominal wage W* be in the Foreign country? (You will not be able to find a numerical value here.) Briefly explain. (b) What will happen with the opening of trade to the Foreign country's real wage in terms of cheese and wine? Briefly explain.
a) With the opening of trade, it is not possible to determine the nominal wage W* in the Foreign country.
The reason behind this is that it is a relative price that will change with the opening of trade. Additionally, the Ricardian model makes the assumption that there is one factor of production which is labor that is mobile between the production of wine and cheese. This means that the factor price of labor would be the same in both industries. b) With the opening of trade, the real wage in terms of wine for the workers of the Foreign country will remain the same while the real wage in terms of cheese will decrease. The decrease in the real wage in terms of cheese is due to the production of more cheese by the Home country that will lower the price of cheese in the world market.
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You have just fulfilled your lifelong dream of opening an ice-cream shop and will be hiring six part-time employees for the upcoming summer season. How might you use Herzberg's theory to motivate your hires? In your response, be sure to first explain the difference between motivating and hygiene factors. Then, apply the theory to your new role as ice-cream shop owner and explain several things you could do to increase/maintain employee motivation.
Herzberg's Two-Factor Theory distinguishes between motivating factors and hygiene factors in employee motivation. Motivating factors are intrinsic to the job and relate to the work itself, such as achievement, recognition, responsibility, growth, and advancement.
These factors contribute to job satisfaction and intrinsic motivation. On the other hand, hygiene factors are extrinsic to the job and include elements such as salary, working conditions, company policies, interpersonal relationships, and job security. These factors, when lacking, can lead to dissatisfaction but their presence does not necessarily lead to motivation.
As an ice-cream shop owner, you can apply Herzberg's theory to motivate your hires in the following ways:
1. Recognition and Achievement: Acknowledge and appreciate employees' efforts and successes. Recognize their achievements publicly, perhaps by awarding "Employee of the Month" or hosting small celebrations for milestones.
2. Responsibility and Empowerment: Provide employees with meaningful responsibilities and opportunities to make decisions within their roles. This fosters a sense of ownership and autonomy, increasing motivation.
3. Growth and Development: Offer training programs, workshops, or opportunities for skill enhancement. Encourage employees to learn new skills, take on additional responsibilities, or pursue personal and professional growth.
4. Feedback and Communication: Establish an open and transparent communication channel where employees can express their ideas, concerns, and suggestions. Provide regular feedback on their performance, offering constructive criticism and guidance for improvement.
5. Work Environment: Create a positive and supportive work environment where employees feel valued and respected. Foster teamwork, collaboration, and a sense of camaraderie among employees.
6. Flexibility and Work-Life Balance: Where possible, offer flexible work schedules to accommodate employees' personal needs. Show understanding and support for maintaining a healthy work-life balance.
7. Competitive Compensation and Benefits: Ensure that employees receive fair and competitive wages, considering industry standards and local market conditions. Additionally, provide attractive benefits such as employee discounts, performance-based incentives, or opportunities for profit sharing.
By addressing both the hygiene factors (ensuring fair compensation, providing a conducive work environment) and the motivating factors (recognition, growth opportunities), you can create a motivational environment that fosters job satisfaction and commitment among your part-time employees in the ice-cream shop.
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Central States Telecom, a communication service provider in lowa, Nebraska, the Dakotas, and Montana had the following transactions related to its intangibles during the year: (Click the icon to view the transactions.) - X Requirements 1. Journalize the entries to record Central States Telecom's transactions during the year. 2. What special asset does Central States Telecom's acquisition of Sheldon Wireless identify? How should Central States Telecom account for this asset after acquiring Sheldon Wireless? Explain in detail. rd debits first, then credits. Select the explanation on the last line of note payable. Sheldon's book value of assets was $1,300,000. Shel edit Print Done Х More info Feb. 13 Apr. 1 States Telecom purchased Sheldon Wireless Enterprises cash plus a $960,000 note payable. Sheldon's book value of assets was $1,300,000. Sheldon's market value of assets and liabilities was $2,100,000 and $560,000, respectively. Paid $550,000 to acquire a patent. Central States believes the patent's useful life will be 10 years. Paid $980,000 for the trademark, "Faster than Fast," with a useful life of 20 years. Recorded amortization expense (separately) for the patent and trademark. Oct. 1 Dec. 31 O Print Done Requirement 1. Journalize the entries to record Central States Telecom's transactions during the year. (Record debits first, then credits. Select the explanation on the last line of the journal entry table.) Feb. 13: Central States Telecom purchased Sheldon Wireless Enterprises for $640,000 cash plus a $960,000 note payable. Sheldon's book value of assets was $1,300,000. Sheldon's market value of assets and liabilities was $2,100,000 and $560,000, respectively. Date Accounts and Explanation Debit Credit Feb. 13 Apr. 1: Paid $550,000 to acquire a patent. Central States believes the patent's useful life will be 10 years. Date Accounts and Explanation Debit Credit Apr. 1 Oct. 1: Paid $980,000 for the trademark, "Faster than Fast," with a useful life of 20 years. Date Accounts and Explanation Debit Credit Oct. 1 Dec. 31: Recorded amortization expense (separately) for the patent and trademark. Start by recording amortization expense for the patent. You will be asked record the amortization expense for the trademark in the next step. (Do not round interim calculations. Enter your final answer to the nearest whole dollar.) Date Accounts and Explanation Debit Credit Dec. 31 Record the amortization expense for the trademark. (Do not round interim calculations. Enter your final answer to the nearest whole dollar.) Date Accounts and Explanation Debit Credit Dec. 31 Requirement 2. What special asset does Central States Telecom's acquisition of Sheldon Wireless identify? How should Central States Telecom account for this asset after acquiring Sheldon Wireless? Explain in detail. What special asset does Central States Telecom's acquisition of Sheldon Wireless identify? The acquisition identifies the asset How should Central States Telecom account for this asset after acquiring Sheldon Wireless? Explain in detail. Central States Telecom should measure the of this asset each year. If this asset has increased in value, Central States should V. If the value of the asset has decreased, Central States should
Requirement 1: Journalize the entries to record Central States Telecom's transactions during the year.
The special asset that Central States Telecom's acquisition of Sheldon Wireless identifies is "Goodwill." Goodwill represents the excess amount paid for a business over its fair market value of net identifiable assets. In this case, Central States Telecom paid $560,000 more than the fair market value of Sheldon Wireless' assets and liabilities.
After acquiring Sheldon Wireless, Central States Telecom should account for Goodwill as an intangible asset on its balance sheet. Goodwill is not amortized but is subject to an annual impairment test. Impairment testing involves comparing the fair value of the reporting unit (which includes Goodwill) with its carrying amount. If the carrying amount exceeds the fair value, an impairment loss should be recognized.
Annually, Central States Telecom should assess if there are any indications of impairment for the Goodwill. If there are indications of impairment, a detailed impairment test should be performed. If the carrying amount of Goodwill exceeds its fair value, an impairment loss should be recognized on the income statement.
It's important to note that Goodwill is not amortized but is tested for impairment annually. The impairment test ensures that the value of the asset is accurately represented on the company's financial statements.
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Assume the government of Australia spent AUD50 billion on allowances given to Job Keeper beneficiaries. Assume that despite the family financial stress, 15% of the Job Keeper Allowances was the total beneficiary savings. Further, assume all other factors remain constant. Calculate the total effect of the Australian government Job Keeper Allowance spending on aggregate demand for the economy.
The total effect of the Australian government's Job Keeper Allowance spending on aggregate demand for the economy would be AUD42.5 billion (AUD50 billion - 15% of AUD50 billion).
Given that 15% of the Job Keeper Allowances was the total beneficiary savings, the remaining 85% is assumed to be spent, contributing to aggregate demand. Therefore, the total effect on aggregate demand would be AUD42.5 billion (85% of AUD50 billion). This spending injects money into the economy, stimulating consumption and potentially increasing demand for goods and services. By providing financial support to Job Keeper beneficiaries, the government aims to alleviate financial stress and maintain overall economic activity.
The increased spending from the beneficiaries can have a positive multiplier effect, leading to increased production, employment, and overall economic growth. However, it's important to consider other factors, such as the marginal propensity to consume, potential leakages, and the broader economic context, which can influence the actual impact on aggregate demand.
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Alfred Nobel owns a factory that manufactures fireworks. Next door to the Nobel factory, farmer Elmer Fudd owns several acres of farmland. Two days before Farmer Fudd was scheduled to harvest his annual crop of corn, a thunderstorm produced several bolts of lightning that struck Nobel’s factory setting off thousands of firecrackers. The firecrackers set fire to Fudd’s entire corn crop. Fudd said to Nobel that it was not Nobel’s fault, but sued him anyway. What would Farmer Fudd’s best legal theory be in bringing a lawsuit against Alfred Nobel?
In the given scenario, Farmer Fudd owns acres of farmland adjacent to Alfred Nobel’s firework factory. A thunderstorm struck Alfred Nobel’s factory, setting off several firecrackers. These firecrackers set fire to Fudd’s entire corn crop.
Farmer Fudd sued Alfred Nobel, and the question asks what would be his best legal theory.Farmer Fudd's best legal theory would be strict liability. Strict liability imposes liability on a defendant for harm caused by an ultrahazardous activity regardless of the care exercised by the defendant. Ultrahazardous activities are those activities that pose a risk of harm to others that cannot be completely eliminated, even by exercising reasonable care.For example, an ultrahazardous activity is the use of explosive substances in manufacturing operations.
In the given scenario, Alfred Nobel owns a firework factory. Fireworks involve the use of explosive substances. Hence, firework manufacturing is an ultrahazardous activity.Alfred Nobel is strictly liable for the harm caused to Farmer Fudd's corn crop, even if Alfred Nobel used the utmost care to prevent the harm. Therefore, Farmer Fudd’s best legal theory in bringing a lawsuit against Alfred Nobel would be strict liability.
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Case Study Information Business ABC is planning to introduce a new product/service. For that purpose, a design team is assigned to perform the following tasks. 1. To formulate a strategy of the operation function that includes how the business satisfies its stakeholders. 2. To design the new product/service using QFD. 3. To revise the product/service design using FMEA. 4. To forecast the demand for the product/service. 5. To develop an inventory control system for the product/service. 6. To select and analyze the process that can be used for the new product/service. Show how the data is obtained (survey, literature, actual from records), Justify any assumptions used in your analyses. Manufacturing Businesses: 1. Laptop (Assigned to Group 1) 2. Air Conditioner (Assigned to Group 2) 3. Mobile Phone (Assigned to Group 3) Service Businesses: 1. Restaurant (Assigned to Group 4) 2. Health and Fitness Centre (Assigned to Group 5)
The design team obtains data through surveys and analysis of actual records to complete their assigned tasks, ensuring assumptions are justified based on available data and market research findings.
In order to obtain data for the tasks assigned to the design team, a combination of methods can be used, including surveys, literature review, and analysis of actual records. Surveys can be conducted to gather information from potential customers, stakeholders, and industry experts regarding their preferences, needs, and expectations for the new product or service.
The team can also review relevant literature, such as market research reports and industry publications, to gain insights into market trends, competitor offerings, and customer demands. Additionally, analyzing actual records, such as sales data, customer feedback, and performance metrics of existing products or services, can provide valuable information for forecasting demand, developing an inventory control system, and identifying areas for improvement in the new product or service design. Assumptions made during the analyses should be justified based on available data, market research findings, and expert opinions to ensure the accuracy and validity of the design decisions.
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A buyer and seller trade with each other for an infinite number of periods. Both parties have a discount factor of d, where 0 < d < 1. In each period both parties can play trust (T) or to play selfish (S). If both the buyer and seller play T the payoffs are 4 to each player. If both parties play 5 the payoffs are 3 to each player. If one player plays S and the other T. the payoffs are 7 to the player who opted for S and 1 to the party that opted for T. Consider the following trigger strategy. In the first period play T. In any subsequent period, play T if in every previous period the outcome was (T, T), if not play S. What is the minimum d required for this trigger strategy to be subgame perfect equilibrium? O 1/3 O 1/4 O None of the other answers are correct. O 3/4 O2/3
The minimum d required for the trigger strategy to be a subgame perfect equilibrium is 2/3. Correct answer is 2/3.
In repeated games, a player can use strategies to encourage cooperation. A trigger strategy is one such method. Trigger strategies entail beginning with cooperation and only ceasing cooperation if the other player fails to cooperate. This is to avoid the cost of defection in subsequent rounds. A buyer and seller engage in trade with one another for an infinite number of periods in this situation. Both parties have a discount factor of d, where 0 < d < 1. In each period, both parties can play trust (T) or selfishness (S).If both the buyer and seller play T the payoffs are 4 to each player. If both parties play 5 the payoffs are 3 to each player.
If one player plays S and the other T, the payoffs are 7 to the player who opted for S and 1 to the party that opted for T. The minimum d required for the trigger strategy to be a subgame perfect equilibrium is 2/3.Trigger strategy is a way for the players to maintain their co-operation. For subgame perfection, it is necessary to follow the strategy even though the game is still under way. When one of the players is identified to be acting selfishly, the game ends. If both players are aware of the other's strategy, then a trigger strategy would be a good way to maintain cooperation. This is called subgame perfection in the game theory.
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4. When a liquidity deficit arises, the financial firm can borrow funds from: A. Issuing eurocurrency deposits. B. Federal funds borrowings. C. Borrowing reserves from central bank. D. B and c E. A an
When a liquidity deficit arises, the financial firm can borrow funds from option D: "Borrowing reserves from central bank" and "Federal funds borrowings."
Borrowing funds through eurocurrency deposits (option A) is not typically a direct option for financial firms to address liquidity deficits.
Eurocurrency deposits refer to foreign currency deposits held in banks outside the jurisdiction of the currency in which the bank is based.
While financial institutions may utilize eurocurrency deposits for various purposes, including funding activities, it is not a common method for addressing liquidity deficits directly.
On the other hand, both options B and C are suitable solutions for addressing liquidity deficits.
Federal funds borrowings (option B) involve banks borrowing funds from each other on an overnight basis to meet their reserve requirements or liquidity needs.
These transactions are typically facilitated through the federal funds market in the United States.
Banks with excess reserves lend to banks with deficits, and interest rates in this market, known as the federal funds rate, fluctuate based on supply and demand dynamics.
Financial firms can access this market to borrow funds when they face a liquidity deficit.
Borrowing reserves from the central bank (option C) is another common option for financial firms to address liquidity shortfalls.
Central banks, such as the Federal Reserve in the United States, act as the lender of last resort and provide liquidity to financial institutions.
Financial firms can borrow funds directly from the central bank by pledging eligible collateral, such as government securities or high-quality assets.
This allows the central bank to inject funds into the banking system and address liquidity deficits.
In conclusion, when a liquidity deficit arises, financial firms can borrow funds from both the federal funds market (option B) and by borrowing reserves from the central bank (option C).
These options provide avenues for accessing additional funds to address short-term liquidity shortfalls.
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A project has estimated annual net cash flows of $67,600. It is estimated to cost $838,240. Determine the cash payback period. Round the answer to one decimal place. years
Cash Payback Period is used to determine how long a company will need to recover the cost of an investment or project. It's a metric that's used to evaluate the time required for a company to recoup its investment in a capital project.
The formula to calculate the cash payback period of an investment is:
Cash payback period = Initial investment / Annual cash inflow
Let's calculate the cash payback period of this investment by using the given formula;
Cash payback period = Initial investment / Annual cash inflow
Initial investment = $838,240
Annual cash inflow = $67,600
Cash payback period = $838,240 / $67,600
Cash payback period = 12.41 years Round the answer to one decimal place.
Cash payback period = 12.4 years
Therefore, it will take approximately 12.4 years for the company to recover the initial investment of $838,240.
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The college is taking a day bus tour so how to plan project including Resources / Staff qualification and schedule by listing key milestones with sufficient detail to demonstrate a well-thought- out plan and how to persuade the customer that the contractor has resources necessary to perform work at best.
To plan a project that includes resources/staff qualification and schedule by listing key milestones with sufficient detail to demonstrate a well-thought-out plan and how to persuade the customer.
What are the steps ?The following steps can be taken:
Step 1: Define the project scope and objective-
The first step to planning a project is to define the project scope and objectives. This will help you to determine what resources and staff qualifications you need for the project. You can then develop a schedule and list key milestones based on the project scope and objectives.Step 2: Identify the resources and staff qualification needed-
Once the scope and objectives are defined, the next step is to identify the resources and staff qualifications needed for the project. In this case, you will need a bus, a driver, a tour guide, and any other support staff that may be required.Step 3: Develop a schedule-
Once you have identified the resources and staff qualifications needed, the next step is to develop a schedule. This will include the date and time of departure, the length of the tour, and the activities that will be included in the tour. It will also include any breaks, meals, or other stops that will be made during the tour.Step 4: List key milestones with sufficient detail-
Once the schedule is developed, the next step is to list key milestones with sufficient detail. This will help you to demonstrate a well-thought-out plan. For example, you may want to list the time of departure, the time of arrival at each stop, and the time of departure from each stop.Step 5: Persuade the customer that the contractor has resources necessary to perform work at best.
Finally, to persuade the customer that the contractor has the necessary resources to perform the work at best, you will need to provide them with evidence. This can include photographs of the bus, a list of the qualifications and experience of the driver and tour guide.testimonials from other customers who have used the contractor's services.To know more on Resources visit:
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You are interested in leasing a car with maximum [payments of $319 a month for 60 months. Payments are due on the first day of each month starting with the day you sign the lease contract. If your cost of money is 4.9 percent, compounded monthly, what is the current value of the lease? Show work and discuss.
The current value of the lease is approximately $23926.33.
Given that the maximum monthly payments for the lease of the car are $319 for a period of 60 months.
Payments are due on the first day of each month starting with the day you sign the lease contract.
The cost of money is 4.9% compounded monthly.
To find the current value of the lease, we need to find the present value of the lease payments.
Here, the cash flows are monthly annuities, and we need to calculate the present value of the annuity. The formula for the present value of an annuity is:
PVA = [PMT x (1 - (1 + r)-n)] / r
Where,
PVA = Present value of the annuity
PMT = Payment per period
n = Total number of periods
r = Interest rate per period
For this question,PMT = $319
n = 60
r = 4.9/12 = 0.4083%
Therefore,
PVA = [$319 x (1 - (1 + 0.4083%)-60)] / 0.4083%
= [$319 x (1 - (1.004083)-60)] / 0.004083%
= [$319 x (1 - 0.6940)] / 0.004083%
= [$319 x 0.3060] / 0.004083%
≈ $23926.33
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