Explain how supply shocks (i.e. shocks that affect the natural rate of unemployment and the natural level of output) might weaken the Philips curve relation. Explain how supply shocks combined with prompt monetary policy responses might lead to an apparent Phillips curve flattening. Illustrate using the IS-LMPC graph.

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Answer 1

Supply shocks can weaken the Phillips curve relation by causing shifts in the short-run aggregate supply (SRAS) curve.

Supply shocks, such as changes in input prices, technological advancements, or natural disasters, impact production costs and can result in changes in the natural rate of unemployment and the natural level of output.

When there is a positive supply shock, the SRAS curve shifts to the right, leading to lower inflation and higher output levels. In this case, unemployment decreases and the economy moves to a higher level of output. This shift implies a movement along the Phillips curve, showing a negative relationship between unemployment and inflation. On the other hand, a negative supply shock shifts the SRAS curve to the left, causing higher inflation and lower output. This shift implies a movement along the Phillips curve, indicating a positive relationship between unemployment and inflation.

However, if prompt monetary policy responses are implemented to counteract the effects of supply shocks, it can lead to an apparent flattening of the Phillips curve. When the central bank responds to a negative supply shock by implementing expansionary monetary policy (e.g., lowering interest rates or increasing the money supply), it stimulates aggregate demand and helps mitigate the negative effects on output and employment. This response shifts the IS-LM (investment-saving and liquidity preference-money supply) curve to the right, leading to an increase in output and a decrease in unemployment. As a result, the economy experiences lower inflation and higher output, suggesting a flatter Phillips curve relationship.

In the IS-LMPC graph, the IS curve represents the relationship between output and interest rates, the LM curve represents the relationship between output and the money market, and the Phillips curve represents the relationship between unemployment and inflation. When there is a negative supply shock, the SRAS curve shifts to the left, and the economy moves to a lower level of output and higher inflation. However, with prompt monetary policy responses, the IS-LM curve shifts to the right, allowing the economy to return to a higher level of output and lower inflation, thus creating an apparent flattening of the Phillips curve.

It is important to note that while prompt monetary policy responses may temporarily flatten the Phillips curve, in the long run, supply shocks will ultimately have persistent effects on both inflation and unemployment, and the Phillips curve relationship will regain its original shape.

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Related Questions

Genie is tasked with developing a basic value proposition for use by the sales force at Manitowoc cranes. If using the give-get definition of customer value she will consider: a. how much it costs to make the cranes b. material used to make the cranes c. perceived assessments of the product comparing what is received to what is given d. how quickly cranes can be delivered and how long they last e. just life-cycle management and nothing else QUESTION 2 Implementation of Lasarie's tack will likely require: a. financial interactions with the larger Australian banks b. issue of bonds on the Australian stock exchange c. budgeting, operational planning, and control systems d. meeting with top executives of the larger competing Australian tool makers e. a reverse auction would be a great way to get the ball rolling Lasarie has been tasked with introducing Eaton's line of cutting tools to industry in Australia. She might logically begin with: a. financial appraisal of the Australian bond market so she knows if she can raise money b. asking for a raise to cover the high cost of living in Australia c. an external audit of the competitive environment in the Australian tool industry d. none of the above, it is way too early for any of this e. buying out the smallest Australian tool company so she can enter the market cost effectively Manfred is in charge of developing a new line of off road vehicles for Oshkosh trucks. He reasonably thinks that developing a sustained competitive advantage will require: a. resources that are valuable, rare, inimitable, and non-substitutable b. a SWOT analysis c. a successful initial public offering of company stock d. a resource based view coupled with negative economies of scale e. networking skills that promote future path dependency without being causally ambiguous

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Genie is tasked with developing a basic value proposition for use by the sales force at Manitowoc cranes. If using the give-get definition of customer value she will consider: Perceived assessments of the product comparing what is received to what is given. If Genie uses the give-get definition of customer value, she will consider perceived assessments of the product comparing what is received to what is given. She will consider how well the cranes perform for the amount of money spent on them.

Implementation of Lasarie's tack will likely require: Budgeting, operational planning, and control systems.Lasarie's tactic will likely require budgeting, operational planning, and control systems. This is important to ensure the efficient and effective use of resources and to ensure that the initiative is implemented successfully.Lasarie has been tasked with introducing Eaton's line of cutting tools to industry in Australia.

She might logically begin with:An external audit of the competitive environment in the Australian tool industry.Lasarie might logically begin with an external audit of the competitive environment in the Australian tool industry. This will give her an overview of the market and enable her to identify potential challenges that could hinder the success of her initiative.Manfred is in charge of developing a new line of off-road vehicles for Oshkosh trucks.

He reasonably thinks that developing a sustained competitive advantage will require:Resources that are valuable, rare, inimitable, and non-substitutable.Manfred reasonably thinks that developing a sustained competitive advantage will require resources that are valuable, rare, inimitable, and non-substitutable. Such resources are difficult to imitate, making them a source of sustainable competitive advantage.

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Carver Inc. purchased a building and the land on which the building is situated for a total cost of \( \$ 952,500 \) cash. The land was appraised at \( \$ 175.260 \) and the building at \( \$ 920,115

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The purchase price of the land is $175,260 and the purchase price of the building is $777,240.

Carver Inc. purchased a building and the land on which the building is situated for a total cost of $952,500 cash. The land was appraised at $175,260 and the building at $920,115.

The total cost of the building and land is $952,500. The land was appraised at $175,260 and the building at $920,115. Let's find the purchase price of the land and the building. To find the purchase price of land: Total Cost of Building and Land = Purchase Price of Land + Purchase Price of Building$952,500 = $175,260 + Purchase Price of BuildingPurchase Price of Building = $952,500 - $175,260Purchase Price of Building = $777,240.

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Chilmax Company plans to sell 3,500 pairs of shoes at $60 each in the coming year. Unit variable cost is $21 (includes direct materials, direct labor, variable factory overhead, and variable selling expense). Total fixed cost equals $78,000 (indudes fixed factory overhead and fixed selling and administrative expense). Break-even units equal 2,000. Required: 1. Calculate the margin of safety in terms of the number of units. units 2. Calculate the maroin of safety in terms of sales revenue.

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Chilmax Company's sales and cost information is provided, along with the break-even units. 1. the margin of safety in terms of the number of units is 1,500 units. 2. the margin of safety in terms of sales revenue is $90,000.

1. To calculate the margin of safety in terms of the number of units, we need to determine the difference between the planned sales volume and the break-even units. The margin of safety represents the number of units that the company can sell beyond the break-even point. It is calculated as follows:

Margin of Safety in Units = Planned Sales Volume - Break-Even Units

Margin of Safety in Units = 3,500 - 2,000

Margin of Safety in Units = 1,500 units

Therefore, the margin of safety in terms of the number of units is 1,500 units.

2. To calculate the margin of safety in terms of sales revenue, we need to determine the difference between the planned sales revenue and the break-even sales revenue. The margin of safety represents the sales revenue that the company can generate beyond the break-even point. It is calculated as follows:

Margin of Safety in Sales Revenue = (Planned Sales Volume - Break-Even Units) x Selling Price per Unit

Margin of Safety in Sales Revenue = 1,500 units x $60

Margin of Safety in Sales Revenue = $90,000

Therefore, the margin of safety in terms of sales revenue is $90,000.

These calculations help Chilmax Company assess the cushion it has in terms of units and sales revenue beyond the break-even point. A higher margin of safety indicates a more favorable position for the company, as it can cover its fixed costs and generate additional profit from the sales beyond the break-even level.

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Lisa and Ruby are sisters. Ruby is considering relocating from Melbourne to live in Sydney. On May 1, Ruby offers to sell Lisa her houseboat on the Yarra River in Melbourne for $500,000. They discussed all the relevant terms of the offer. Lisa accepts Ruby’s offer on May 1 and pays her a $10,000 deposit. Ruby makes plans for her move to Sydney and incurs costs and expenses in doing so. However, Lisa later changes her mind and wants her deposit back. Ruby refuses. Advise Lisa whether she has any rights under the law of contract. Please cite relevant cases/legislation in support of your arguments.

Answers

If Lisa wants to back out of the contract and recover her deposit, it will depend on the terms of the contract and any applicable laws.

Generally, if there is no provision in the contract allowing for the return of the deposit in case of a change of mind, Lisa may not have a legal right to the return of the deposit. However, certain circumstances or legal principles could potentially allow Lisa to seek a refund of her deposit. For example: Misrepresentation: If Ruby made false statements or misrepresented material facts about the houseboat during the negotiations, and Lisa relied on those misrepresentations in accepting the offer, Lisa may have grounds to rescind the contract and seek the return of her deposit.

Unconscionable conduct: If Ruby's refusal to refund the deposit would be considered unconscionable, such as if it would cause Lisa undue hardship or if Ruby acted unfairly or oppressively, Lisa may have a claim based on unconscionable conduct.

It is important to consult with a qualified legal professional who can assess the specific details of the case, including the terms of the contract and relevant laws in your jurisdiction, to provide accurate advice.

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Compute the 2022 tax liability and the marginal and average tax rates for the following taxpayers. Chandler, who files as a single taxpayer, has taxable income of $165,600. Tax liability [ ]
Marginal rate [24%]
average rate [ ]%
b. Lazare, who files as head of household, has taxable income of $61, 800.
Tax liability $[ ]
Marginal rate [22]%
Average rate [ ]%

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For Chandler, a single taxpayer with a taxable income of $165,600, the tax liability is $40,374, the marginal tax rate is 24%, and the average tax rate is approximately 24.36%.

For Lazare, filing as head of household with a taxable income of $61,800, the tax liability is $10,470, the marginal tax rate is 22%, and the average tax rate is approximately 16.93%.

To calculate the tax liability for Chandler, a single taxpayer with a taxable income of $165,600, we need to apply the tax rates corresponding to each tax bracket. For 2022, the tax brackets and rates for single taxpayers are as follows: 10% for income up to $9,950, 12% for income between $9,951 and $40,525, 22% for income between $40,526 and $86,375, and so on. By applying the tax rates to the corresponding portions of Chandler's income, we find that his tax liability is $40,374.

The marginal tax rate for Chandler is 24%, which indicates that the next dollar of taxable income he earns will be taxed at this rate. The average tax rate is calculated by dividing the total tax liability ($40,374) by the taxable income ($165,600) and multiplying by 100. This yields an average tax rate of approximately 24.36%.

For Lazare, who files as head of household with a taxable income of $61,800, we follow the same process. Using the tax brackets and rates for head of household filers, we determine that his tax liability is $10,470. The marginal tax rate for Lazare is 22%, indicating that the next dollar of taxable income he earns will be taxed at this rate. The average tax rate is calculated by dividing the total tax liability ($10,470) by the taxable income ($61,800) and multiplying by 100, resulting in an average tax rate of approximately 16.93%.

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Unit 2 Description Assignment.

Technical description of a product.

Descriptions often include definitions first, and then answer the additional questions:

What does it look like?

What are its parts?

What does it do?

How does it work?

How does it happen

Answers

A technical description provides detailed information about a product. It typically starts with definitions and then answers questions about the product's appearance, parts, functions, and operation.To begin, a technical description should accurately depict what the product looks like.

This can include its size, shape, color, and any distinguishing features.

Next, the description should outline the various parts of the product. This involves identifying and explaining the components that make up the product, such as buttons, screens, connectors, or internal mechanisms.

Moving on, the description should cover what the product does. This entails describing its main purpose or function, as well as any additional features or capabilities it may have.

Furthermore, it is important to explain how the product works. This involves providing a step-by-step explanation of the processes or mechanisms that enable the product to perform its intended function. It may include details about power sources, inputs, outputs, or any specific actions required.

Lastly, the description should explain how the product operates or happens. This could involve discussing the various modes, settings, or conditions that affect the product's performance. It may also include information about maintenance, troubleshooting, or any specific requirements for proper operation.

Remember, when writing a technical description, it is crucial to use clear and concise language, focusing on providing accurate information and avoiding unnecessary details.

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You have an opportunity to invest $109,000 now in return for $79,200 in one year and $29,700 in two years. If your cost of capital is 9.3%, what is the NPV of this investment? The NPV will be $ (Round to the nearest cent.)

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To calculate the Net Present Value (NPV) of this investment, we need to discount the future cash flows back to the present value using the given cost of capital of 9.3%.

First, let's determine the present value of each cash flow. We can use the formula:

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

where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of periods.

For the first cash flow of $79,200 in one year:
[tex]PV1 = 79200 / (1 + 0.093)^1[/tex]

For the second cash flow of $29,700 in two years:
[tex]PV2 = 29700 / (1 + 0.093)^2[/tex]

Now, let's calculate the NPV by summing the present values of the cash flows and subtracting the initial investment:

NPV = PV1 + PV2 - 109000

Substituting the values we calculated:
[tex]NPV = (79200 / 1.093) + (29700 / 1.093^2) - 109000[/tex]

Evaluating the expression:
NPV ≈ 72369.29 + 24726.13 - 109000

Simplifying further:
NPV ≈ -11904.58

Therefore, the NPV of this investment is approximately -$11,904.58.

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For each of the following scenarios, A) State the management decision problem. B) State the marketing researcher's problem, and C) Compose 2 Research Questions and Hypotheses.

) Buffalo Wild Wings has noticed decreased customer traffic on Monday-Thursday evenings over the past year.
) Sony is considering changing its PS4 advertising campaign of the past two years

Answers

A new advertising campaign for the PS4, focusing on specific features or highlighting unique gaming experiences, will positively influence consumer attitudes, leading to increased purchase intent.

Scenario 1:

A) Management Decision Problem: Buffalo Wild Wings needs to address the decreased customer traffic on Monday-Thursday evenings and find ways to improve the situation.

B) Marketing Researcher's Problem: The marketing researcher needs to understand the reasons behind the decreased customer traffic.

C) Research Questions and Hypotheses:

Hypothesis: The decreased customer traffic is due to increased competition from other local restaurants offering weekday evening promotions or discounts.

Scenario 2:

A) Management Decision Problem: Sony needs to determine whether changing its PS4 advertising campaign is necessary and if it will have a positive impact on sales and customer perception.

B) Marketing Researcher's Problem: The marketing researcher needs to assess the effectiveness of Sony's current PS4 advertising campaign, evaluate consumer attitudes and preferences.

C) Research Questions and Hypotheses:

Hypothesis: The current PS4 advertising campaign has not effectively resonated with the target audience, leading to lower consumer perception and purchase intent.

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If the government pumps money into the economy then the Aggregate Demand Curve will shift left Aggregate Demand Curve will shaift right Deflation will likely occur None of the above

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If the government pumps money into the economy, the Aggregate Demand (AD) curve will shift right.

This is because an increase in government spending or decrease in taxes leads to higher disposable income for consumers, which in turn increases consumption. This increase in consumption raises the overall level of spending in the economy, shifting the AD curve to the right.


When the AD curve shifts right, it indicates an increase in the total spending in the economy at each price level. This can lead to higher levels of output and employment in the short run, as businesses respond to the increased demand by producing more goods and services. However, if the increase in aggregate demand is excessive, it can also lead to inflationary pressures in the long run.

It is important to note that pumping money into the economy does not directly cause deflation. Deflation is a decrease in the general price level, and it can occur due to factors such as a decrease in aggregate demand or a decrease in the money supply. Therefore, the correct answer to your question is "None of the above" since deflation is not directly caused by the government pumping money into the economy.

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The owner of the school club is faced with student customers and ordinary customers. Assume that the demand curve (qs) of individual students for beer and the demand curve (qa) of ordinary customers are: the number of students' customers is equal to the number of ordinary customers.

qs=18-3P

qa=10-2P

The marginal cost of beer is fixed at $2

Now suppose the club owner charges an extra entrance fee. Thanks to the latest technology, students can only pay admission fees if their student ID cards are displayed at the time of admission. What is the entrance fee and the price of each beer for the club owner?
If club owners are unable to distinguish between students and ordinary customers, how are tickets and each beer priced?
In each of the above cases, compare consumer surpluses with supplier surpluses and total social benefits.
Please answer these three questions. Thank you very much. I'll give you a big thumb.

Answers

To determine the entrance fee and the price of each beer for the club owner, we need to find the equilibrium price and quantity for both student customers and ordinary customers. 1. Equilibrium price and quantity with student ID card system:


Since students can only pay admission fees if their student ID cards are displayed, the demand curve for student customers will shift. The new demand curve for student customers will be:
qs = 18 - 3P + F (where F is the entrance fee) .

The new equilibrium price and quantity can be found by setting the new demand curve equal to the fixed marginal cost of $2:
18 - 3P + F = 2 .

To find the equilibrium price, we need to solve for P:
3P = 16 - F
P = (16 - F) / 3.

2. Unable to distinguish between students and ordinary customers:
If the club owners cannot differentiate between students and ordinary customers, they need to set a single price for both groups
Q = qs + qa
Q = (18 - 3P) + (10 - 2P)
Q = 28 - 5P

Therefore, the entrance fee (F) is $1 and the price of each beer for the club owner is $5.

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The annual return on a stock is normally distributed with a mean of 15% and standard deviation of 20%. With 68% confidence, we should expect its actual return in any par- ticular year to be between which pair of values? (Hint: Look again at page 12 of lecture note 1.)

a. -5% and 35% b. -25% and 55% c. -45% and 75% d. -50% and 80%

Answers

Its actual return in any particular year to be between-5% and 35%. The correct option is a.

According to the empirical rule (also known as the 68-95-99.7 rule), for a normal distribution, approximately 68% of the data falls within one standard deviation of the mean. In this case, the mean return is 15% and the standard deviation is 20%.

To find the range within which we should expect the actual return with 68% confidence, we calculate one standard deviation above and below the mean.

One standard deviation below the mean:

Mean - (1 * Standard Deviation) = 15% - (1 * 20%) = -5%

One standard deviation above the mean:

Mean + (1 * Standard Deviation) = 15% + (1 * 20%) = 35%

Therefore, with 68% confidence, we should expect the actual return to be between -5% and 35%. Thus, the correct answer is a.

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Project management means planning, directing, and controlling resources (people, equipment, material) to meet the technical, cost, and time constraints of a project. t/F
Suppose we schedule shipments to our customers so that we expect each shipment to wait for two days in finished goods inventory (in essence, we add two days to the expected ship date). We do this to protect against system variability and ensure a high on-time delivery service. If we ship approximately 2,150 units each day, how many units do we expect to have in finished goods inventory by allowing this extra time? If the item is valued at $4.10 each, what is the expected value of this inventory?

Answers

True. Project management means planning, directing, and controlling resources (people, equipment, material) to meet the technical, cost, and time constraints of a project

Project management indeed involves planning, directing, and controlling resources to achieve project objectives within specified technical, cost, and time constraints. It encompasses activities such as defining project scope, setting goals, creating schedules, allocating resources, monitoring progress, and managing risks to ensure successful project completion.

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Consider The Following Statement Of Comprehensive Income For The Dartmoor Corporation: The Statement Of Financial

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The Statement of Financial Performance or Comprehensive Income statement is one of the core financial statements used to analyze a company's profitability for a given period.

It reflects the company's financial activities such as revenue and expenses. It begins with the sales revenue generated by the company and then details all of the costs and expenses that were incurred in order to generate that revenue, resulting in the net income or loss for that period. One of the essential aspects of this statement is that it separates revenue and expenses into two categories, namely operating and non-operating. Operating income is derived from a company's primary business activities, while non-operating income comes from secondary sources such as investments and interests.

Non-operating expenses include losses that are incurred on the sale of assets and any interest paid on outstanding debt. These distinctions are critical because they help the reader of the statement understand the nature of the company's income sources and the relationship between income and expenses.The Comprehensive Income statement reflects a company's profitability and performance during a specific period. It provides insights into the company's operating and non-operating revenue and expenses. The statement's main purpose is to provide an overview of the company's profitability and financial performance, making it an essential financial document for investors, creditors, and analysts.

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Cherry Corporation, a calendar year C corporation, is formed and begins business on 2/1/2022. In connection with its formation, Cherry incurs organizational expenditures of $52,100.

Round the per month amount to two decimal places. Round your final answer to the nearest dollar.

Determine Cherry Corporation's deduction for organizational expenditures for the current year.
$fill in the blank 1

Cherry Corporation, a calendar year C corporation, is formed and begins business on 2/1/2022. In connection with its formation, Cherry incurs organizational expenditures of $52,100.

Round the per month amount to two decimal places. Round your final answer to the nearest dollar.

Determine Cherry Corporation's deduction for organizational expenditures for the current year.
$?

Answers

Cherry corporation's deduction for organizational expenditures for the current year is approximately $3,950.

to determine cherry corporation's deduction for organizational expenditures for the current year, we need to consider the rules outlined in the tax code.

organizational expenditures are typically incurred in the process of creating a corporation, such as legal and filing fees. the tax code allows for the deduction of organizational expenditures, but it imposes limitations on the amount that can be deducted in the first year.

according to the tax code, cherry corporation can deduct up to $5,000 of organizational expenditures in the year of formation. however, this deduction is reduced by the amount of organizational expenditures that exceed $50,000.

in this case, cherry corporation has organizational expenditures of $52,100. since this amount exceeds $50,000, we need to calculate the reduced deduction.

reduced deduction = $5,000 - (($52,100 - $50,000) / $10,000) * $5,000

the portion of organizational expenditures that exceeds $50,000 is divided by $10,000, and each $10,000 increment reduces the deduction by $5,000.

reduced deduction = $5,000 - (2100 / 10,000) * $5,000

reduced deduction ≈ $5,000 - $1,050

reduced deduction ≈ $3,950

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What will happen if an insured decides he or she no longer would like to make payments on a traditional whole life policy and ask the carrier to cancel the policy?

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If an insured decides to cancel a traditional whole life insurance policy, they will receive a surrender value which is the cash value of the policy minus any surrender charges.

The surrender value is the amount of money that the insurance company will pay to the policyholder upon cancellation of the policy. However, the surrender value is typically much lower than the death benefit of the policy. The longer the policy has been in force, the higher the surrender value will be. If the policy is surrendered, the insured will no longer have life insurance coverage. Additionally, cancelling the policy may result in tax consequences, particularly if the surrender value is higher than the premiums paid into the policy. It is important to understand the implications of cancelling a policy before making the decision. It is advisable to speak with a financial or insurance professional before making any decisions about cancelling a life insurance policy.

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Assume that farmers purchase (demand) fertilizer as a resource used in the production of various crops (such as corn, soybeans or wheat).

The fertilizer market is comprised of both supply and demand. These market forces obey the Laws of Demand and Supply, and they jointly determine an equilibrium price and quantity for fertilizer.

Assume that farmers are the customers who generate the demand for fertilizer. Also assume that there are fertilizer manufacturers (firms) who provide the supply of fertilizer.

Further assume that farmers’ fertilizer demand is derived from the demand for the crops that they grow. If the demand for the farmers’ final products increase, that market event will also increase fertilizer demand.

Changes in the demand for final crop products (corn, etc.) are non-price determinants of fertilizer demand. NOTE: Please remember that a change in a non-price determinant of fertilizer demand will cause a shift (increase or decrease) of the fertilizer demand curve.

Assume that fertilizer suppliers are profit maximizing firms that react to changes in the regular determinants of supply for any product (such as changes in resource prices, technology, natural production conditions, anticipated future prices, etc.)

Based on the analytical assumptions listed above, here is the real-world fertilizer market scenario in 2021 that requires our attention:

In 2021, the People’s Republic of China (PRC) noticeably increased their purchases of a variety of US crop products. The PRC is a very large customer for US crop commodities. When the PRC increases their demand for US Crop Products, the total demand (domestic plus foreign) for US-grown crops also increases.

In February 2021, a polar vortex sent temperatures tumbling across the United States and power outages were common in the Southern US, especially in Texas and Louisiana. Fertilizer-producing facilities in Louisiana were among the fertilizer manufacturers that saw a prolonged shutdown because of frozen water pipes and no electricity. In addition, Hurricane Ida hit the Gulf Coast region the last few days of August and the first few days of September. Much like the polar vortex in February, the hurricane caused great damage in the area and once again closed for a few weeks the facilities that produce fertilizer.

Use a standard supply and demand analysis to predict the combined effects of these events on the Fertilizer Market in 2021.

What is the direction of change for the US Fertilizer Demand Curve? Why? What is the independent impact of this demand-side event on the equilibrium price and equilibrium quantity of fertilizer?

What is the direction of change for the US Fertilizer Supply Curve? Why? What is the independent impact of this supply-side event on the equilibrium price and equilibrium quantity of fertilizer?

When we account for the effects of the both the US Fertilizer Supply and Demand changes, what are the predicted net effects on the equilibrium price and equilibrium quantity in the US fertilizer market (increase, decrease or indeterminate), and why? Explain your logic completely.

Answers

The direction of change for US Fertilizer Demand Curve will shift to the right. The direction of change for the US Fertilizer Supply Curve will shift to the left. The predicted net effects are unclear.

In the Fertilizer Market, supply and demand work together to create an equilibrium price and quantity for fertilizer. Farmers are the demanders of fertilizer, while fertilizer manufacturers are the suppliers. Demand for fertilizer is derived from the demand for crops that farmers grow. Non-price determinants of fertilizer demand are affected by changes in the demand for final crop products (corn, etc.). A change in non-price determinants of fertilizer demand will cause a shift (increase or decrease) in the fertilizer demand curve.

Direction of change for the US Fertilizer Demand Curve: Due to an increase in purchases of various US crop products by the People’s Republic of China (PRC), the total demand (domestic plus foreign) for US-grown crops has increased. As a result, the demand for fertilizers has also increased. The demand curve for fertilizer in the US will shift to the right because of the increase in the non-price determinant of fertilizer demand.

The independent impact of this demand-side event on the equilibrium price and equilibrium quantity of fertilizer: An increase in demand with no change in supply leads to an increase in equilibrium price and equilibrium quantity. The increased demand for fertilizers caused by the increase in demand for US crop products will result in an increase in the equilibrium price and equilibrium quantity of fertilizer.

Direction of change for the US Fertilizer Supply Curve: The fertilizer-producing facilities in Louisiana were among the fertilizer manufacturers that were shut down for an extended period due to the polar vortex in February 2021. In addition, Hurricane Ida caused significant damage to the Gulf Coast region in late August and early September, closing the facilities that produce fertilizer for several weeks. As a result, the supply of fertilizer in the US has decreased.

The independent impact of this supply-side event on the equilibrium price and equilibrium quantity of fertilizer: When supply decreases and demand remains constant, the equilibrium price will rise, and the equilibrium quantity will decrease. As a result, the decrease in supply of fertilizer caused by the damage caused by the polar vortex in February and Hurricane Ida in August will result in an increase in the equilibrium price and a decrease in the equilibrium quantity of fertilizer.

Predicted net effects on the equilibrium price and equilibrium quantity in the US fertilizer market: When we account for both the US Fertilizer Supply and Demand changes, the equilibrium price will increase, but the equilibrium quantity will be indeterminate. While the increase in demand will lead to an increase in equilibrium price and quantity, the decrease in supply will lead to a decrease in equilibrium quantity. Therefore, the net effect on equilibrium quantity is unclear. However, the equilibrium price will increase due to the combined impact of the increase in demand and decrease in supply of fertilizers.

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Which of the following statements is correct?

A. The short run is a time period of one year or less

B. The time period separating the short run from the long run is at least 3 months

C. The short run is a period of time during which the quantities of all inputs can be varied, but technology is held constant.

D. The long run is a period of time during which the quantities of all factor inputs are fixed.

E. The short run is a period of time during which the quantity of at least one input is fixed and the quantities of the other inputs can be varied.

Answers

The short run is a period of time during which the quantity of at least one input is fixed and the quantities of the other inputs can be varied. Thus, the correct statement among the options is E.

In the short run, a firm is limited in its ability to adjust all inputs. While it can vary the quantities of some inputs, at least one input is fixed. This fixed input is usually considered a factor of production that cannot be easily changed in the short run, such as a fixed capital investment or a long-term contract.

For example, a bakery may be able to vary the amount of flour, sugar, and labor it uses to produce bread in the short run, but it may have a fixed amount of baking equipment or a fixed lease on its premises. Therefore, the quantity of at least one input is fixed, while the quantities of the other inputs can be varied.

In contrast, the long run is a period of time during which the quantities of all factor inputs can be adjusted. This allows firms to make changes to their production processes, such as investing in new technology or expanding their facilities.

Overall, the short run is characterized by fixed inputs and variable inputs, while the long run allows for adjustments in all inputs. So, among the choices, E is the one that is true.

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Which of the following statements is false?

The minimum efficient scale is where average cost is at its minimum.

The marginal cost curve crosses the average total cost curve at its minimum point.

A firm’s long-run average cost is the cost per unit of output.

The short-run variable cost curve matches the shape of the short-run production function.

Answers

The false statement among the following is: The marginal cost curve crosses the average total cost curve at its minimum point.

In economics, marginal cost is the change in the cost of producing an extra unit of a product or service. Average total cost (ATC) is the total cost of producing a unit of a product or service, which includes both fixed and variable costs.The relationship between marginal cost and average total cost can be understood in a variety of ways. One way is to look at the point where the two curves intersect. This point is called the minimum point of the average total cost curve. At this point, the marginal cost curve crosses the average total cost curve.

In a perfectly competitive market, firms seek to produce at the minimum efficient scale, which is the level of output at which the average cost of production is at its minimum. The short-run production function, which depicts how output varies as variable inputs are raised or decreased, is shaped similarly to the short-run variable cost curve. In the long run, all costs are variable, and firms have more flexibility to adjust their production processes and inputs to take advantage of economies of scale and scope.

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Why do projects outsource work? Create a list of at least 3 reasons. Explain and provide an example for each. Ideally for this exercise, you'll be able use your own experience rather than researching

Answers

projects outsource work for cost efficiency, specialized expertise, and increased flexibility. By leveraging external resources, organizations can optimize their operations and focus on core competencies.

Ultimately leading to improved project outcomes.1. Cost Efficiency: Outsourcing work can be a cost-effective option for projects. By outsourcing certain tasks or functions.

Organizations can reduce labor costs, overhead expenses, and infrastructure investments. For example, a software development company may outsource software testing to a specialized testing firm.  

2. Specialized Expertise: Projects often outsource work to leverage the expertise of external partners. Outsourcing allows organizations to tap into specialized skills or knowledge that may not be available internally.  

3. Increased Flexibility: Outsourcing offers projects the flexibility to scale their operations up or down based on their current needs. It allows organizations to quickly adapt to changing market demands or project requirements.

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The field of economics that looks at the economy as a whole and focuses on broad issues such as growth, unemployment, inflation, and trade balance is?

Answers

The field of economics that focuses on broad issues such as growth, unemployment, inflation, and trade balance is known as macroeconomics.

Macroeconomics studies the behavior and performance of an economy as a whole, rather than focusing on individual markets or industries. It examines the aggregate levels of output, income, and employment, and how they are determined and influenced by factors like government policies, monetary systems, and international trade.

Macroeconomists analyze and measure key economic indicators, such as Gross Domestic Product (GDP), which represents the total value of goods and services produced in an economy. They also study inflation, which is the rate at which the general level of prices for goods and services is rising, and unemployment, which refers to the number of people who are actively seeking employment but are unable to find it.

Additionally, macroeconomics examines the trade balance, which refers to the difference between a country's exports and imports. This helps economists understand the international competitiveness of a nation's economy and its impact on overall economic growth.

In summary, macroeconomics is concerned with understanding and analyzing the big picture of an economy, including its overall performance, growth, unemployment, inflation, and trade balance.

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question mode multiple choice question identify a correct statement according to those who believe that regulation of discrimination and other areas of employment relationship is necessary.

Answers

One possible correct statement according to those who believe that regulation of discrimination and other areas of employment relationship is necessary is that regulations help ensure equal opportunities and protect individuals from unfair treatment in the workplace (Option A).

These regulations aim to prevent discrimination based on factors such as race, gender, age, and disability, promoting a more inclusive and diverse workforce. They also establish standards for fair hiring practices, wages, working conditions, and benefits, aiming to create a level playing field for all employees. Thus, option A is the answer.

""

identify a correct statement according to those who believe that regulation of discrimination and other areas of employment relationship is necessary.

a. Regulations help ensure equal opportunities and protect individuals from unfair treatment in the workplace.

b. Regulations create unnecessary bureaucracy and hinder business growth.

c. Regulations should be completely abolished, allowing for a free market approach to employment relationships.

d. Regulations only benefit certain groups while disadvantaging others.

""

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Assume that you have just turned 21, graduated from college, and got a great job. Because of a finance class that you took as an undergraduate, you are now planning for your retirement. You have pulled together the following facts and have made the following assumptions: 1. Your parents are giving you $20,000 as a graduation present to purchase a new car. Instead, you plan to spend $3,000 on a vacation, $12,000 on a used car, and invest the remaining $5,000, starting today (Year 0 ), in your retirement account. 2. In addition to the $5,000 above, you have saved your money over time and already had $12,750 in your retirement account (Year 0 ). 3. You believe that you will be able to add $4,500 each year to your retirement account in each of Years 1 through 35 (the 35 -year span from age 22 through age 56 ). 4. You assume that you will get married in 4 years (Year 4 at age 25) and plan on spending $5,000 from your retirement account on your wedding. 5. You assume that you and your spouse will buy a house in 6 years (Year 6 at age 27) and plan on making a down payment of $28,000 from your retirement account. 6. You would like to retire in 35 years (Year 35 at age 56 ) and assume that you will need to withdraw $65,000 in each of Years 36 through 59 (the 24-year span from age 57 through age 80) from your retirement account. 7. You believe that you can earn a nominal annual rate of return of 8 percent (compounded annually). Given the information above, and assuming that you make no other deposits to your retirement account, determine how much you will have left at Year 59 (age 80 ) after you make your last withdrawal of $65,000. Answer is whole dollars, rounded to the nearest dollar, with no punctuation. For example, if your answer is $150,224.75, enter "150225". - Compounding Formula: FV

Answers

After performing the calculations, you should have the final amount left at Year 59. Make sure to round the answer to the nearest dollar, with no punctuation.

To determine how much you will have left at Year 59 (age 80) after making your last withdrawal of 65,000, you can use the Future Value (FV) formula.

The FV formula calculates the future value of an investment based on the initial investment, annual contributions, interest rate, and time period.

Here's how to calculate the amount:

1. Calculate the future value of the initial investment and the contributions made each year from Year 0 to Year 35:
[tex]FV1 = 5,000 * (1 + 0.08)^35[/tex]

2. Calculate the future value of the retirement account at Year 35 (age 56):
  FV2 = FV1 + 12,750

3. Calculate the future value of the retirement account at Year 59 (age 80):
[tex]FV3 = FV2 * (1 + 0.08)^(59 - 35) - (65,000 * (1 + 0.08)^(59 - 36))[/tex]
4. Subtract the remaining withdrawals from the final value:
  Remaining balance[tex]= FV3 - (65,000 * (1 + 0.08)^(59 - 36))[/tex]

By plugging in the numbers and using a financial calculator or spreadsheet, the calculated amount of the remaining balance at Year 59 will be the answer.

Please note that I'm unable to provide the specific numerical answer as it requires a calculation tool. However, you can follow the steps above to calculate the amount accurately.

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Aguirre Compary Issues 500 Shares Of Its $5 Par Value Common Stock Having A Market Value Of $25 Per Share And 750 Shares

Answers

The Aguirre Company issued 500 shares of its $5 par value common stock having a market value of $25 per share and 750 shares.Excess of Par Value account will be credited for the excess of the market price per share over the par value per share, which is $16,250.

The journal entry for the issuance of the common stock will be as follows :Dr Cash $18,750($25 * 500 shares + $15 * 750 shares)Cr Common Stock ($5 * 500 shares)  $2,500Cr Paid-In Capital in Excess of Par Value...$16,250($25 - $5 = $20 * 500 shares) .

The cash account will be debited for the total amount received, which is $18,750, while the common stock account will be credited for the total par value of the common shares issued, which is $2,500. The Paid-In Capital in Excess of Par Value account will be credited for the excess of the market price per share over the par value per share, which is $16,250.

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Delta Airlines installs 8 self check-in kiosks at the Columbia airport. Passengers arrive to check-in for their flights at a rate of 2 passengers/ minute (CV=1).

On average, customers take 3.5 minutes to check-in using the kiosk, with a standard deviation of 1.5 minutes.

On average, how many passengers are waiting to use a kiosk? (Round to 2 decimal points)

Answers

On average, 1.18 passengers are waiting to use a kiosk Given that,The average arrival rate of passengers to check-in for their flights is 2 passengers/ minute.

The average time it takes a passenger to check-in using the kiosk is 3.5 minutes.The standard deviation of the time it takes a passenger to check-in using the kiosk is 1.5 minutes.Using the M/M/1 queueing model, the average number of passengers waiting to use a kiosk can be calculated as follows:µ = 1 / 3.5 = 0.2857

Therefore, the service rate is µ.λ = 2 passengers/minuteTherefore, the arrival rate is λ.

For the M/M/1 queue,ρ = λ / µ

= 2 / 0.2857

= 7.00Using Little’s Law, L

= λ W,where L

= Average number of customers in the system,λ

= Arrival rate of customers into the system,W

= Average waiting time in the systemTherefore, L

= 7.00 × 2.05

= 14.35Average number of passengers waiting to use a kiosk

= L - λ/µ

= 14.35 - 0.2857

= 14.06 passengersTherefore, on average, 1.18 passengers are waiting to use a kiosk. [Round to 2 decimal points]

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please help with those 5 questions!

1)


2) A modernized economy with skilled human capital and advanced technology still is unable to provide for the unlimited wants and need of its citizens. This is as a result of which of the following economic concepts?

a. opportunity cost

b. specialization

c. comparative advantage

d. scarcity

3)


4)


5)


a. leanderland

b. luxland

c. none of them

d. There is no comparative advantage

Answers

The economic concept that explains why a modernized economy with skilled human capital and advanced technology is still unable to provide for the unlimited wants and needs of its citizens is scarcity.

2) The economic concept that explains why a modernized economy with skilled human capital and advanced technology is still unable to provide for the unlimited wants and needs of its citizens is scarcity.

Scarcity refers to the fundamental problem of limited resources (such as time, labor, natural resources, and capital) relative to unlimited human wants and needs. Regardless of the level of human capital and technological advancement, scarcity persists because resources are finite while desires are infinite. This scarcity necessitates choices, trade-offs, and the need to allocate resources efficiently.

5) Among the options provided, none of them indicate the concept of comparative advantage.

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Compute the present value of the following amounts of money, given an interest rate of 8 % a) 100 kronor received one year from now. b) 150 kronor received five years from now

Answers

The present value is the value that a future sum of money is worth presently. It is important to calculate the present value of cash inflows in order to determine if an investment or project is worthwhile.

When calculating the present value of future cash flows, an interest rate, known as the discount rate, is used to determine the value of the money in present-day terms.To compute the present value of the following amounts of money, given an interest rate of 8%, the present value formula is applied:Present value = Future value ÷ (1 + interest rate) nWhere:n is the number of years until the future value is receiveda) 100 kronor received one year from now.

Present Value = 100 / (1 + 0.08) 1

= 92.59 kronorb) 150 kronor received five years from now.Present Value

= 150 / (1 + 0.08) 5

= 100.93 kronor

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A firm now operates as a C-Corporation. The firm has earnings before taxes of $322,771 per year and pays out all its net earnings as dividends. The firm has a corporate tax rate is 27 percent. The firm has only one owner who faces a personal income tax rate of 27 percent. What is the spendable income for the owner of the C-Corporation? Round your answer to the nearest whole dollar.

Answers

The spendable income for the owner of the C-Corporation is $171,893.

To calculate the spendable income for the owner of the C-Corporation, we need to consider the corporate tax rate and the personal income tax rate.

1. Corporate Tax Calculation:

The firm's earnings before taxes are $322,771 per year. The corporate tax rate is 27 percent. Therefore, the corporate taxes can be calculated as:

Corporate Taxes = Earnings Before Taxes x Corporate Tax Rate

Corporate Taxes = $322,771 x 0.27

Corporate Taxes = $87,228.17

2. Net Earnings Calculation:

Since the firm pays out all its net earnings as dividends, the net earnings after taxes will be:

Net Earnings = Earnings Before Taxes - Corporate Taxes

Net Earnings = $322,771 - $87,228.17

Net Earnings = $235,542.83

3. Personal Income Tax Calculation:

The owner faces a personal income tax rate of 27 percent. Therefore, the personal income taxes can be calculated as:

Personal Income Taxes = Net Earnings x Personal Income Tax Rate

Personal Income Taxes = $235,542.83 x 0.27

Personal Income Taxes = $63,649.91

4. Spendable Income Calculation:

The spendable income for the owner of the C-Corporation is the net earnings after deducting the personal income taxes:

Spendable Income = Net Earnings - Personal Income Taxes

Spendable Income = $235,542.83 - $63,649.91

Spendable Income = $171,892.92

Therefore, the spendable income for the owner of the C-Corporation is $171,893 (rounded to the nearest whole dollar).

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How is a country's economic well being enhanced to free international trade and services?

Answers

Free international trade in goods and services refers to a situation in which countries engage in unrestricted trade with one another, without barriers such as tariffs, quotas, or regulations.

The buying and selling of items and services between businesses in several nations is referred to as international trade. On the global market, commodities such as consumer products, raw materials, food, as well as machinery are all purchased and sold.

A need or desire for commodities or services leads to the exchange of goods, services, and capital across international trade or territories.

The exchange through the trade of products and services amongst different countries is referred to as international trade.

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suppose that the nominal interest rate is 4 percent and the inflation premium is 2 percent. instructions: enter your answers as a whole number. a. what is the real interest rate? percent b. alternatively, assume that the real interest rate is 1 percent and the nominal interest rate is 6 percent. what is the inflation premium?

Answers

a. The real interest rate is 2% when the nominal interest rate is 4% and the inflation premium is 2%.

b. The inflation premium is 5% when the real interest rate is 1% and the nominal interest rate is 6%.

a. To calculate the real interest rate, we need to subtract the inflation premium from the nominal interest rate.

Nominal Interest Rate - Inflation Premium = Real Interest Rate

In this case, the nominal interest rate is 4 percent, and the inflation premium is 2 percent.

4% - 2% = 2%

Therefore, the real interest rate is 2 percent.

The real interest rate represents the return on an investment adjusted for inflation. It indicates the purchasing power gained or lost over the investment period. In this scenario, the real interest rate is 2 percent, meaning that the investment would grow by an inflation-adjusted rate of 2 percent.

b. In this case, we are given the real interest rate and the nominal interest rate and asked to calculate the inflation premium.

Nominal Interest Rate - Inflation Premium = Real Interest Rate

Given that the real interest rate is 1 percent and the nominal interest rate is 6 percent:

6% - Inflation Premium = 1%

To find the inflation premium, we subtract the real interest rate from the nominal interest rate.

6% - 1% = 5%

Therefore, the inflation premium is 5 percent.

The inflation premium represents the portion of the nominal interest rate that compensates for expected inflation. It reflects the additional return required to maintain the purchasing power of the investment.

In this scenario, the inflation premium is 5 percent, indicating that inflation is expected to erode the value of the investment by 5 percent, and the nominal interest rate compensates for this expected loss.

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The longer you wait to resolve the conflict, the worse it gets, the bigger it gets, the more exaggerated it becomes, and the longer it is remembered. Explain the sources of workplace conflicts, from your learning, that is having the strongest impact in this aspect. Discuss the influence of trust in conflict handling and the steps that you may take to manage this situation.

Answers

The sources of workplace conflicts that have the strongest impact in the aspect of "The longer you wait to resolve the conflict, the worse it gets, the bigger it gets, the more exaggerated it becomes, and the longer it is remembered" include lack of effective communication, personality clashes, role conflicts, limited resources, and discrimination.

Lack of effective communication: Communication issues such as misinformation, lack of information, or lack of effective communication skills may lead to misunderstandings, thereby causing conflict.

Personality clashes: Differences in personality traits may lead to a conflict between people or groups of people. For example, different work styles and approaches may not complement each other, leading to a dispute.

Role conflicts: Role ambiguity, role incongruity, and role overload may cause conflict among people in the workplace.

Limited resources: When resources such as time, money, and material resources are limited, it can cause conflict among employees and teams. For example, a team may argue over how to use limited resources to achieve their objectives.

Discrimination: Discrimination on the grounds of gender, race, age, religion, or se-xual orientation can lead to conflict in the workplace.

Influence of trust in conflict handling:

Trust plays an essential role in resolving conflicts in the workplace. Trust is essential because it fosters a sense of safety and security, which can help resolve conflicts. When trust exists between parties involved in a conflict, they are more likely to be open and honest with each other about their feelings and concerns, which can help in finding a resolution to the conflict.

Steps that you may take to manage this situation:

Here are some steps to manage conflict in the workplace effectively:

1. Identify the source of the conflict: Identify the source of the conflict to understand what led to the dispute.

2. Listen to each other: Listen actively to each other's concerns, and try to understand the other person's perspective.

3. Communicate effectively: Communication is crucial when resolving a conflict. Be clear and concise when communicating your needs and feelings.

4. Find a common ground: Look for areas of agreement or common ground that can help you resolve the conflict.

5. Generate solutions: Brainstorm ideas to find a solution to the conflict that satisfies both parties involved.

6. Agree on a solution: Come to an agreement on a solution that addresses the conflict.

7. Follow up: After reaching an agreement, follow up to ensure that the solution is working effectively and that the conflict has been resolved.

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