pts As financial intermediaries, commercial banks pay their expenses and earn a profit by A. paying depositors a higher interest rate than they charge borrowers. B. paying depositors a lower interest rate than they charge borrowers. C. earning interest from their deposits at the Federal Reserve. D. Investing funds from stockholders in the stock and bond markets. E. investing funds from depositors in the stock and bond markets.

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Answer 1

Financial intermediaries, commercial banks pay their expenses and earn a profit by paying depositors a lower interest rate than they charge borrowers. The correct option is B.

This allows them to earn a profit to cover their expenses and make a profit. This is one of the primary ways that banks function as financial intermediaries, by taking deposits from savers and lending those funds out to borrowers at a higher rate.

The difference between the interest paid to depositors and the interest charged to borrowers is known as the net interest margin and is a key component of a bank's profitability.

Neither option C nor D is accurate, as banks do not earn significant interest from deposits at the Federal Reserve or invest stockholder funds in the stock and bond markets.

Option E is partially accurate, as banks may invest some of the funds they hold from depositors in these markets, but this is not the primary way that banks earn a profit.

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Related Questions

Universal Screening is capable of screening on the following asset types/classes:
a) Equities
b) Debt Instruments
c) ETFs
d) All of the above

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Universal Screening is capable of screening on all of the above asset types/classes, including equities, debt instruments, and ETFs. The correct answer is d) All of the above.

Universal Screening is a feature in financial analysis software that allows users to screen a wide range of securities based on various fundamental and technical criteria. It is capable of screening on multiple asset types and classes, including equities, debt instruments, and ETFs (Exchange-Traded Funds). Users can set the screening criteria based on the asset type, sector, industry, financial metrics, and other factors.

Therefore, Universal Screening is capable of screening on all the asset types/classes mentioned in the options, namely, equities, debt instruments, and ETFs, and possibly other asset types or classes depending on the specific software or platform.

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when a worker establishes relationships with diverse clients in which both the worker and the clients feel free and are expected to share relevant beliefs and values about key service issues, the worker has established a

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When a worker establishes relationships with diverse clients in which both the worker and the clients feel free and are expected to share relevant beliefs and values about key service issues, the worker has established a culturally responsive relationship.

A culturally responsive relationship is one in which the worker acknowledges and respects the diverse cultural backgrounds, beliefs, and values of their clients, and actively works to create an environment in which these differences are valued and leveraged to promote positive outcomes.

This type of relationship requires the worker to engage in ongoing self-reflection and learning, to recognize their own cultural biases and assumptions, and to actively work to address these biases to ensure that they do not negatively impact the service provided to their clients.

By establishing a culturally responsive relationship with their clients, the worker can create a safe and supportive environment that promotes trust, respect, and open communication. This can help to ensure that the needs of the clients are fully understood and addressed and that they are able to receive services that are tailored to their unique needs and circumstances.

In addition, a culturally responsive relationship can help to promote positive outcomes by empowering clients to take an active role in their own care and by fostering a sense of ownership and engagement in the service process.

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smart cards are less protected from misuse that conventional credit, charge, and debit cards because the smart card information is not encrypted. (True or False)

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The given statement: smart cards are less protected from misuse than conventional credit, charge, and debit cards because the smart card information is not encrypted is FALSE.

Smart cards are designed to store and process data securely. They use a microprocessor to encrypt information, making it difficult for unauthorized individuals to access and use the data.

In contrast, conventional credit, charge, and debit cards typically use magnetic stripes or other less secure technologies to store data, which can be more easily copied or intercepted.

Smart cards also often require a PIN or other authentication method to access the data on the card, adding an extra layer of security. This means that even if a smart card is lost or stolen, it is less likely that the information on the card will be misused.


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assume time warner shares have a market capitalization of $40 billion. the company is expected to pay a dividend of $0.4 per share and each share trades for $40. the growth rate in dividends is expected to be 7% per year. also, time warner has $20 billion of debt that trades with a yield to maturity of 6.0%. if the firm's tax rate is 40%, what is the wacc?

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The WACC is 0.0653 or 6.53 percent when the company is expected to pay a dividend of $0.4 per share and the growth rate in dividends is expected to be 7% per year.

To find the WACC we need to find the cost of equity and cost of debt and then we need to multiply both with the weight of debt and add both values to get WACC

cost of equity = = (next period dividend / by price) + growth rate in dividends.

= ($0.4/ $40) + 0.07

= 0.08

cost of debt =  yield to maturity x (1 - tax rate)

= 0.06 x (1 - 0.4)

=0.036

WACC = weight of debt x cost of debt + weight of equity x cost of equity.

= ($40 x 0.08) / 60 + ($20 x 0.036) / $60

= 0.05333 + 0.012

= 0.0653 or 6.53%

Therefore, the WACC is 0.0653 or 6.53 percent.

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assume a purely competitive constant-cost industry is initially at long-run equilibrium. now suppose that a decrease in consumer demand occurs. after all the long-run adjustments have been completed, the new equilibrium price:

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Assume a purely competitive, increasing-cost industry is in long-run equilibrium. If a decline in demand occurs, firms will leave the industry and price and output will both decline.

In a purely competitive increasing-cost industry, firms operate at the minimum efficient scale, and long-run equilibrium is achieved when price equals minimum average total cost. In this scenario, firms cannot increase production without incurring higher costs.

If a decline in demand occurs in this industry, the quantity demanded of the product decreases, leading to an excess supply of goods. This excess supply will cause prices to decrease, which will force firms to reduce output to the point where the market is once again in equilibrium.

-------The given question is incomplete, the complete question is:

"Assume a purely competitive, increasing-cost industry is in long-run equilibrium. If a decline in demand occurs, firms will?"-------

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The cost management information system is concerned with
a. reporting financial information according to GAAP.
b. providing cost information that is used in planning, control, and decision-making.
c. reporting to external users.
d. providing financial information to investors.

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Providing cost information that will be used in the sectors of planning, control, and cognitive decision making is needed by the cost management information system. Thus the correct Option is B.

Cost management refers to the process of cognitive planning and precise control of costs associated with running a business. This process includes collecting and selecting information and reporting the cost-related queries to form a more effective budget.

Furthermore, Cost management also provides crucial aid in the sectors of monitoring cost and forecast so that the business can run smoothly over the course of time. So from the given explanation we can reach the conclusion that the Cost management system is concerned with only providing cost information that will be used in planning, control, and decision making.

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what variances can be computed using the three data elements of pv, ac, and ev, in the earned value/schedule system?

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Variances can be computed using the three data elements of pv, ac, and ev, in the earned value/schedule system, are Schedule Variance (SV), Cost Variance (CV), Schedule Performance Index (SPI), Cost Performance Index (CPI).

Schedule Variance (SV) measures the difference between the earned value (EV) and the planned value (PV) and represents the schedule performance of the project. The formula for SV is EV - PV.

Cost Variance (CV)  measures the difference between the earned value (EV) and the actual cost (AC) and represents the cost performance of the project. The formula for CV is EV - AC.

Schedule Performance Index (SPI) measures are the schedule efficiency of the project and is calculated by dividing the earned value (EV) by the planned value (PV). The formula for SPI is EV / PV.

Cost Performance Index (CPI ) measure the cost efficiency of the project and is calculated by dividing the earned value (EV) by the actual cost (AC). The formula for CPI is EV / AC.

Overall, these variances and indices help project manager monitor or their projects progress and make adjustments as needed to ensure successful project completion.

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Two (advertising-free) newspapers compete in prices for an infinite number of days. The monopoly profits (per day) in the newspaper market are πM and the discount rate (per day) is δ. If the newspapers compete in prices, they both earn zero profits in the static Nash equilibrium. Finally, if the firms set the same price, they split the market equally and earn the same profits.a. The newspapers would like to collude on the monopoly price. Write down the strategies that the newspapers could follow to achieve this outcome. Find the discount rates for which they are able to sustain the monopoly price using these strategies.On Sundays, the newspapers sell a weekly magazine (that can be bought without buying the newspaper). The monopoly (competitive) profits when selling the magazine are also πM (zero).b. For which discount rates can the monopoly price be sustained only in the market for magazines? (Write down the equation that characterizes the solution.) Compare the solution found in subquestion 1 and comment briefly.c. For which discount rates can the monopoly price be sustained both in the market for newspapers and in the market for magazines? (Write down the equation that characterizes the solution.)

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the monopoly price can be sustained in both markets if the discount rate is between 1/2 and 1.

For which discount rates can the monopoly price be sustained both in the market for newspapers and in the market for magazines?

To collude on the monopoly price, the newspapers could follow a strategy where they set the monopoly price each day, and if any of them deviates, they revert to the static Nash equilibrium price (which gives zero profits) forever. The discount rates for which they can sustain the monopoly price using these strategies can be found using the following inequality:

(πM) / (1 - δ) >= πM + δ(πM) / (1 - δ)
Solving for δ, we get:

δ >= πM / (2πM - πM)
δ >= 1/2

So, the newspapers can sustain the monopoly price if the discount rate is greater than or equal to 1/2.

b. For the market for magazines, the equation that characterizes the solution for the discount rate that can sustain the monopoly price is:

(πM) / (1 - δ) >= πM + δ(0) / (1 - δ)
Solving for δ, we get:

δ >= πM / πM
δ >= 1

So, the monopoly price can only be sustained in the market for magazines if the discount rate is greater than or equal to 1. Comparing this with the solution found in subquestion 1, we can see that it is easier to sustain the monopoly price in the market for newspapers than it is in the market for magazines.

c. For the discount rate that can sustain the monopoly price in both the market for newspapers and the market for magazines, we can combine the equations found in subquestions 1 and 2:

1/2 <= δ <= 1

So, the monopoly price can be sustained in both markets if the discount rate is between 1/2 and 1.

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which of the following is a measure of input capacity? a. car per shift b. available bed per month c. number of pies made per shift d. patients served per month e. revenues per day

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The measure of input capacity refers to the maximum amount of input that a system or process can handle in a given period of time. Out of the options provided, the measure of input capacity would be a. car per shift.

This is because it indicates the maximum number of cars that can be processed or handled during a single shift, which is a measure of the input capacity of the system. The other options do not directly relate to input capacity, as they either refer to output (number of pies made per shift, patients served per month) or revenue generated (revenues per day) rather than the maximum amount of input that can be handled.

Therefore, the correct answer is  a. car per shift.

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Which withdrawal and deposit method do you think you would use most in your own life?

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I would likely use a bank transfer as my most used withdrawal and deposit method in my own life. It's a convenient, secure, and fast way to move money between accounts, and it is widely accepted.

What is bank transfer?

Bank Transfer is a type of electronic funds transfer from one bank account to another. It is the most secure and convenient way to move money from one account to another. With a bank transfer, one can easily move money from one account to another in a matter of minutes, as long as both accounts are in the same bank or in different banks that are connected through the same banking network. It is also possible to transfer money internationally, although this may take a few days to complete. Bank Transfers are usually free or with a minimal fee, depending on the bank and the amount transferred.

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sales finance companies: group of answer choices buy installment loans from consumers. buy installment loans from retailers. sell installment loans to retailers. buy installment loans from banks. sell installment loans to banks.

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Sales finance companies buy installment loans from retailers. Thus, option (B) is correct.

Sales financing firms are specialized financial entities that give credit to customers through retail dealers, allowing dealers to sell and consumers to buy items on an installment plan. In other words, sales financing businesses are entities that often purchase credit instruments at a discount from retail dealers' installment-buying consumers. These establishments are variably called as finance, credit, discount, trust, contract-purchasing, or acceptance organizations.

Although the technique for financing installment sales is not always the same, some generalization is achievable. When a person purchases an item on a payment plan, he is normally obliged to make a down payment, which can be in cash or in the form of a trade-in, and to sign a credit instrument for the remainder plus the financing fee and, in some situations, insurance. This debt is due in equal installments at regular periods of time, generally monthly.

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1) define general overhead (goh)? provide 3 examples. define project overhead? provide 3 examples. (4 points)

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General overhead (GOH) refers to the indirect expenses incurred by a company that cannot be traced back to a specific project or product. Project overhead, on the other hand, refers to the indirect expenses that are specific to a particular project or product.

General overhead expenses are necessary for the company's overall operations and are usually included in the company's budget. Examples of general overhead include rent, utilities, salaries of administrative staff, and office supplies.

Project overhead expenses are usually incurred to support the project team and to ensure the project's success. Examples of project overhead include project management salaries, travel expenses for team members, and software or equipment needed for the project.

In summary, general overhead is indirect expenses that are necessary for the company's overall operations while project overhead is indirect expenses that are specific to a particular project or product.

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A bargain purchase option is defined as the option of purchasing leased property at a price that is equal to the expected fair value of a leased asset.a. Trueb. False

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False, A bargain purchase option is defined as an option to purchase leased property at a price that is significantly lower than the expected fair value of the leased asset.

Bargain purchase is a type of purchase option that benefits the lessee or tenant because it helps the lessee to by the asset at a lower price than the market price. Bargain purchases happen when cash resources are in short supply and demand is high it is known as a liquidity crunch.

Businesses and assets are sold for less than the fair market value during liquidity crunchThe main types of collective bargaining are composite bargaining, concessionary bargaining,  integrative bargaining, productivity bargaining, and distributive bargaining.

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The following table contains prices and quantities for the three goods produced in the country of Linfieldia. Year Price of a Notebook Quantity of Notebooks Price of a Thesis Quantity of Theses Price of a Doughnut Quantity of Doughnuts2014 $2.00 80 $830 6 $0.50 4002015 $2.50 75 $780 8 $1.00 4002016 $3.00 90 $1,500 3 $1.00 350 Assuming that 2015 is the base year, what is the GDP deflator for 2016?A. 87 B. 176 C. 116 D. 149

Answers

The GDP deflator for 2016 is approximately 176, which means that the overall price level has increased by 76% since the base year of 2015. Here option B is the correct answer.

To calculate the GDP deflator for 2016, we need to use the formula:

GDP deflator = (Nominal GDP / Real GDP) × 100

Where Nominal GDP is the GDP calculated using current prices, and Real GDP is the GDP calculated using base-year prices.

First, we need to calculate the nominal GDP for 2016:

Nominal GDP = (Price of Notebooks × Quantity of Notebooks) + (Price of Theses × Quantity of Theses) + (Price of Doughnuts × Quantity of Doughnuts)

Nominal GDP = ($3.00 × 90) + ($1,500 × 3) + ($1.00 × 350)

Nominal GDP = $270 + $4,500 + $350

Nominal GDP = $5,120

Next, we need to calculate the real GDP for 2016 using 2015 as the base year:

Real GDP = (Price of Notebooks in 2015 × Quantity of Notebooks in 2016) + (Price of Theses in 2015 × Quantity of Theses in 2016) + (Price of Doughnuts in 2015 × Quantity of Doughnuts in 2016)

Real GDP = ($2.50 × 90) + ($780 × 3) + ($1.00 × 350)

Real GDP = $225 + $2,340 + $350

Real GDP = $2,915

Now we can calculate the GDP deflator:

GDP deflator = (Nominal GDP / Real GDP) × 100

GDP deflator = ($5,120 / $2,915) × 100

GDP deflator = 175.61

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Click on four websites that are generally a credible source of accurate information, then click Done. HOT The worst cerce fupercomputer UB USS Nimed Wester prompt www SA CIP Supercoming A.. IWAPO TORRENT Dan percopter CAN EINS OG WC.... பயபபாய்யாப் பாலம் பல GAN ma OUR

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Four websites that are generally credible sources of accurate information is G.Scholar, National Institutes of Health, The World Bank, Encyclopedia Britannica.

Here are four websites that you can rely on:

1. G.Scholar - Offers a vast index of scholarly literature across various disciplines, including articles, theses, and conference papers from academic publishers, universities, and professional societies.

2. National Institutes of Health (www.nih.gov) - Provides reliable health information, research findings, and updates on medical advancements from a U.S. government agency focused on biomedical research.

3. The World Bank (www.worldbank.org) - Offers data, research, and analysis on global development, economics, and poverty, sourced from an international financial institution dedicated to reducing poverty and promoting shared prosperity.

4. Encyclopedia Britannica (www.britannica.com) - A highly respected general knowledge encyclopedia, containing comprehensive and well-researched articles on various subjects, written by experts in their respective fields.

Remember to always verify the credibility of any source before using it for research or informational purposes.

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fred contracts to sell a certain tract of land to mary for $20,000, but the contract is silent as to the time of delivery of the deed and payment of the price. in this case:

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In the case where Fred contracts to sell a certain tract of land to Mary for $20,000, but the contract is silent as to the time of delivery of the deed and payment of the price, the following would apply:

Your answer: When a contract for the sale of land does not specify the time of delivery of the deed and payment of the price, the general rule is that delivery and payment should occur within a reasonable time.

What is considered "reasonable" depends on the specific circumstances surrounding the transaction, such as any customary practices in the industry or jurisdiction. Both parties should communicate and agree upon a reasonable time frame to complete the transaction to avoid potential disputes.

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P8-2 Analyzing the Effects of Repairs, an Addition, and Depreciation LO8-2, 8-3[The following information applies to the questions displayed below.]A recent annual report for Commonwealth Delivery included the following note:Property and EquipmentExpenditures for major additions, improvements, flight equipment modifications are capitalized when such costs are determined to extend the useful life of the asset or are part of the cost of acquiring the asset. Expenditures for equipment overhaul costs of engines or airframes prior to their operational use are capitalized as part of the cost of such assets as they are costs required to ready the asset for its intended use. Maintenance and repairs are charged to expense as incurred . . .Assume that Commonwealth Delivery made extensive repairs on an existing building and added a new wing. The building is a garage and repair facility for delivery trucks that serve the Denver area. The existing building originally cost $756,000, and by the end of last year, it was half depreciated based on use of the straight-line method, a 18-year estimated useful life and no residual value. During the current year, the following expenditures related to the building were made:a. Ordinary repairs and maintenance expenditures for the year, $14,000 cash.b. Extensive and major repairs to the roof of the building, $138,000 cash. These repairs were completed at the end of the current year.c. The new wing was completed on December 31 of the current year at a cash cost of $248,000.

Answers

The new wing completed on December 31 of the current year at a cash cost of $248,000 should also be capitalized as part of the cost of the building since it extends the useful life of the asset.

When the new wing completed & tell it's cost too?

Commonwealth Delivery made extensive repairs on an existing building and added a new wing during the current year. The existing building originally cost $756,000, and it was half depreciated by the end of last year. The straight-line method was used to calculate depreciation, and the estimated useful life of the building was 18 years with no residual value.

The expenditures related to the building during the current year included ordinary repairs and maintenance expenditures of $14,000, extensive repairs to the roof of the building completed at the end of the current year for $138,000, and the completion of a new wing on December 31 at a cash cost of $248,000.

The ordinary repairs and maintenance expenditures of $14,000 should be charged to expense as incurred since they are not expected to extend the useful life of the building.

The extensive repairs to the roof of the building completed at the end of the current year for $138,000 should be capitalized as part of the cost of the building since they extend the useful life of the asset. The remaining useful life of the building will need to be adjusted based on the cost of the repairs.

The new wing completed on December 31 of the current year at a cash cost of $248,000 should also be capitalized as part of the cost of the building since it extends the useful life of the asset. The new wing will need to be depreciated separately from the original building, and its useful life will need to be estimated.

Overall, the depreciation expense for the current year will need to be adjusted based on the completed repairs and the addition of the new wing. The current book value of the building will also need to be updated to reflect the completed repairs and the addition.

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One explanation for the length of the Great Recession is that there was a leftward shift in the long-run aggregate supply curve, caused by: Choose one: A. decreased consumer confidence. B. decay of key infrastructure. C. new financial regulations. D. instability in the housing market. E. sticky prices.

Answers

The correct option that explains the length of the Great Recession due to the leftward shift in the long-run aggregate supply curve is option D, instability in the housing market.

This is because the Great Recession was primarily caused by the bursting of the housing bubble, which led to a significant decline in the housing prices, and triggered a chain reaction of events that impacted the entire economy. As a result of the housing market instability, consumers became more cautious in their spending, businesses reduced their investments, and the overall demand for goods and services decreased, which caused a leftward shift in the long-run aggregate supply curve.

The decreased demand resulted in lower output levels, higher unemployment rates, and reduced economic growth. The other options, such as decreased consumer confidence, decay of key infrastructure, new financial regulations, and sticky prices, may have contributed to some extent, but they were not the primary cause of the Great Recession.

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if cola and iced tea are good substitutes for consumers, then it is likely that: group of answer choices their cross price elasticities are greater than zero.

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If cola and iced tea are good substitutes for consumers, then it is likely that their cross-price elasticities are greater than zero.

The cross-price elasticity of demand is a measure of how the quantity demanded of one good responds to a change in the price of another good. When two goods are substitutes, an increase in the price of one good leads to an increase in the demand for the other good.

So, if the price of cola increases, consumers will likely switch to iced tea, increasing its demand. This relationship results in a positive cross-price elasticity (greater than zero) for these two goods, indicating that they are indeed good substitutes for consumers.

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To ensure a quality group decision, the manager appointed Elijah to the role of devil’s advocate in the decision-making process. What is expected of Elijah?
Multiple Choice
to be the cheerleader
to encourage wild ideas
to be the critic
to explore opposite positions

Answers

Elijah is expected to be the critic and explore opposite positions as the devil's advocate in the decision-making process. In this role, he will actively challenge and question the group's ideas and assumptions, offering alternative perspectives and potential drawbacks.

To ensure a quality group decision, the manager appointed Elijah to the role of devil’s advocate in the decision-making process. This means that Elijah is expected to explore opposite positions, challenge assumptions, and raise objections to the proposed ideas. The role of the devil's advocate is to help the group identify potential flaws in the decision-making process and consider alternatives.

Elijah is not expected to be the cheerleader or to encourage wild ideas. Instead, he is expected to play the role of the critic and ask tough questions that will help the group make a more informed decision. By taking on the devil's advocate role, Elijah is expected to act as a constructive skeptic, challenging the group to consider alternative viewpoints and approaches.

Overall, the goal of appointing a devil's advocate is to encourage critical thinking, ensure that all perspectives are considered, and ultimately arrive at a better decision.

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if $100 of new private investment gets added to the economy, and the marginal propensity to consume is 0.80, by how much will aggregate demand increase?

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Aggregate demand increase would be $144.

If the marginal propensity to consume is 0.80, it means that 80% of any increase in income will be spent, and the remaining 20% will be saved. Therefore, $80 of the new investment will be consumed and $20 will be saved.

Since every dollar of investment spending is also income for someone else in the economy, the $80 that is consumed will generate an additional $64 of income, and the $20 that is saved will not immediately contribute to demand.

Therefore, the increase in aggregate demand from $100 of new private investment, with a marginal propensity to consume of 0.80, would be $80 + $64 = $144.

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the​ long-run aggregate supply curve is vertical because in the long​ run,

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The long-run aggregate supply curve is vertical because in the long run, all inputs can be adjusted to their optimal levels and the economy operates at its potential output level.

This means that changes in the price level do not affect the quantity of output produced in the long run, as firms are able to adjust their production levels to match changes in demand.

Additionally, in the long run, there are no fixed costs or rigidities in the economy that prevent firms from adjusting their production levels.

Therefore, the long-run aggregate supply curve is a representation of the economy's potential output level at various price levels, and it is not affected by short-term fluctuations or shocks.

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wims, inc., has sales of $18.7 million, total assets of $13.7 million and total debt of $4.5 million. the profit margin is 10 percent. a. what is the company's net income? (do not round intermediate calculations and enter your answer in dollars, not millions of dollars, rounded to the nearest whole number, e.g., 1,234,567.) b. what is the company's roa? (do not round intermediate calculations and enter your answer as a percent rounded 2 decimal places, e.g., 32.16.) c. what is the company's roe? (do not round intermediate calculations and enter your answer as a percent rounded 2 decimal places, e.g., 32.16.)

Answers

The company's net income is $1,870,000,  the company's ROA is 13.61% and the company's ROE is 5.79%.

To find the net income, we can use the profit margin formula:

Net Income = Sales x Profit Margin

Net Income = $18.7 million x 0.10

Net Income = $1.87 million

Therefore, the company's net income is $1,870,000.

To find the return on assets (ROA), we can use the ROA formula:

ROA = Net Income / Total Assets

ROA = $1.87 million / $13.7 million

ROA = 0.1361 or 13.61%

Therefore, the company's ROA is 13.61%.

To find the return on equity (ROE), we can use the ROE formula:

ROE = Net Income / Total Equity

Since we are not given the total equity, we can use the DuPont model to calculate ROE:

ROE = (Net Income / Sales) x (Sales / Total Assets) x (Total Assets / Total Equity)

ROE = (0.10) x (13.7 million / 18.7 million) x (1 + (Total Debt / Total Equity))

We are given the total debt as $4.5 million, so we can rearrange the formula to solve for Total Equity:

Total Equity = Total Assets - Total Debt

Total Equity = $13.7 million - $4.5 million

Total Equity = $9.2 million

ROE = (0.10) x (13.7 million / 18.7 million) x (1 + ($4.5 million / $9.2 million))

ROE = 0.0579 or 5.79%

Therefore, the company's ROE is 5.79%.

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the bonds issued by manson and son bear a coupon of 6 percent, payable semiannually. the bond matures in 15 years and has a $1,000 face value. currently, the bond sells at par. what is the yield to maturity? group of answer choices 5.97 percent 6.17 percent 6.00 percent 6.09 percent 5.87 percent

Answers

The yield to maturity is option (c) 6%

The yield to maturity (YTM) is the total return anticipated on a bond if held until it matures. It is calculated as the discount rate that equates the present value of all future cash flows (coupons and principal) received from the bond to its current market price.

In this case, the bond issued by Manson and Son has a coupon rate of 6% per annum, payable semiannually. The face value of the bond is $1,000, and it matures in 15 years. Currently, the bond sells at par, which means that its market price is equal to its face value.

Since the bond sells at par, its current market price is $1,000. Therefore, the present value of all future cash flows received from the bond is also $1,000. The cash flows consist of 30 semiannual coupon payments of $30 each ($1,000 x 6%/2) and a final payment of $1,000 at maturity.

Using a financial calculator or spreadsheet, we can calculate the YTM of the bond as the discount rate that makes the present value of all future cash flows equal to $1,000. The YTM turns out to be 6%, which is equal to the coupon rate of the bond.

Therefore, the correct option is (c) 6%

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How do you handle balancing multiple customers at once, while still providing an exceptional customer experience?

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Here are some tips that can help you manage multiple clients effectively: Set the right expectations, Track time spent on each client project, Schedule, create a list, prioritize tasks, Regular client updates, use a multiple-project management tool, Be as flexible as possible.

Programs and project portfolios are included in multi-project management. Project portfolios contain all of an organization's projects and programmes, while programmes are just collections of connected projects. Program management and project portfolio management are approaches developed for project management (PPM).

Project portfolio management may be confused with multi-project management. But they differ significantly in important areas. These distinctions are crucial to multi-project management. By concentrating on resource allocation, task prioritisation, and capacity planning, multi-project management can aid in achieving those objectives. It's critical to be informed about project developments so that you can transfer resources across projects as needed.

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Using the industry from the PepsiCo case, explain the major factors that enter into an assessment of whether an industry does or does not have long-term attractiveness? Can an industry be attractive to one company and unattractive to another? Why? How does a company develop a competitive capability and then the ultimate competitive advantage?

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The major factors that enter into an assessment of whether an industry does or does not have long-term attractiveness include market size, growth rate, profitability, competition, barriers to entry, and technological advancements. Yes, an industry can be attractive to one company and unattractive to another. By focusing on its core competencies, leveraging its strengths a company can develop a competitive capability.

If an industry has a large market size, high growth rate, and high profitability with limited competition and high barriers to entry, it is more likely to be attractive for long-term investment. On the other hand, industries with small market sizes, slow growth rates, low profitability, intense competition, and low barriers to entry are less attractive.

Yes, an industry can be attractive to one company and unattractive to another based on their strengths, weaknesses, and strategic goals. For instance, a company with a strong brand and marketing capabilities may find the beverage industry attractive, while another company with expertise in logistics may find the transportation industry more attractive.

To develop a competitive capability and ultimate advantage, a company needs to focus on its core competencies, leverage its strengths, and differentiate itself from competitors. This can be achieved by investing in research and development, building a strong brand, creating strategic partnerships, improving operational efficiency, and adopting new technologies. Additionally, companies must continually adapt and innovate to stay competitive in the long run.

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a firm can establish a sustainable competitive advantage over competitors if: group of answer choices the firm focuses solely on productivity rather than quality and service. there is a high potential for competing firms to create or buy the firm's information technology. the firm uses information technology to continuously improve the core functions of its business. the firm has access to the same information technology as its competitors.

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A firm can establish a sustainable competitive advantage over competitors if c) the firm uses information technology to continuously improve the core functions of its business.

When one company continually outperforms others in the same industry, that company has a competitive edge. If a company's earnings exceed those of its competitors, it is said to be outperforming them. When a competitive advantage lasts for a longer period of time, it is regarded to be stronger.

If maintaining a bigger profit margin than other companies in the same industry is required for long-term competitive advantage, how does a corporation establish a strategy to obtain and maintain competitive advantage?

The two major components of profit are that customers value and will pay for the goods and services, and that a corporation can keep production costs connected to goods and services low, resulting in a bigger profit.

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Correct question:

A firm can establish a sustainable competitive advantage over competitors if:

a) the firm focuses solely on productivity rather than quality and service.

b) there is a high potential for competing firms to create or buy the firm's information technology.

c) the firm uses information technology to continuously improve the core functions of its business.

d) the firm has access to the same information technology as its competitors.

which expense typically is billed to the user directly in on-premises environments but not in cloud environments? a. electricity costs b. software costs c. hardware costs d. training costs

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Option C) The expense that is typically billed to the user directly in on-premises environments but not in cloud environments is c. hardware costs.

In on-premises environments, users have to purchase and maintain their own hardware, whereas in cloud environments, hardware is owned and maintained by the cloud provider.

This is one of the benefits of cloud computing as it eliminates the need for users to purchase and maintain their own hardware.

In on-premises environments, the user is responsible for managing their own physical infrastructure, including the electricity needed to power the servers and cooling systems. In contrast, cloud environments are managed by cloud service providers, so the electricity costs are absorbed by the provider and are not directly billed to the user.

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on some projects, if members from a supplier company and/or representatives from the customer have a desk in the project workspace, this is referred to as .

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In some projects, when members from a supplier company and/or representatives from the customer share a desk in the project workspace, this is referred to as "co-location" or "co-locating."

Co-location involves placing key project stakeholders, such as team members, suppliers, and customer representatives, in close physical proximity to encourage collaboration, communication, and quick decision-making.

Co-location can provide several benefits to a project, such as increased efficiency, reduced communication barriers, and improved relationships among team members. By having everyone in the same workspace, it becomes easier to address any issues, questions, or concerns in real-time, which can lead to faster project completion and higher customer satisfaction. Additionally, co-location helps build trust and rapport between team members, suppliers, and customers, fostering a more cohesive and successful working environment.

However, it is important to note that co-location may not always be feasible or practical for every project. In situations where team members or stakeholders are located in different geographic regions, virtual collaboration tools can be used to mimic the benefits of co-location. Overall, the key takeaway is that effective communication and collaboration among project stakeholders, whether through co-location or virtual means, are essential for successful project outcomes.

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If a $10,000 face value discount bond maturing in one year is selling for $8,000, then its yield to maturity is (A) 10 percent B) 20 percent. C) 25 percent D) 40 percent

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The yield to maturity is 20 percent. The correct answer is B) 20 percent.

Yield to maturity is the total return anticipated on a bond if it is held until it matures. In this case, the bond has a face value of $10,000 and is selling for $8,000, meaning it is being sold at a discount of $2,000.

To calculate the yield to maturity, we need to use the formula:

YTM = (Annual Interest Payment + ((Face Value - Purchase Price) / Number of Years Held)) / ((Face Value + Purchase Price) / 2)

In this case, the bond has a one-year maturity, so the formula simplifies to:

YTM = (Annual Interest Payment + (Face Value - Purchase Price)) / ((Face Value + Purchase Price) / 2)

We don't know the annual interest payment, but we can assume that it is equal to the discount amount of $2,000. Therefore:

YTM = (2,000 + (10,000 - 8,000)) / ((10,000 + 8,000) / 2)
YTM = 0.2 or 20 percent

So the correct answer is B) 20 percent.

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