Use the model developed in Chapter 3 and assume that consumption does not depend on the interest rate. Holding other things constant, when the government lowers taxes on business investment, thus increasing investment demand, the quantity of investment: Group of answer choices and the interest rate are both unchanged. increases and the interest rate rises. decreases and the interest rate rises. is unchanged and the interest rate rises.

Answers

Answer 1

Answer: increases and the interest rate rises.

Explanation:

As a result of the increase in a demand for investment, entities will borrow more money from financial institutions in order to undertake these investments.

Investments will therefore rise as a result. Unfortunately, due to the increase in demand for loanable funds from financial institutions, interest rates will rise as well to show that demand is increasing faster than supply of loanable funds as posited by the law of demand and supply.


Related Questions

This morning you purchased one share of stock for $14. The stock pays $.20 per share each quarter as a dividend. What must the stock price be one year from now if you want to earn a total return of 12 percent for the year

Answers

Answer:

$14.88

Explanation:

The computation of the stock price is given below:

A total return of 12% means that

= 0.12 × 14

= $1.68 in a year.

Now  

The total dividend payments for 4 quarters is

= 0.2 × 4

= $0.8.

Now the price of the stock should increase by

= 1.68 - 0.8

= 0.88

So the stock price one year from now is

= 14 + 0.88

= $14.88

what is another name for advertising?

Answers

Answer:

commercial,  message,  pitch

Explanation:

yes

Dake Corporation's relevant range of activity is 3,500 units to 8,500 units. When it produces and sells 6,000 units, its average costs per unit are as follows: For financial reporting purposes, the total amount of product costs incurred to make 6,000 units is closest to:

Answers

Answer:

$89,100

Explanation:

Direct material = $6.6

Direct labor = $3.6

Variable manufacturing overheads = $1.35

Fixed manufacturing overheads = $3.3

Total production cost per unit = $6.6 + $3.6 + $1.35 + $3.3

Total production cost per unit = $14.85

Total amount of product cost incurred for 6000 unit:

= $14.85 * 6,000 units

= $89,100

Accounts receivable $ 18,000 Long-term notes payable $ 21,000 Accounts payable 11,000 Office supplies 2,800 Buildings 45,000 Prepaid insurance 3,560 Cash 7,000 Unearned services revenue 3,000 Compute Chavez Company's current ratio using the above information.

Answers

Answer: 2.24

Explanation:

Current ratio = Current Assets / Current liabilities

Current assets = Accounts receivable + Office supplies + Prepaid insurance + Cash

= 18,000 + 2,800 + 3,560 + 7,000

= $31,360

Current liabilities:

= Accounts payable + Unearned service revenue

= 11,000 + 3,000

= $14,000

Current ratio = 31,360 / 14,000

= 2.24

The Bretton Woods system ended when: A. several countries tied the value of their currencies to the U.S. dollar.
B. the United States decided to stop backing the U.S. dollar with gold reserves C. the United States experienced its second Industrial Revolution
D. the gold standard became more popular in countries around the world​

Answers

Answer:

B

Explanation:

There is no other answer but B. That was Nixon's doing. He took the American dollar off the Gold system. Gold in 1980 eventually went from 35 dollars to 800 which is a stupendous move. Many people, unfortunately for them, bought at the top and it took 31 years (I think) for them to recover their money.

Answer:

B

Explanation:

What is the beta for a 2 stock portfolio with a 0.43 weight in Walmart stock and the remainder in Amazon

Answers

Answer: 0.82

Explanation:

From the given formulas, the beta of Walmart is 0.3616 and the beta of Amazon is 1.1634.

The portfolio beta is going to be a weighted average of these two betas:

= (0.43 * 0.3616) + ( (1 - 0.43) * 1.1634)

= 0.155488 + 0.663138

= 0.82

The Fed threw a lot of money at the financial crisis in 2008 to unfreeze credit markets and encourage economic activity. As part of its effort to keep the interest rate​ low, the Fed purchased government bonds worth​ $300 billion between March and September 2009. By​ October, the Fed held​ $770 billion in government​ securities, nearly double its​ pre-crisis total. Before the​ crisis, the Fed held mainly government​ securities, which it used to control the quantity of money in the economy. Now government securities make up just​ 35% of the​ Fed's balance sheet.
Explain how the Fed uses its government securities to control the nominal interest rate
When the Fed purchases government securities, bank reserves ______ and bank deposits ______.
A. increase; increase
B. decrease; increase
C. decrease; decrease
D. increase; decrease

Answers

Answer:

D. increase; decrease

Explanation:

$2200; increased; 300

A firm has to choose between two technologies; both produce same output with one being labor intensive and other being capital intensive. The firm will use labor intensive technology when _________________.

Answers

Answer:

The firm will use labor intensive technology when the marginal product of using  labor intensive technology is greater than the marginal produce of capital intensive technology

Explanation:

Marginal product is the change in total product when the amount of input used in changed by 1 unit

When choosing which form of technology to use, a firm would choose the technology that yields the highest marginal product

For example, imagine a firm can choose between using labour or capital in its production. When labour is increased frim 10 to 20 units, output increase from 100 to 500 units

when capital is increased frim 10 to 20 units, output increase from 100 to 200 units

Marginal product of labour = 500 - 100 / ( 20 - 10) = 40

Marginal product of capital = (200 - 100) / (20 - 10) = 20

Marginal product of labour is higher than the Marginal product of capital. the firm should be labour intensive

Indicate whether the following instruments are examples of money market or capital market securities.

a. U.S. Treasury bills
b. Long-term corporate bonds
c. Common stocks
d. Preferred stocks
e. Dealer commercial paper

Answers

Answer and Explanation:

In the Money Market Securities, it is treated as the short-term securities that means they are traded for short-term period i.e. less than one year. It has the less risk also the return is also very less but the liquidity is very rich. Examples - treasury bills, commercial papers etc

While on the other hand, the capital market securties are traded for the long term i.e. more than one year. It contains the high risk also the return is very high. Examples - stocks, bonds, debentures

So based on the above explanation, the classification is as follows

a. Money market securities

b. capital market securities

c. capital market securities

d. capital market securities

e. money market securities

 

the administrative marketing and manufacturing operations that many international firms multinational firms and transnational firms have around the world afre often called

Answers

Answer:

divisions

Explanation:

Divisional organizational structure

can be regarded as structure that organizes the activities of a particular organization or business around a market, geographical, as well as product and service groups. A company could organize on divisional lines by having operating groups for different geographical Locations like in United States or Europe, all the divisions will individually contains complete set of functions, each could handle their different activities such as sales and

accounting activities.

It should be noted that divisions is

the administrative marketing and manufacturing operations that many international firms multinational firms and transnational firms have around the world.

Hãy chỉ rõ điểm giống nhau và khác nhau về vấn đề sau đây: Giá trị, giá thành, giá trị cá biệt, giá trị xã hội, giá cả thị trường

Answers

Sorry I don't understand

If monthly demand for a product is 1,000 units, the ordering cost is $6 per order and the holding cost is $2.50 per unit per year, how many units would be the order quantity that minimizes annual ordering and holding costs

Answers

Answer:

240 units

Explanation:

The Economic Order Quantity (EOQ) is the order quantity that minimizes annual ordering and holding costs. It is calculated as :

EOQ = √(2 x annual demand x cost per order) ÷ holding cost per unit

therefore,

EOQ = √(2 x 1,000 x 12 x $6) ÷ $2.50

        = √57,600

        = 240 units

Thus, 240 units would be the order quantity that minimizes annual ordering and holding costs

The cost components of a heater include $38 for the compressor, $14 for the sheet molded compound frame, and $70 per unit for assembly. The factory machines and tools cost is $53,000. The company expects to produce 1,400 heaters in the coming year. What cost function best represents these costs

Answers

Answer: y = 122x + 53,000

Explanation:

The cost function takes the form, y = mx + c

Y = total cost

m would be the variable cost because it is the increase in x

x = total number of units to be produced

c = fixed cost because this is the y intercept and represents an amount that will not change regardless of the change in x

Variable cost = compressor + compound frame + assembly

= 38 + 14 + 70

= $122

Fixed cost = $53,000

Cost function is:

y = 122x + 53,000

Beginning work in process are 40,000 units and units started this period are 20,000 units. The total units to account for are:______.

Answers

Answer: 60,000

Explanation:

Since we are given the information that the beginning work in process are 40,000 units and units started this period are 20,000 units, then the total units to account for will be the addition of the beginning work in process and the units started this period. This will be:

= 40000 + 20000

= 60000

Therefore, the total units to account for is 60000.

The Hi-Stakes Company has a number of importing and exporting transactions. Importing activities result in payables and exporting activities result in receivables. (LCU represents the local currency unit of the foreign entity.)

Required:
If the direct exchange rate increases, does the dollar weaken or strengthen relative to the other currency? If the indirect exchange rate increases, does the dollar weaken or strengthen relative to the other currency?

Answers

Answer:

The Hi-Stakes Company

a. If the direct exchange rate increases, the dollar strengthens relative to the other currency.

b. If the indirect exchange rate increases, the dollar also strengthens relative to the other currency.

Explanation:

When the exchange rate increases, it means that more of the other currency is required in order to embark on importing and exporting transactions.  However, the increases will weaken the ability of the importing currency to afford the dollar-based goods, which have then being made more expensive.

Health and Wealth Company is financed entirely by common stock that is priced to offer a 15 percent expected return. If the company repurchases 25 percent of the common stock and substitutes an equal value of debt yielding 6 percent, what is the expected return on the common stock after refinancing

Answers

Answer: 18%

Explanation:

The expected return on the common stock after refinancing will be calculated thus:

Let's assume that common stock is 1000. Therefore, return will be:

= 15% × 1000 = 150

Since 25% of the common stock is repurchased, this will be:

= 25% × 1000 = 250

Then, this 250 is financed by debt at 6%, and this will be:

= 6% × 250 = 15

Then, the new return will be:

= 150 - 15 = 135

Expected Return will now be:

= 135/(1000 - 250)

= 135/750

= 18%

According to the liquidity preference model, the equilibrium interest rate is determined by the: International Monetary Fund. supply of and demand for money. supply of and demand for loanable funds. level of investment spending and saving.

Answers

Answer:

Supply of and demand for money.

Explanation:

The equilibrium interest rate is determined by the demand and supply of the money. The interest rate is represented by the verticle axis of the graph and supply and demand for money is represented by the horizontal axis. Thus, the point of intersection between supply curve and demand curve determines the equilibrium interest rate.

Splish Brothers Inc. reported net income of $394000 for the year. During the year, accounts receivable increased by $29000, accounts payable decreased by $12000 and depreciation expense of $61000 was recorded. Net cash provided by operating activities for the year is

Answers

Answer:

$414000

Explanation:

Calculation to determine what Net cash provided by operating activities for the year is

Net income $394000

Less Receivable increased ($29000)

Less Accounts payable decreased ($12000)

Add depreciation expense $61000

Net Net cash provided by operating activities $414000

Therefore Net cash provided by operating activities for the year is $414000

Bloom Corporation purchased $1,450,000 of Taylor Company 5% bonds, at their face amount, with the intent and ability to hold the bonds until they matured in 2025, so Bloom classifies its investment as AFS. Unfortunately, a combination of problems at Taylor Company and in the debt securities market caused the fair value of the Taylor investment to decline to $960,000 during 2021.

Required:
For each of the following scenarios, prepare appropriate entry(s) at December 31, 2018, and indicate how the scenario will affect the 2018 income statement (ignoring income taxes).

a. Bloom now believes it is more likely than not that it will have to sell the Taylor bonds before the bonds have a chance to recover their fair value. Of the $490,000 decline in fair value, Bloom attributes $295,000 to credit losses, and $195,000 to noncredit losses.
b. Bloom does not plan to sell the Taylor bonds prior to maturity, and does not believe it is more likely than not that it will have to sell the Taylor bonds before the bonds have a chance to recover their fair value. Of the $490,000 decline in fair value, Bloom attributes $295,000 to credit losses, and $195,000 to noncredit losses.

Answers

Answer:

a. Dr OTT impairment loss $490,000

Cr Discount on bond investment $490,000

Income statement -$490,000

B.Dr OTT impairment loss $295,000

Cr Discount on bond investment $295,000

Dr OTT impairment loss - other comprehensive income $195,000

Cr Fair value adjustment - non credit losses $195,000

Income statement-$295,000

Explanation:

a. Prepare of the appropriate entry(s) at December 31, 2018 and indication for how the scenario will affect the 2018 income statement

31.12.21

Dr OTT impairment loss $490,000

Cr Discount on bond investment $490,000

(To record impairment loss of investment)

Effect on net income : Earnings are reduced by $490,000

INCOME STATEMENT

Other than temporary impairment loss - $490,000

b. Prepare of the appropriate entry(s) at December 31, 2018 and indication for how the scenario will affect the 2018 income statement

31.12.2021

Dr OTT impairment loss $295,000

Cr Discount on bond investment $295,000

(To record credit losses of impairment of investment)

31.12.2021

Dr OTT impairment loss - other comprehensive income $195,000

Cr Fair value adjustment - non credit losses $195,000

(To record non - credit losses of impairment loss of investment)

Effort net income : Earnings are reduced by

INCOME STATEMENT

Other than temporary impairment loss -$490,000

Less : Portion recognized in other comprehensive income $195,000

Other than temporary recognized in earnings -$295,000

Anya owns land with an adjusted basis of $305,000, subject to a mortgage of $175,000. Anya sells her land subject to the mortgage for $325,000 in cash, and a note for $300,000. What is Anya's amount realized on this sale

Answers

Answer: $800,000

Explanation:

Alice's realized amount from the sale is a sum of all the amounts that the seller gets it for as well as any mortgages assumed.

Alice therefore realized:

= Mortgage assumed by seller + Cash + Note

= 175,000 + 325,000 + 300,000

= $800,000

Perfect elasticity and zero elasticity refer to the same event, which occurs when quantity demanded or quantity supplied change by an infinite amount in response to any change in price.
a) true
b) false

Answers

Answer:

b

Explanation:

perfectly elasticity is when at an existing price quantity demanded can increase or decrease.the numerical co efficient is always infinity ♾️

relationship between short and long run in Philips curve

Answers

Answer:

In the short-run, inflation and unemployment are inversely related; as one quantity increases, the other decreases. In the long-run, there is no trade-off. In the 1960's, economists believed that the short-run Phillips curve was stable.

Explanation:

https://courses.lumenlearning.com/boundless-economics/chapter/the-relationship-between-inflation-and-unemployment/

A company pays $20,000 for the rights to a well with 5 million gallons of water. If the company extracts 250,000 gallons of water in the first year, what is the total depletion in year 1

Answers

Answer: $1,000

Explanation:

The cost of the well is $20,000

The capacity of the well is 5 million gallons

The cost of one gallon is therefore:

= Cost of all gallons / Number of gallons

= 20,000 / 5,000,000

= $0.004

If 250,000 gallons were extracted in the first year, the depletion is:

= Number of gallons extracted * Cost per gallon

= 250,000 * 0.004

= $1,000

Following the law is:______. a. unimportant as a standard of business behavior b. the maximum standard of behavior we expect from business c. an unrealistic expectation for business behavior d. the minimum standard of behavior we expect from business

Answers

Answer:

b. the maximum standard of behavior we expect from business

Explanation:

In the laws of business, it is expected according to the law that as much possible, we accept the maximum standard of behavior from any businesses. While doing a business, we all have to follow the business ethics and always follows the laws of the businesses. The behavior of business should be of maximum standard and should comply with the rules and ethics with the related businesses.

Thus the correct option is (b).

Lập danh mục chi phí hoạt động của 1 toà nhà cho thuê hạng C

Answers

Chi phí hoạt động là chi phí liên tục để duy trì và duy trì hoạt động đầu tư bất động sản cho thuê. Nói cách khác, chúng là những chi phí ảnh hưởng đến hoạt động hàng ngày của khoản đầu tư và được coi là cần thiết để duy trì dòng doanh thu.

Lâp danh muc chi phí hoat dông cûa

Which form of business entity is NOT a legal entity separate and apart from its owner?
A. S corporation.
в.Sole proprietorship
C. Corporation
D. Partnership

Answers

Answer:

B Sole proprietorship

Explanation:

A sole proprietorship there is no separation between the owner and the business structure thus the business does not have its own legal entity.

The ________ is the difference between merchandise imports and exports and a measure of a country's international trade in goods.

Answers

Answer:

balance of trade

Explanation:

Trade can be defined as a process which typically involves the buying and selling of goods and services between a producer and the customers (consumers) at a specific period of time.

Basically, trade can be categorized into two (2) main groups and these are;

I. Import: this involves bringing in goods from a foreign country to sell in a different (domestic) country.

II. Export: it involves the sales of goods produced in a domestic country to a foreign country.

In Economics, a balance of trade is a measure of the difference between merchandise imports and exports, as well as a country's international trade in goods. Thus, it's a measure of the difference between the monetary value of the import and export of goods of a country over a specific period of time.

Timken roller bearing is a manufacturer of seamless tubes for drill bit collars. Company is planning to add larger capacity robotic arms to one of its assembly lines 3 years from now. If it is done now, the cost of the equipment is $2.4 million. Assume that the company's real MARR is 15% per year and the inflation rate is 2.8% per year. Determine the equivalent amount the company can spend 3 years from now in then-current dollars.
a. $4,943,200.
b. $2,943,200.
c. $3,943,200.
d. unknown.

Answers

Answer:

the  equivalent amount the company can spend 3 years from now in then-current dollars is $3,943,200

Explanation:

The computation of the equivalent amount the company can spend 3 years from now in then-current dollars is shown below:

= $2,400,000 × (1 + 17.8%)^3

= $2,400,000 × 1.63942

= $3,943,200

Hence, the  equivalent amount the company can spend 3 years from now in then-current dollars is $3,943,200

Dan purchases a 1000 par value 10-year bond with 9% semiannual couponsfor 925. He is able to reinvest his coupon payments at a nominal rate of 7%convertible semiannually.Calculate his nom

Answers

Answer:

9.2%

Explanation:

Missing word "Calculate his nominal annual yield rate convertible semiannually over the ten-year period"

Semi annual coupon payments = 9% / 2 = 4.5%

Par value = 4.5% * 1,000 = $45

interest rate per period = r = 7% / 2 = 3.5%

Number of periods, n = 2 x 10 = 20

FV of all the coupons reinvested = 45 / r * [(1 + r)^n - 1]

FV of all the coupons reinvested = 45 / 3.5% * [(1 + 3.5%)^20 - 1]

FV of all the coupons reinvested = $1,272.59

Receipt of par value at the end of the 10 years = par value = 1,000

Total accumulated value at the end of 10 years =  $1,272.59 + 1,000

Total accumulated value at the end of 10 years = $2,272.59

Invested amount = $925

i = nominal interest convertible semi annually.

$925 * (1 + i / 2)^n = 2,272.59  

925 * (1 + i / 2)^20 = 2,272.59

i = 2 * [(2,272.59 / 925)^1/20 - 1]

I = 9.19%

I = 9.2%

So, his nominal annual yield rate convertible semiannually over the ten-year period is 9.2%

Refer to the following information about the Finishing Department in the Gallagher Factory for the month of June. Gallagher Factory uses the FIFO method of inventory costing.
Beginning Work in Process inventory:
Physical units..... 5000
% complete for materials 70%
% complete for conversion costs 25%
Materials cost from May 7350
Conversion costs from May 3125
Product started:
Physical units 44000
Ending Work in Process inventory:
Physical units 4000
% complete for materials 40%
% complete for conversion costs 10%
Manufacturing costs for June:
Materials 96975
Conversion costs 79470
Compute equivalent units for direct materials for June.

Answers

Answer:

the equivalent units for direct material is 43,100 units

Explanation:

The computation of the equivalent units for direct material is shown below:

= Ending work in process units + units started and completed + opening work in process units

= 40% of 4,000 units + (44,000 - 4,000) + 30% of 5,000

= 1,600 units + 40,000 units + 1,500 units

= 43,100 units

hence, the equivalent units for direct material is 43,100 units

Other Questions
Write a five-sentence summary of The Medicine Bag. What does the speaker in this poem say will happen to "thy thoughts, when thou art gone" Question 1Modern scientific theories are NOT:simpletestablecontinuously tested.perfectelegant angle P and angle Q are complementary. The measure of angle Q is 33.5. What is the measure of angle P? What governmental principle of the United States is based on Montesquieu's concerns?A. federalismB. republicanismC. freedom of speechD. separation of powers why is it wrong to leave our light on Which statement best describes a difference between presidential andparliamentary democracies?A. In a parliamentary democracy, the executive and legislativebranches are joined. In a presidential democracy, the two branchesare separate.B. In a presidential democracy, the head of government is a memberof the legislature. In parliamentary government, citizens directlyelect the head of government. C. In a presidential democracy, citizens are able to vote for theira legislators. In a parliamentary democracy, citizens are not able tovote for their legislators.D. In a parliamentary democracy, citizens vote directly for the head ofgovernment. In a presidential democracy, citizens do not votedirectly for the head of government. What is the difference between living things and their environment solve 2x+3y=11, 2x-4y=-24 ny cross multiplication method Your grandma recently moved to Hawaii (Hawaiian Standard Time Zone). You always call her at 8:00pm on her birthday (November 6th). You are at home in Southern California. What time do you need to call her to reach her at 8:00pm Hawaiian Time The image of the object formed by the lens is real, enlarged and inverted. What is the kind of lens ? Leon used the number line below to show -5 + 4. explain what is wrong with his model. Determine the pressure difference in N/m2,between two points 800m apart in horizontal pipe-line,150 mm diameter, discharging water at the rate of 12.5litres per second. Take the frictional coefficient ,f, as being 0.008 Suppose 35.45% of small businesses experience cash flow problems in their first 5 years. A consultant takes a random sample of 530 businesses that have been opened for 5 years or less. What is the probability that between 34.2% and 39.03% of the businesses have experienced cash flow problems? 1) 0.6838 2) 20.3738 3) 0.3162 4) - 11.6695 5) 1.2313 HELP ASAP 10 POINTS AND BRAINLIEST Propose what happens to sodium and potassium ions during hyperpolarization. Plss help meeeHow does her statement apply to a youth like you? How are you going to convince other people to be conscious of the way they perceive others? You can relate your answer to the song "Beautiful" Activity 4.4: Picture essay 1. Describe the condition of the person. 2. Does he/she show any signs of diseases? 3. What do you think is the non-communicable disease being depicted in the picture? Why? The degree of polynomial 8x^2y^2-5x^2y^2-x^3y is A little help?? Its trig