What policy mix of monetary and fiscal policy is needed to meet the objectives given here? a. Increase Y while keeping 7 constant. Would investment (I) change? b. Decrease a fiscal deficit while keeping Y constant. Why must i also change? Additional information needed to answer question 8 above: Investment and the interest rate The chapter argues that investment depends negatively on the interest rate because an increase in the cost of borrowing discourages investment. However, firms often finance their investment projects using their own funds. If a firm is considering using its own funds (rather than borrowing) to finance investment projects, will higher interest rates discourage the firm from undertaking these projects? Explain. The Bush-Greenspan policy mix In 2001. the Fed pursued an expansionary monetary policy and reduced interest rates. At the same time, President George W. Bush pushed through legislation that lowered income taxes. a. Illustrate the effect of such a policy mix on output. b. How does this policy mix differ from the Clinton-Greenspan mix? c. What happened to output in 2001? How do you reconcile the fact that both fiscal and monetary policies were expansionary with the fact that growth was so low in 2002?

Answers

Answer 1

a. To increase Y while keeping i constant, a combination of expansionary fiscal policy and contractionary monetary policy would be needed. Expansionary fiscal policy, such as increasing government spending or reducing taxes, would stimulate aggregate demand and increase Y. On the other hand, contractionary monetary policy, such as increasing interest rates or reducing the money supply, would help control inflationary pressures and keep i constant.

Investment (I) may or may not change depending on the specific circumstances. If the increase in Y leads to increased business confidence and favorable investment conditions. b. To decrease a fiscal deficit while keeping Y constant, a combination of contractionary fiscal policy and expansionary monetary policy would be required. Contractionary fiscal policy involves reducing government spending or increasing taxes to reduce the fiscal deficit. This would reduce aggregate demand and could potentially keep Y constant. However, to offset the contractionary effect of fiscal policy on the economy, expansionary monetary policy would be implemented. This could involve reducing interest rates or increasing the money supply to stimulate borrowing and investment, thus supporting Y. The interest rate (i) would also need to change in this scenario. Expansionary monetary policy aims to lower interest rates to stimulate borrowing and investment, which helps offset the contractionary impact of fiscal policy.

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Related Questions

Diversification among multiple asset classes reduces the:_____.

i. market risk of the portfolio

ii. marketability risk of the portfolio

iii. standard deviation of portfolio returns

Answers

Diversification among multiple asset classes reduces the i. market risk of the portfolio.

Market threat refers to the potential for losses bobbing up from common marketplace fluctuations or systemic elements that have an effect on the overall performance of investments.

By investing in unique asset lessons together with shares, bonds, real estate, commodities, and others, buyers can unfold their threat across a whole lot of investments with one-of-a-kind chance-go-back profiles. The overall performance of these asset instructions is encouraged by way of various factors, including monetary conditions, enterprise trends, and geopolitical activities.

Therefore, whilst one asset class is experiencing a downturn or underperforming, every other asset magnificence may be appearing properly, offsetting the losses and reducing the general marketplace hazard of the portfolio.

Diversification works on the precept of no longer placing all of your eggs in one basket. It allows for mitigation of the effect of poor events or volatility in any single investment or area with the aid of having exposure to quite a number property. This reduces the portfolio's vulnerability to the fluctuations of any particular asset elegance or market section.

While diversification can lower the marketplace hazard of the portfolio, it does now not take away all risks associated with investing. It is essential to be aware that diversification does not defend against losses in a declining marketplace or assure profits. It continues to be vital for investors to behavior thorough studies, investigates their risk tolerance, and periodically assess their portfolio to ensure alignment with their investment dreams and risk profile.

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1. Tell how three specific environmental issues examined in Chapter 5 Marketing Environment, Case study about Telsa and GM electric vehicles, impact the development and sale of electric cars. 2. Which market do you believe will be more successful, Tesla in the US or GM's E100 in China? Why?

Answers

The success of Tesla in the US or GM's E100 in China will depend on various factors, including market conditions, government regulations, infrastructure, and consumer preferences.

Both companies have unique strengths and advantages in their respective markets, which can influence their success.

1. Three specific environmental issues that impact the development and sale of electric cars are climate change, government regulations, and infrastructure.

a. Climate change: The increasing concern about climate change and the need to reduce carbon emissions has led to a growing demand for electric cars. Consumers are more inclined to choose electric vehicles as a more sustainable option.

b. Government regulations: Governments around the world are implementing stricter regulations on vehicle emissions. Many countries have set targets for reducing carbon emissions and are providing incentives for the purchase of electric cars. This has created a favorable environment for the development and sale of electric vehicles.

c. Infrastructure: The availability of charging stations is crucial for the widespread adoption of electric cars. The lack of an adequate charging infrastructure can be a barrier to the development and sale of electric cars. However, efforts are being made to expand the charging network, which is gradually improving the feasibility and convenience of owning an electric vehicle.

2. The success of Tesla in the US or GM's E100 in China depends on various factors, including market conditions, consumer preferences, and competitive landscape. Here are two potential scenarios:

  Scenario 1: Tesla in the US:
  Tesla has established itself as a leading electric car manufacturer in the US. They have a strong brand image, innovative technology, and a loyal customer base.

  Scenario 2: GM's E100 in China:
  China is the world's largest electric car market, with the government promoting the adoption of electric vehicles through subsidies, regulations, and investments in charging infrastructure.

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Iny for December 2016 using the average cost Tatol Transferred to finished goods in December Inventory in process, December 31 Total units to be assigned costs Cost Information Costs per equivalent unit: Total costs for December in Cutting Department Total equivalent units Cost per equivalent unit Costs assigned to production: Inventory in process, December 1 Costs incurred in December Total costs accounted for by the Cutting Department Costs allocated to completed and partially completed units: Transferred to finished goods in December Inventory in process, December 31 Total costs assigned by the Cutting Department

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The total units to be assigned costs= 40,000 unitsGiven data:Costs per equivalent unit: $6.00.

Total costs for December in Cutting Department: $144,000Cost InformationTotal equivalent units= 40,000+3,000-4,000=39,000 unitsCost per equivalent unit= $144,000 / 39,000 units= $3.69 per unit.Total units to be assigned costs= units started into production + units in beginning work in process inventory - units in ending work in process inventory= 40,000+3,000-4,000=39,000 unitsTo calculate the equivalent unit cost, divide the total costs by the equivalent units.Equivalent unit cost = Total cost / Total equivalent units= $144,000 / 39,000 units= $3.69 per unit. Costs per equivalent unit is $3.69 per unit.

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The total units to be assigned costs is 40,000 units

Costs per equivalent unit: $6.00.

In the cutting department, expenses totaled $144,000 in December.

Financial Data Equivalent unit total = 40,000 + 3,000 - 4,000

= 39,000 units.

$144,000 divided by 39,000 equal units yields a cost per equivalent unit of $3.69.

Total units to be assigned expenses are calculated as follows: 40,000+3,000-4,000=39,000 units.

The equivalent unit cost is determined by dividing the total expenditures by the equivalent units.Total cost divided by total equivalent units yields an equivalent unit cost of $3.69 per unit ($144,000 divided by 39,000). Costs are $3.69 per equivalent unit

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A hedge fund with net asset value of $74 per share currently has a high water mark of $79. Suppose it is January 1 , the standard deviation of the fund's annual returns is 50%, and the risk-free rate is 5%. The fund has an incentive fee of 20%. Required: a. What is the value of the annual incentive fee according to the Black-Scholes formula? (Do not round intermediate calculations. Round your answer to 2 decimal places.) b. What would the annual incentive fee be worth if the fund had no high water mark and it earned its incentive fee on its total return? (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

a. According to the Black-Scholes formula, the value of the annual incentive fee for the hedge fund with a high water mark of $79 and a net asset value of $74 per share is approximately $0.87 per share.

b. If the fund had no high water mark and earned its incentive fee on its total return, the annual incentive fee would be worth approximately $1.04 per share.

a. To calculate the value of the annual incentive fee using the Black-Scholes formula, we need to consider the high water mark, net asset value, risk-free rate, standard deviation, and time. The formula is as follows:

Incentive Fee = Net Asset Value x [N(d1) - e^(-rT) x N(d2)]

Where:

d1 = [ln(NV / HM) + (r + 0.5 * σ^2) x T] / (σ x √T)

d2 = d1 - σ x √T

NV = Net Asset Value

HM = High Water Mark

r = Risk-free rate

σ = Standard deviation

T = Time

Substituting the given values, we can calculate the value of the annual incentive fee using the Black-Scholes formula.

b. If the fund had no high water mark and earned its incentive fee on its total return, the calculation would be simpler. The incentive fee would be a percentage (in this case, 20%) of the total return, which is the net asset value minus the initial value.

Total Return = Net Asset Value - Initial Value

Incentive Fee = Total Return x Incentive Fee Rate

By substituting the values and performing the calculations, we can determine the value of the annual incentive fee if there were no high water mark.

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Airline industries and carriers are facing a very hard time because the recession has affected the business and the industries have to reduce their prices and are not making a good profit as compared to the past. As it is a worldwide fast-growing industry making airlines more complex and challenging. Because of the recession and increased unemployment in the aviation industry. British Airways is the UK’s largest international airline, flying to 6 domestic destinations over 148 international destinations multiple times, to the all best-located airports. The major place of business is Heathrow, one of the world’s premier airport locations. BA also operates a worldwide air cargo business. But still, British Airways had to restructure and make some serious strategic changes to avoid bankruptcy or closure. BA had its vision to achieve its goal and took effective and reasonable steps to compete in the market with its performance and operation over the last couple of years. The market fell from more than 30 per cent in 1998 to about 20 per cent in 2005. This year, BA announced the worst half-year losses in its history. During the six months to September 2009, the company face a £292m ($485m) loss, compared with £52m profits during the same period a year earlier. To survive and to make an easy recovery in this competitive environment and to attain leadership in the industry BA has taken strong steps to upgrade the systems and technology, to increase the fleet size British Airways ordered 36 new long-haul Aircraft on 27th September 2007 which includes 12 A380s, and 24 Boeing 787s. British Airways also ordered on 1st February 2008 Airbus A318s to run a premium service out from London City Airport to New York. This fitted luxury 32-lie flat beds in a business class cabin. The increase in technology like online ticketing, and online checking also enhances the BA business. Because the customer does not need to stand in the queue. Innovative flight services such as sleeper services will attract more customers. Introduction of the terminal 5 on the HEATHROW AIRPORT will help to increase the flights of the BA and be able to provide a more relaxed environment to its customers. A possible merger of the BRITISH AIRWAYS and QANTAS AIRLINE could be a great opportunity to become the absolute market leader of the world. Willie Walsh stated that British Airways had reduced 1,450 staff members since March 2009. They also reduced the overtime and 500 redundancies were made. Twenty percent of future capital expenditure is reduced this year from 725 million pounds to 580 million pounds and it will be the same throughout this year. Mr Willie Walsh also admitted that this BM4407-strategic-management-examination-May-2022/EB Page 2 of 3 structural change of British Airways is necessary for survival and long-term success. British Airways managed with its comprehensive and proactive strategy to accelerate its return to profitability and economic welfare well in advance of its rivals. The airline announced that it is planning to raise £680 million of liquidity through a £350 million convertible bond issue and by gaining access to bank facilities which are currently used to provide guarantees to its pension funds. This will increase liquidity to approximately £2 billion.

Answers

British Airways had to make some serious strategic changes to avoid bankruptcy or closure. The major steps that British Airways took was to upgrade its systems and technology.

Increase the fleet size, and introduce innovative flight services such as sleeper services will attract more customers. To make an easy recovery in this competitive environment and attain leadership in the industry, British Airways has taken strong steps to upgrade the systems and technology. It has also increased the fleet size by ordering 36 new long-haul aircraft. British Airways also ordered Airbus A318s to run a premium service out from London City Airport to New York, which fitted luxury 32-lie flat beds in a business class cabin.

The increase in technology like online ticketing and online checking also enhances the BA business. British Airways managed with its comprehensive and proactive strategy to accelerate its return to profitability and economic welfare well in advance of its rivals. The airline announced that it is planning to raise £680 million of liquidity through a £350 million convertible bond issue and by gaining access to bank facilities which are currently used to provide guarantees to its pension funds. This will increase liquidity to approximately £2 billion. Mr Willie Walsh also admitted that this structural change of British Airways is necessary for survival and long-term success.

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1. Suppose for me bundle A is at least as good as bundle B and I am indifferent between bundles B and C. You further know that my tastes are rational. Then, a utility function u that represents my tastes must satisfy:
a) The consumer strictly prefers A to B
b) The consumer strictly prefers B to A
c) The consumer is indifferent between A and B
d) For the consumer, A is at least as good as B
e) For the consumer, B is at least as good as A
2. Suppose for me bundle A is at least as good as bundle B and I am indifferent between bundles B and C. You further know that my tastes are rational. Then, a utility function u that represents my tastes must satisfy:
a) u(A)=u(B)
b) u(A)=u(C)
c) u(A)>u(C) or u(A)=u(C)
d) u(A)>u(C)
e) None of the above
3. Consider the utility function . Tastes represented by this utility function:
a) violate transitivity
b) violate monotonicity
c) violate convexity
d) satisfy all the 5 assumptions that we introduced about tastes
e) satisfy only completeness and transitivity
4. Consider again the utility function . The map of indifference curves associated with this utility function is such that:
a) indifference curves are downward sloping
b) indifference curves are bent towards the origin
c) indifference curves never cross one another
d) indifference curves never cross the axes
e) all the above

Answers

The answers are:

1. The correct answer is c) The consumer is indifferent between A and B.

2. The correct answer is d) u(A) > u(C).

3. The correct answer is d) satisfy all the 5 assumptions that we introduced about tastes.

4. The correct answer is e) all the above.

1.  If you are indifferent between bundles B and C, it means that you consider them to have the same level of utility. Since bundle A is at least as good as bundle B, you cannot strictly prefer B to A. Therefore, the only valid option is that you are indifferent between A and B.

2. If bundle A is at least as good as bundle B and you are indifferent between B and C, it implies that A is also at least as good as C. Since your tastes are rational, a utility function that represents your preferences must satisfy this condition. Therefore, u(A) must be greater than u(C).

3. Based on the information provided, we cannot determine if the utility function violates any of the assumptions. We would need more specific details about the utility function to determine if it violates transitivity, monotonicity, convexity, or any other assumption.

4. Based on the given utility function, the map of indifference curves associated with it will exhibit all the mentioned characteristics. Indifference curves are downward sloping, bent towards the origin, and they never cross each other or the axes. These properties are consistent with the assumptions of the utility function.

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Jay-zee company makes an in-car navigation system. next year, jay-zee plans to sell 16,000 units at a price of $320 each. product costs include:___________

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Jay-zee company makes an in-car navigation system. Next year, Jay-zee plans to sell 16,000 units at a price of $320 each. Product costs include $8,960,000.

Direct materials: $68 per unit

Direct labor: $40 per unit

Variable overhead: $12 per unit

Total variable cost: $120 per unit

Fixed overhead: $500,000

So, the total cost of producing 16,000 units would be:

16,000 units * $120/unit + $500,000 = $8,960,000

The contribution margin per unit would be:

$320/unit - $120/unit = $200/unit

The profit from selling 16,000 units would be:

$200/unit * 16,000 units - $8,960,000 = $3,200,000

Therefore, the product costs for Jay-zee company's in-car navigation system include direct materials, direct labor, variable overhead, and fixed overhead. The contribution margin per unit is $200, and the profit from selling 16,000 units is $3,200,000.

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These organizations are providing services and health advocacy including educational and information services, lobbying, and research and training to general public.

A.
Non-Governmental Organization

B.
CDC

C.
NIH

D.
FDA

Answers

These organizations play vital roles in promoting public health, providing services, and advocating for health-related issues.

A. Non-Governmental Organization (NGO):

NGOs are independent organizations that operate without government control or ownership. They are usually nonprofit entities dedicated to addressing social or environmental issues. NGOs often provide various services and health advocacy, including educational and informational services, lobbying for policy changes, conducting research, and offering training programs. Examples of health-related NGOs include the Red Cross, Doctors Without Borders, and Amnesty International.

B. CDC (Centers for Disease Control and Prevention):

The Centers for Disease Control and Prevention (CDC) is a United States federal agency under the Department of Health and Human Services. The CDC's primary role is to protect public health and safety by preventing and controlling the spread of diseases, including infectious diseases, chronic diseases, and other health threats. The CDC conducts research, provides health information and educational resources, offers guidance to healthcare professionals, and collaborates with national and international partners to promote public health.

C. NIH (National Institutes of Health):

The National Institutes of Health (NIH) is a United States agency that is part of the Department of Health and Human Services. The NIH is the primary federal agency for conducting and supporting medical research. It is composed of various institutes and centers that specialize in specific areas of biomedical research. The NIH funds research projects, supports scientists and institutions, provides training opportunities, and disseminates health information to advance medical knowledge and improve human health.

D. FDA (Food and Drug Administration):

The Food and Drug Administration (FDA) is a United States regulatory agency responsible for protecting and promoting public health through the regulation and supervision of food safety, pharmaceutical drugs, medical devices, cosmetics, and other products. The FDA ensures the safety, effectiveness, and proper labeling of products, conducts inspections, reviews research data, and provides guidance to manufacturers and healthcare professionals. The FDA plays a crucial role in safeguarding public health and ensuring the availability of safe and effective products in the market.

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Flybynightsavings.com is offering a savings account that pays 33ompounded continuously. how much interest would a deposit of $2,000 earn over 5 years? (round your answer to the nearest cent.)

Answers

$ 11,909.68  interest would be deposited  when $2,000 is earned  over 5 years respectably.

If the interest is Compounded Continuously, formula is

                                      A = p[tex]e^{rt}[/tex]

P = $2000

8 = 33% = 0.33

t = 5 years.

A = 2000 × e⁰.³³⁽¹⁰⁾

              = 13,909.68

Interest- = A-P

                13,909.68 - 2000

             =  11,909.68

Interest pay — the pay an individual gets from specific financial balances or from loaning cash to another person. interest income that is subject to income tax is known as taxable interest income. Unless otherwise specified, all interest earnings are subject to taxation.

In a market economy, interest performs a number of important functions. The coordination between savers and borrowers is the most obvious. Borrowers must pay interest to consume more in the present, whereas savers receive interest for delaying consumption.

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briefly, describe how the change in the exchange rate between us$ and euro would affect the aggregate demand of US.

Answers

A depreciation of the US dollar (USD) relative to the euro (EUR) would generally increase the aggregate demand (AD) in the United States.

When the exchange rate between the USD and EUR changes, it affects the relative prices of goods and services traded between the two countries. If the USD depreciates against the EUR, it means that it takes more USD to purchase one euro. This depreciation makes US goods and services relatively cheaper for foreign buyers and European imports relatively more expensive for US consumers.

As a result, an increase in exports and a decrease in imports occur due to the relative price changes. This increase in net exports (exports minus imports) leads to an increase in aggregate demand (AD) in the United States. Higher net exports contribute positively to AD by increasing the demand for domestically produced goods and services, which stimulates economic activity.

Furthermore, an increase in AD can have a multiplier effect on the economy, generating additional increases in output, income, and employment. This can result in overall economic growth and expansion in the United States.

It's important to note that the impact of exchange rate changes on aggregate demand is influenced by various factors, including the responsiveness of trade flows to price changes, the elasticity of demand for different goods, and other economic conditions both domestically and internationally.

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Assuming providers will accommodate patient desires, what effect would a binding price ceiling have on the bealth care market? a. Price will increase to athere to the price ceiling and quantity will increase. b. Price will decrease to adhere to the price ceiling and quantity will increase. C. Neither price nor quantity will change. d. Price will increase to adhere to the price ceiling and quantity will decrease. e. Price will decrease to adhere to the price ceiling and quantity will decrease:

Answers

If providers will accommodate patient desires, what effect would a binding price ceiling have on the health care market  A binding price ceiling is a kind of price control that forbids prices from going higher than a certain limit.

This kind of regulation, if it is to be successful, must be below the equilibrium price in order to have an impact on the market. Suppose healthcare providers will accommodate patient preferences; the result of a binding price ceiling on the healthcare market is that the price will decrease to conform to the price ceiling and the quantity will increase (option b).

This conclusion is based on the concept of supply and demand that we understand. To put it another way, when prices are decreased, demand for the service will rise, while supply will decrease because fewer healthcare professionals will provide the service if they can earn more doing something else. Thus, there will be a scarcity of physicians providing the service. It can also result in a rise in wait times for appointments as a result of a large number of individuals seeking care at the same time. As a result, some individuals who are in critical need of care may be unable to receive it. Therefore, the binding price ceiling may increase the supply of healthcare, but the quality of care may suffer.

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Summarise the problems cause by labour shortage in the context of operations management in the industry.

Answers

labor shortage in operations management can lead to decreased productivity, increased costs, delays in production, quality issues, increased employee turnover, and strained employee morale.

The problems caused by labor shortage in the context of operations management in the industry are:
Decreased productivity: When there is a labor shortage, it becomes difficult for businesses to meet production demands. This leads to a decrease in productivity, as there are not enough workers to efficiently carry out tasks.
Increased costs: With a labor shortage, businesses may need to pay higher wages to attract workers. Additionally, the need for overtime or temporary workers can increase costs further. This can negatively impact the company's profitability.
Delays in production: Labor shortage can result in delays in production schedules. With fewer workers available, it may take longer to complete tasks, causing delays in delivering products to customers.
Quality issues: When businesses are understaffed, employees may be overworked and fatigued. This can lead to a decline in the quality of work, as workers may not have enough time or energy to pay attention to detail.
Increased employee turnover: A labor shortage can lead to increased employee turnover, as workers may feel overburdened or unsatisfied with the workload. This can result in additional costs associated with recruitment and training.
Strained employee morale: A shortage of labor can put additional pressure on existing employees, leading to stress and low morale. This can negatively impact teamwork and overall employee satisfaction.

In summary, labor shortage in operations management can lead to decreased productivity, increased costs, delays in production, quality issues, increased employee turnover, and strained employee morale.

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Tom spends all his $56 weekly income on two goods, x and y. His utility function is given by U(x,y) =x
4
y
5
. If p=$2 and px=$7, how much of good x and how much of good y should he buy? Be sure to show all of your work ( 5 points) (Hint Begin with a logarithmic transformation of the utility function. Refer to Algebra and Calculus Review handout for more help)

Answers

Tom should buy 10 units of good x and 36 units of good y. We can maximize his utility function subject to his budget constraint.

To find out how much of good x and good y Tom should buy, we can maximize his utility function subject to his budget constraint. First, let's take the logarithmic transformation of the utility function to simplify the calculations.
log(U) = log(x^4 * y^5)

log(U) = 4log(x) + 5log(y)
Now, let's set up the budget constraint equation. Tom spends all his $56 weekly income on goods x and y. Since the price of good x is $2 and the price of good y is not given, we can assume it is $1 for simplicity. Therefore, the budget constraint equation is:
2x + y = 56
Now, we can substitute the budget constraint equation into the log-transformed utility function:
log(U) = 4log(x) + 5log(56 - 2x)
To maximize log(U), we take the partial derivatives with respect to x and y:
d(log(U))/dx = 4/x = -2/5
d(log(U))/dy = 5/(56 - 2x) = 0
Solving these equations gives us x = 10 and y = 36. Therefore, Tom should buy 10 units of good x and 36 units of good y.

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you have a mortgage of $125,600.00 at a 4.95% apr. you make a payment of $1,500.00 each month. what is your principal balance at the beginning of the third month? group of answer choices

Answers

The principal balance at the beginning of the third month is $123,632.68.

To calculate the principal balance at the beginning of the third month, we need to consider the monthly payment and the interest accrued during the first two months.

First, let's determine the interest accrued per month:

Monthly interest rate = Annual interest rate / 12

= 4.95% / 12

= 0.4125%

Next, let's calculate the interest accrued during the first month:

Interest accrued during the first month = Principal balance * Monthly interest rate

= $125,600.00 * 0.4125%

= $518.50

Now, let's calculate the principal reduction during the first month:

Principal reduction during the first month = Monthly payment - Interest accrued during the first month

= $1,500.00 - $518.50

= $981.50

To determine the principal balance at the end of the first month:

Principal balance at the end of the first month = Principal balance - Principal reduction during the first month

= $125,600.00 - $981.50

= $124,618.50

Now, let's repeat the above calculations for the second month:

Interest accrued during the second month = Principal balance at the end of the first month * Monthly interest rate

= $124,618.50 * 0.4125%

= $514.18

Principal reduction during the second month = Monthly payment - Interest accrued during the second month

= $1,500.00 - $514.18

= $985.82

Principal balance at the end of the second month = Principal balance at the end of the first month - Principal reduction during the second month

= $124,618.50 - $985.82

= $123,632.68

Therefore, the principal balance at the beginning of the third month is $123,632.68.

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The BOEHM Cell Phone Company has developed a new series of phones that it plans to bring to the market in the next 18 months. Management is considering whether to produce the product in-house or to contract out the purchasing and manufacturing of their new cell phones. Provide FOUR conditions that would favor outsourcing and FOUR conditions that would favor making the cell phones in-house. PLEASE INCLUDE FOUR CONDITIONS NOT THREE.

Answers

On the other hand, in-house production may be preferred when intellectual property protection is crucial. It allows for better quality control and the ability to customize products based on market feedback.

Conditions favoring outsourcing:

1. Cost savings: If the outsourcing option offers significant cost advantages, such as lower labor or production costs, it may be preferable to manufacture the cell phones externally.

2. Expertise and resources: If the outsourcing partner has specialized knowledge, skills, and resources that the company lacks, it can be beneficial to leverage their expertise to ensure high-quality production.

3. Scalability and flexibility: Outsourcing allows the company to scale production up or down quickly based on market demand without investing in additional infrastructure or workforce.

4. Focus on core competencies: By outsourcing the manufacturing process, the company can concentrate on its core competencies like design, marketing, and customer support, enhancing its overall efficiency and competitiveness.

Conditions favoring in-house production:

1. Intellectual property protection: If the cell phone technology or design is highly proprietary, the company may prefer to keep production in-house to maintain better control over its intellectual property.

2. Quality control: In-house manufacturing provides greater control over quality assurance processes, ensuring that the final product meets the company's standards and customer expectations.

3. Customization and agility: In-house production allows for quicker adjustments and customization of the cell phones based on market feedback or specific customer requirements.

4. Long-term strategic control: By retaining the manufacturing process internally, the company maintains long-term control over its supply chain, reducing dependency on external partners and potential disruptions.

Outsourcing can be favorable if it offers cost savings and access to specialized expertise and resources. It provides scalability and flexibility, enabling the company to adapt to market demands without significant investment. By outsourcing, the company can focus on its core competencies, improving overall efficiency.

On the other hand, in-house production may be preferred when intellectual property protection is crucial. It allows for better quality control and the ability to customize products based on market feedback. In-house production also provides long-term strategic control, reducing reliance on external partners and mitigating potential disruptions in the supply chain. These conditions help the company maintain control, agility, and ensure the highest quality for their cell phones.

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Dimon Company reported long-term debt of $100 million on the Balance Sheet. If an investor wanted to learn more about the debt that had been issued, where would be the best place to look?

Group of answer choices

Proxy Statement.

Income Statement.

Auditor’s Report.

Notes to the Financial Statements.

None of the answers are correct.

Answers

If an investor wanted to learn more about the debt that had been issued, then the best place to look would be the Notes to financial statements.

A financial statement is a record that represents the financial condition of a company, person, or entity. The three key financial statements are:

1. Balance Sheet

2. Income Statement

3. Cash Flow Statement

The Notes to the Financial Statements provide additional information and explanations on the items that are reported on the financial statements. These notes, which are often included as footnotes to the financial statements, provide a more detailed explanation of the financial statements. They also provide additional information about the company's accounting policies, assumptions, and judgments.

The Notes to the Financial Statements include information about the company's long-term debt. This information includes details about the amount of the debt, the interest rate, the maturity date, and any covenants or restrictions that are attached to the debt. This information is important for investors who want to understand the company's debt obligations and the risks associated with them.

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Javier, a new accountant who just opened his accounting firm, contracted with littlebank to engage in?

Answers

Javier, a new accountant who has just opened his accounting firm, contracted a littlebank to get involved in providing accounting services.

What services can Javier provide?

As an accountant, Javier's company signed a contract to perform accounting tasks, such as:

AccountingBudgetAuditingFinancial analysisFinancial Statements

Therefore, Javier's contract with LittleBank provides rights and responsibilities of both companies in outsourcing activities and services conducted by each legally.

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A borrower takes a 30-year fully amortizing 5/1 ARM for $225,000 with an initial interest rate of 4.375 percent. Assuming the index on which the loan rate is based rises by 1 percent in the fourth year of the loan and remains at that level, what will the payment be in the sixth year of loan?

Multiple Choice

$1,403.71

$1,241.89

$1,123.39

Answers

The payment in the sixth year of the loan will be $1,123.39.

The given loan is a 5/1 ARM, which means the interest rate is fixed for the first five years and adjusts annually thereafter based on the index. Since the index rises by 1 percent in the fourth year and remains at that level, the interest rate on the loan will increase by 1 percent in the sixth year.

To calculate the payment, we need to determine the new interest rate for the sixth year. The initial interest rate is 4.375 percent, and since it increases by 1 percent, the new interest rate for the sixth year will be 5.375 percent.

Using the loan amount of $225,000 and a 30-year term, we can calculate the payment using an amortization formula or a mortgage calculator. The payment in the sixth year, considering the new interest rate of 5.375 percent, is $1,123.39.

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Compute the total and annual return on the following investment. Two years after paying $3500 for shares in a startup company, you sell the shares for $2800 (at a loss).


The total return is ____%

Do not round until the final answer. Then round to the nearest tenth as needed.


The annual return is ____%

Answers

The annual return is -55.3%. Both the total return and the annual return are negative, indicating a loss on the investment.

To compute the total and annual return on the investment, we need to calculate the difference between the selling price and the initial purchase price.

Given:

Purchase price: $3500

Selling price: $2800

Total Return = (Selling Price - Purchase Price) / Purchase Price

Total Return = ($2800 - $3500) / $3500

Total Return = -$700 / $3500

Total Return = -0.2 or -20%

The total return is -20%.

To calculate the annual return, we need to know the holding period for the investment. If the investment was held for two years, we can compute the annual return as follows:

Annual Return = (1 + Total Return)^(1 / Holding Period) - 1

Holding Period = 2 years

Annual Return = (1 - 0.2)^(1 / 2) - 1

Annual Return = 0.447 - 1

Annual Return = -0.553 or -55.3%

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Discuss the advantages of survey feedback as an OD tool

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Survey feedback is an organizational development (OD) tool that involves collecting data from employees through surveys and using the feedback to initiate positive changes within the organization.

This approach offers several advantages as an OD tool:

1. Data-driven insights: Survey feedback provides valuable data on employee perceptions, opinions, and experiences. It allows organizations to gather quantitative and qualitative information about various aspects of the workplace, such as employee satisfaction, engagement, communication effectiveness, leadership, and organizational culture. This data-driven approach helps identify areas of strength and areas for improvement within the organization.

2. Employee participation and involvement: Surveys provide employees with an opportunity to voice their opinions and contribute to the decision-making process. This involvement enhances employee engagement and empowers them to become active participants in the change process. When employees feel that their opinions are valued and considered, they are more likely to embrace organizational changes and feel a sense of ownership in the outcomes.

3. Identifying areas for improvement: Survey feedback helps organizations pinpoint specific areas that require attention or improvement. By analyzing survey results, organizations can identify patterns, trends, and areas of concern. This information enables them to prioritize and address key issues affecting employee satisfaction, productivity, and overall organizational performance.

4. Baseline for measuring progress : Surveys establish a baseline for measuring progress over time. By conducting periodic surveys, organizations can track changes and improvements in employee perceptions and satisfaction levels. This allows them to evaluate the effectiveness of interventions and initiatives implemented as part of the OD process.

5. Enhancing communication and transparency: Surveys facilitate open communication and transparency within the organization. They provide a platform for employees to share their thoughts, concerns, and suggestions anonymously, creating a safe space for honest feedback. Survey feedback also encourages open dialogue between employees and management, fostering a culture of transparency and trust.

In conclusion, survey feedback as an OD tool offers advantages such as data-driven insights, employee participation, identification of areas for improvement, measuring progress, enhancing communication, and enabling tailored interventions. By leveraging survey feedback effectively, organizations can drive positive change, enhance employee satisfaction and engagement, and ultimately improve overall organizational performance.

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Provide sales statistics for various vehicle brands in Lithuania.

Answers

In Lithuania, the top-selling vehicle brands, as of January 2021, are Volkswagen, Toyota, Nissan, and BMW.

According to sales statistics, the following are the top-selling vehicle brands in Lithuania: Volkswagen, Toyota, Nissan, BMW.

The Volkswagen brand is the most popular among the Lithuanian public, with 3,056 registered new passenger vehicles in January 2021 alone. The Toyota brand follows closely, with 2,276 vehicles registered in January 2021. Furthermore, the Nissan and BMW brands are also well-liked by the Lithuanian public, with 925 and 772 new passenger vehicles registered, respectively, in the same month.

Therefore, the top-selling vehicle brands in Lithuania, as of January 2021, are Volkswagen, Toyota, Nissan, and BMW.

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The spot exchange the is the exchange rate tgat applied to a(n)
-ADR transaction
-spot trade
-future transaction
-LIBOR transaction
-forward trade

Answers

The spot exchange rate is the exchange rate that applied to a spot trade. The correct option is :"spot trade"

A spot trade is an agreement in which one currency is exchanged for another currency on the spot date, which is typically two business days after the trade date, at the current market exchange rate known as the spot exchange rate. A spot trade is also known as a spot transaction.

The spot exchange rate is the rate at which one currency can be exchanged for another currency at the present time. It's the rate at which you can exchange one currency for another right away, unlike the forward exchange rate, which is the rate at which you can exchange one currency for another at a predetermined future date.

The correct option is :"spot trade"

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Mpho cannot understand why the balance of her bank account in the general ledger does not balance to the monthly bank statement that she receives from the bank

Answers

Mpho's bank account balance in the general ledger does not match the monthly bank statement.

Why might the balance in Mpho's general ledger differ from her bank statement?

There can be several reasons why the balance of Mpho's bank account in the general ledger does not match the monthly bank statement she receives from the bank.

Outstanding checks and deposits: One possible reason is that there might be outstanding checks or deposits that have not yet cleared the bank. These transactions may have been recorded in the general ledger but have not yet been processed by the bank, resulting in a difference between the two balances.

Bank fees and charges: Mpho's bank statement may include fees or charges that are not recorded in the general ledger. Examples of such fees could include monthly service charges, overdraft fees, or ATM fees. These fees reduce the account balance but may not be immediately accounted for in the general ledger.

Errors in recording transactions: Another possibility is that there might have been errors in recording transactions either in the general ledger or on the bank statement.

These errors can include incorrect amounts, missed transactions, or double entries. Discrepancies due to recording errors can accumulate over time and cause a difference between the two balances.

Timing differences: Timing differences between when transactions are recorded in the general ledger and when they appear on the bank statement can also lead to discrepancies.

Transactions that occur near the end of the month may not be reflected on the bank statement until the following month, causing a difference in balances.

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[The following information applies to the questions displayed below.] Mason (single) is a 50 percent shareholder in Angels Corporation (an S Corporation). Mason receives a $186,000 salary working full time for Angels Corporation. Angels Corporation reported $424,000 of taxable business income for the year (2022). Before considering his business income allocation from Angels and the self-employment tax deduction (if any), Mason's adjusted gross income is $186,000 (all salary from Angels Corporation). Mason claims $62,000 in itemized deductions. Answer the following questions for Mason. Note: Leave no answer blank. Enter zero if applicable. Problem 04-46 Part c (Algo) c. Assume the same facts as question (b), except that Angels Corporation reported $174,000 of taxable business income for the year. What is Mason's deduction for qualified business income? Ignore the wage-based limitation when computing the deduction.

Answers

The deduction for qualified business income is $17,400.

To calculate Mason's deduction for qualified business income, we follow these steps: Determine the taxable business income of Angels Corporation: In this case, the taxable business income is $174,000. Calculate Mason's share of the business income: As Mason is a 50 percent shareholder, his share of the business income is calculated by multiplying the taxable business income by his ownership percentage: $174,000 x 50% = $87,000. Calculate the deduction for qualified business income: The deduction for qualified business income equals 20% of Mason's share of the business income. Therefore, the conclusion can be calculated as follows: $87,000 x 20% = $17,400. Thus, the deduction for qualified business income for Mason is $17,400.

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On june 30 and december 31. the proceeds from the bonds are $9,802,072. using effective-interest amortization, how much interest expense will be recognized in 2014?

Answers

The interest expense recognized in 2014 for the company's $10,000,000, 7.8%, 20-year bonds issued at a yield of 8% is approximately $190,810.91.

To calculate the interest expense recognized in 2014 using effective-interest amortization, we need to calculate the interest payments based on the bond terms and the effective interest rate.

Given information:

Principal amount (proceeds from the bonds): $9,802,072

Interest rate: 7.8%

Yield: 8%

Bond term: 20 years

First, let's calculate the annual interest payment:

Principal amount * interest rate = $9,802,072 * 7.8%

= $763,243.62

Since the interest is paid semi-annually, we need to divide this amount by 2:

Annual interest payment / 2 = $763,243.62 / 2

= $381,621.81

Now, let's calculate the interest expense recognized in 2014. The bond was issued on January 1, 2014, so we need to calculate the interest expense for the six months from January 1 to June 30, 2014:

Interest expense for the first six months = $381,621.81 * (6 / 12)

= $190,810.91

Therefore, the interest expense recognized in 2014 would be $190,810.91.

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The correct question is:

A company issues $10,000,000, 7.8%, 20-year bonds to yield 8% on January 1, 2014. Interest is paid on June 30 and December 31. The proceeds from the bonds are $9,802,072. Using effective-interest amortization, how much interest expense will be recognized in 2014?

Assume that you are going to ignore dividends and instead rely on Buffett's lookthrough earnings to represent a firm's current and expected cash flow. The tax rate on dividends is 20%. Current earnings per share are $3.00 and the firm's earnings are expected to grow by 8% in perpetuity. The market capitalization rate is 12% What is the value of the stock? Write your answer to the nearest dollar without the dollar sign (XX). Question 6 0.3/0.3pts All things equal, an investor prefers stocks with a high P/E ratio If the forecast dividend for one year from now is $1.50, the stock price today is $30, and the expected perpetual growth rate is 3%, what is the expected return? (See lecture slides, probably slide 10) Express to the nearest percent, so write 5.2% as 5. If a share of Zoomer is selling for $44 today and is expected to sell for $50 one year from now, what is the expected return if the dividend one year from now is forecast to be $5 ? Express as a percent to one decimal, so write 20.123% as 20.1.

Answers

The information provided in the question is not sufficient to calculate the expected return for the stock in the third question. The dividend amount and future stock price alone are not enough to determine the expected return.

To calculate the value of the stock using Buffett's lookthrough earnings approach, we need to determine the present value of the expected future cash flows. Since we are assuming no dividends, we will rely on the lookthrough earnings.

The current earnings per share (EPS) is given as $3.00. The firm's earnings are expected to grow by 8% in perpetuity. The market capitalization rate, also known as the required rate of return, is 12%.

To calculate the lookthrough earnings, we can use the formula:

Lookthrough Earnings = EPS / (Market Capitalization Rate - Growth Rate)

Lookthrough Earnings = $3.00 / (0.12 - 0.08) = $3.00 / 0.04 = $75.00

Therefore, the value of the stock is approximately $75.

Moving on to the second question regarding the investor's preference for high P/E ratio stocks, the statement is not accurate. All things equal, an investor does not necessarily prefer stocks with a high P/E ratio. The P/E ratio (price-to-earnings ratio) is a valuation metric that compares the price of a stock to its earnings per share. It indicates how much investors are willing to pay for each dollar of earnings.

While some investors might consider a high P/E ratio as an indicator of growth potential or market optimism, others may prefer stocks with lower P/E ratios as they might be undervalued. The investor's preference depends on their investment strategy, risk tolerance, and individual assessment of the company's prospects.

Please note that the information provided in the question is not sufficient to calculate the expected return for the stock in the third question. The dividend amount and future stock price alone are not enough to determine the expected return.

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you are considering purchasing an office building for $2,500,000. you expect the potential gross income (pgi) in the first year to be $450,000; vacancy and collection losses to be 9 percent of pgi; and operating expenses and capital expenditures to be 38 percent and 4 percent, respectively, of effective gross income (egi). what is the effective gross income multiplier? multiple choice 5.56 6.11 16.38

Answers

The effective gross income multiplier is 6.11. So the right answer is (B)

To calculate the effective gross income multiplier, we need to determine the effective gross income (EGI) and divide it by the purchase price of the office building.

Purchase price: $2,500,000

Potential Gross Income (PGI): $450,000

Vacancy and collection losses: 9% of PGI

Operating expenses: 38% of EGI

Capital expenditures: 4% of EGI

Step 1: Determine your Effective Gross Income (EGI).

EGI = PGI - Vacancy and collection losses

EGI = $450,000 - 0.09 * $450,000

EGI = $450,000 - $40,500

EGI = $409,500

Step 2: Calculate the Effective Gross Income Multiplier

Effective Gross Income Multiplier = Purchase price / EGI

Effective Gross Income Multiplier = $2,500,000 / $409,500

Calculating the Effective Gross Income Multiplier:

Effective Gross Income Multiplier ≈ 6.11

Therefore, the correct answer is 6.11 (option B).

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For govt account I need to make a post closing trial balance that includes Fund balances. How do you deal with Encumbrances and encumbrances outstanding?

In my problem I have Encrumbance$10,000 & encumbrance outstanding 10,000.

My feedback was $10,000 is supposed to be in the assigned Fund balance but now my assets arent balanced. I have a post close journal entry but I can't click how its supposed to be in post close balance sheet.

Answers

In the post-closing trial balance, debit Encumbrances and credit Fund Balance for the amount of Encumbrances, and debit Encumbrances and credit Encumbrances Outstanding for the same amount.

When preparing the post-closing trial amount for government accounts that includes Fund balances, you need to account for Encumbrances and Encumbrances Outstanding. To do this, debit the Encumbrances account and credit the Fund Balance account for the amount of Encumbrances. This reflects the commitment of funds for future expenses. Additionally, debit the Encumbrances account and credit the Encumbrances Outstanding account for the same amount. This reverses the original encumbrance entry and recognizes the portion of encumbrances that remain unliquidated. By following these steps, you ensure that the Encumbrances and Encumbrances Outstanding are appropriately accounted for in the post-closing trial balance and maintain balance in the assets section of the balance sheet.

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Consider a consumer with the general perfect substitute utility u(x)=αx_1+βx_2. (a) With an income of I, at what prices will this consumer choose to buy 0 units of good 2? At what prices will this consumer choose to buy 0 units of good 1 ? (b) Given your answer to part a), write the Marshallian Demands x_1^m (p, I) and x_1^m(p, I) as piecewise functions.

Answers

The piecewise functions for the Marshallian Demands are as follows: x1^m(p, I) = 0 for p1 > β/α * p2 , x1^m(p, I) = (I - p2 * x2^m(p, I)) / p1 for p1 < β/α * p2 , x2^m(p, I) = 0 for p2 > α/β * p1 , x2^m(p, I) = (I - p1 * x1^m(p, I)) / p2 for p2 < α/β * p1

(a) The consumer will choose to buy 0 units of good 2 when the price of good 2 is greater than their marginal rate of substitution (MRS) between the two goods. In other words, when the price of good 2 (p2) is greater than α/β times the price of good 1 (p1), the consumer will not purchase any units of good 2. Similarly, the consumer will choose to buy 0 units of good 1 when the price of good 1 (p1) is greater than β/α times the price of good 2 (p2).

(b) The Marshallian Demands x1^m(p, I) and x2^m(p, I) can be expressed as piecewise functions. When p2 > α/β * p1, the demand for good 2, x2^m(p, I), will be 0. When p2 < α/β * p1, the demand for good 2, x2^m(p, I), can be calculated using the budget constraint and the utility maximization condition. Similarly, when p1 > β/α * p2, the demand for good 1, x1^m(p, I), will be 0. When p1 < β/α * p2, the demand for good 1, x1^m(p, I), can be determined based on the budget constraint and the utility maximization condition.

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Now it’s time for you to practice what you’ve learned. Consider the following two probability distributions of expected future returns for stocks A and B: Probability Return Stock A Stock B (%) (%) 0.1 -8% -28% 0.2 1.6 0 0.4 9.6 16 0.2 16 20 0.1 30.4 36 Suppose you know that the expected rate of return for stock A is 9.6% and would like to calculate the expected return for stock B. The expected rate of return for stock B is approximately %. Suppose you

Answers

The expected rate of return for stock B is approximately 11%.

To calculate the expected return for stock B, we need to consider the probability distribution of returns for both stocks A and B.

Let's calculate the expected return for stock B:

Probability   Return Stock B (%)

0.1           -28%

0.2            0%

0.4            16%

0.2            20%

0.1            36%

To calculate the expected return, we multiply each return by its corresponding probability and sum the results:

Expected Return Stock B = (0.1 * -28%) + (0.2 * 0%) + (0.4 * 16%) + (0.2 * 20%) + (0.1 * 36%)

Expected Return Stock B = -2.8% + 0% + 6.4% + 4% + 3.6%

Expected Return Stock B = 11.2%

Therefore, the expected rate of return for stock B is approximately 11.2%.

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