Which table would show the largest factor for an interest rate of 8% for five periods?
a. Future value of an ordinary annuity of 1
b. Present value of an ordinary annuity of 1
c. Future value of an annuity due of 1
d. Present value of an annuity due of 1

Answers

Answer 1

The table that would show the largest factor for an interest rate of 8% for five periods would be the Future Value of an Ordinary Annuity of 1 table.

The Future Value of an Ordinary Annuity of 1 table shows the future value of a series of equal payments made at the end of each period for a given interest rate and number of periods. In this case, we are looking for the table that would show the largest factor for an interest rate of 8% for five periods. The Future Value of an Ordinary Annuity of 1 table would show this, as it calculates the future value of a series of payments at the end of each period, which is what we are looking for. The larger the factor, the larger the future value of the annuity, which would be the case if the interest rate is high and the number of periods is long.

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Related Questions

In deciding how much of a role the guest should play in co-producing an experience,
a. the organization must decide.
b. the guest must decide.
c. both must make the decision as to how much co-production will occur.
d. the choice is mandated by local law.

Answers

Both must make the decision as to how much co-production will occur. Option C is the correct answer.

The level of co-production should be determined by both the organization and the guest, as it requires input and collaboration from both parties. The organization should provide guidelines and options for co-production, while the guest should express their preferences and level of involvement. Ultimately, the decision should be made through mutual agreement between the two parties. There should always the strong hand of organization over the guest as, organization's is much more aware about its consumers than the guest.

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Thomas Electric Systems is considering a project that has the following cash flow and WACC data. What is the project's NPV? Note that a project's projected NPV can be negative, in which case it will be rejected.WACC = 10%Year 0 1 2 3Cash Flows ($1,000) $500 $500 $500

Answers

Thomas Electric Systems is considering a project that has: an NPV that is positive, the project is expected to generate a return greater than the cost of capital, and therefore, it should be accepted.

To calculate the NPV of the project, we need to discount the cash flows at the given WACC of 10%:

Year 0: -$1,000 (initial investment)

Year 1: $500 / (1 + 0.10)^1 = $454.55

Year 2: $500 / (1 + 0.10)^2 = $413.22

Year 3: $500 / (1 + 0.10)^3 = $376.89

Therefore, the NPV of the project is:

NPV = -$1,000 + $454.55 + $413.22 + $376.89

NPV = $244.66

Since the NPV is positive, the project is expected to generate a return greater than the cost of capital, and therefore, it should be accepted.

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adam's perfectly competitive surfboard factory is making positive economic profits. if the price of a surfboard is $900, adam's output is 300 surfboards per month, and his monthly average total cost is $700, what is his monthly profit?

Answers

His monthly profit is $200. The narrative structure and storytelling method known as reverse chronology is used to present the plot in reverse order.

This technique is applied in narratives when the first scene really acts as the storytelling conclusion. Put the position you held most recently or currently at the top. then carry on with the previous ones. This is how the reverse-chronological resume sequence works.

Include your job title, the name of the firm you worked for, and the dates you held each employment. List every degree you have obtained, starting with your undergraduate degree, in reverse chronological order, along with the institution where it was earned and the date it was awarded.

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To calculate Adam's monthly profit, we need to first calculate his total revenue and his total cost.

Adam's total revenue is simply the price per surfboard multiplied by the number of surfboards he produces, so:

Total revenue = Price x Quantity = $900 x 300 = $270,000

Adam's total cost is his average total cost multiplied by the number of surfboards he produces, so:

Total cost = Average total cost x Quantity = $700 x 300 = $210,000

Now we can calculate Adam's monthly profit as follows:

Profit = Total revenue - Total cost = $270,000 - $210,000 = $60,000

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Which one of the following is a primary difference between a public good and a private good? a. A private good is subject to the free-rider problem while a public good is not b. Private goods are purchased by money transfers while public goods are purchased by in-kind transfers ° c. Private goods are manufactured because of the workings of the price system while public goods come about through antitrust legislation d. Private goods are subject to the principle of rival consumption while public goods are not

Answers

The primary difference between a public good and a private good is that d) private goods are subject to the principle of rival consumption while public goods are not.

Private goods are goods that are excludable, meaning that they can be restricted to certain individuals who pay for them, and they are also rival, meaning that consumption by one person reduces the availability of the good for others. Examples of private goods include food, clothing, and cars.

In contrast, public goods are non-excludable and non-rivalrous, meaning that they are available to all individuals and consumption by one person does not diminish the availability of the good for others. Examples of public goods include national defense, clean air, and public parks.

It is important to note that public goods are often subject to the free-rider problem, where individuals may consume the good without contributing to its provision, which makes it difficult for private markets to efficiently provide public goods.

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output growth was negative in both advanced as well as emerging and developing countries in 2009. true or false

Answers

The statement is true. Output growth, or the increase in the production of goods and services, was negative in both advanced and emerging/developing countries in 2009. This was primarily due to the global financial crisis, which affected economies worldwide.


In 2009, output growth was negative in both advanced and emerging/developing countries due to the global financial crisis. This crisis led to a decline in economic activity, impacting both groups of countries. Advanced economies faced issues with financial institutions, while emerging and developing countries experienced reduced trade, capital flows, and investment.

Consequently, the output growth in both advanced and emerging/developing countries suffered, resulting in negative growth rates in 2009. The situation improved in the following years as governments implemented measures to restore stability and stimulate growth.

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when there is no specified or customary means for communicating acceptances, a faster means than that employed by the offeror to make the offer would be considered effective by the courts. true or false?

Answers

This "when there is no specified or customary means for communicating acceptances, a faster means than that employed by the offeror to make the offer would be considered effective by the courtsis" is true.

When there is no specified or customary means for communicating acceptances, the court may consider a faster means of communication as effective. This is based on the principle of reasonableness, where the court considers what a reasonable person would have done in the circumstances.


For example, if an offer was made through mail and the offeree responds by fax, the court may consider the acceptance to be effective because it was a faster means of communication. However, if the offeree chooses a slower means of communication, such as sending a letter, the court may not consider it effective.


It is important to note that the method of communication must still be reliable and actually reach the offeror. If the offeree chooses a method of communication that is not reliable or fails to reach the offeror, the court may not consider the acceptance to be effective.


In summary, when there is no specified or customary means of communication, the court may consider a faster means of communication to be effective based on reasonableness and reliability.

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T/F : If you have a fully funded emergency fund, you might consider increasing your stop-loss.

Answers

True. If you have a fully funded emergency fund, you might consider increasing your stop-loss.

An emergency fund is an essential part of personal finance planning, as it provides a financial cushion for unexpected expenses or emergencies. It helps individuals avoid going into debt or dipping into their investments. Once you have built up a fully funded emergency fund, which should cover at least 3 to 6 months of your living expenses, you can redirect the funds that you were using to build your emergency fund towards other financial goals.One option could be to increase your stop-loss. A stop-loss order is a type of order that instructs your broker to sell a stock if it drops to a certain price, to limit your potential losses. Increasing your stop-loss order could be a smart move, as it can help you protect your investment portfolio.

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Which product would best serve a retired individual looking to invest a lump-sum of money through an insurance company?a) Variable Life. b) Interest-sensitive Life. c) Universal Life. d) Annuity

Answers

The best product for a retired individual looking to invest a lump-sum of money through an insurance company would be d) Annuity.

Annuities provide a steady stream of income during retirement, which can be beneficial for individuals who no longer have a regular salary coming in.

The payments can be made for a specific period or for the individual's lifetime, depending on the type of annuity chosen. Annuities are a popular choice for individuals who are retired or nearing retirement age, as they can provide a stable source of income to help cover expenses during this time.

Annuities can also offer certain tax benefits and protection from market fluctuations. However, it's important to carefully consider the terms and fees associated with any annuity product before making an investment decision.

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Final answer:

The best product for a retired individual that wants to invest a lump-sum of money through an insurance company is an annuity due to the steady flow of income it provides, which can help counteract the impact of inflation on a static pension.

Explanation:

Considering the outlined options for a retired individual looking to invest a lump-sum of money through an insurance company, the best option would likely be the d) Annuity. Annuities offer a series of payments over a certain period of time, which can help to counteract the issue of a static pension not keeping pace with inflation, as mentioned in the provided information. These payments can provide a steady, reliable source of income during retirement, which may be valuable to an individual who previously depended on a defined benefits plan and is looking to maintain purchasing power into their retirement years. None of the other options (Variable Life, Interest-sensitive Life, Universal Life) would typically offer this same type of income flow in retirement.

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A successful business must generate most of its cash from: 0 A. noncash investing and financing activities OB, operating activities. C. financing activities. D. investing activities.

Answers

B. operating activities.

A successful business should generate most of its cash from its core business operations, which are categorized as operating activities. This includes the cash inflows and outflows related to the day-to-day activities of the business, such as sales, purchases, and payments to employees. While investing and financing activities can also generate cash for a business, they are typically less predictable and can be influenced by external factors. Cash generated from operating activities helps to sustain and grow the business, while cash from investing and financing activities are more focused on long-term growth and stability. Therefore, a business that relies too heavily on non-operating activities to generate cash may be considered less stable and less sustainable in the long run.
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maryann must consider the various bakery expenses involved with making and delivering each crepe, for example, flour, eggs, milk, sugar, and butter. these costs are classified asmultiple choicevariable.inelastic.total.incidental.fixed.

Answers

Variable costs are expenses that vary with the level of output or sales. They are also known as direct costs, as they can be directly attributed to the production or sale of a product or service.

In the case of a bakery, the cost of the ingredients used to make each crepe would be a variable cost because the amount of ingredients needed would increase or decrease depending on how many crepes were being made.

Other examples of variable costs include direct labor costs, sales commissions, and the cost of raw materials. Variable costs can be an important consideration for businesses because they can affect profit margins and break-even points.

As output or sales increase, variable costs will also increase, which can impact the overall profitability of the business. Conversely, as output or sales decrease, variable costs will also decrease, which can help to mitigate the impact of declining revenues on profitability.

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in the scrum method, team members work as a self-directed group coached by the scrummaster. True/False

Answers

True. In the scrum method, the team members work as a self-directed group under the guidance and coaching of the scrum master. The scrum master helps the team understand and implement the principles and practices of scrum, while also facilitating the daily scrum meetings, sprint planning, and retrospectives.

The team is responsible for organizing themselves and managing their work to ensure that they deliver the agreed-upon product increment within the given sprint time-box. The team members collaborate closely, share knowledge and skills, and take collective ownership of the work to be done. Therefore, the scrum method emphasizes teamwork, self-organization, and empowerment of the team members, all of which lead to greater productivity and higher quality deliverables.

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as aggregate demand shifts left along the short-run aggregate supply curve, a. unemployment is higher and inflation is lower. b. unemployment and inflation are lower. c. inflation is higher and unemployment is lower. d. inflation and unemployment are higher.

Answers

As aggregate demand shifts left along the short-run aggregate supply curve, unemployment is higher and inflation is lower. Thus, the correct option is A.

When aggregate demand shifts left along the short-run aggregate supply curve, it means that there is less demand for goods and services at any given price level.

This leads to a decrease in the quantity of goods and services produced and a decrease in the price level. As a result, firms will reduce their production levels and lay off workers, leading to higher unemployment.

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Which of the following is NOT mentioned as one of the major challenges to systems​ development?
A.
Scheduling and budgeting problems
B.
The difficulty of determining the requirements
C.
Economies of scale
D.
Changing technology
E.
Dealing with changes in requirements

Answers

C. Economies of scale is not mentioned as one of the major challenges to systems development.

Economies of scale refer to the cost advantages that a company can achieve by increasing its production and expanding its operations. As production increases, the average cost per unit of output typically decreases due to factors such as improved efficiency, increased specialization, and bulk purchasing power. However, this is generally considered to be an advantage rather than a challenge to systems development. The other options listed are major challenges that can arise during systems development.

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Which of the following refers to the emphasis achieved b the scaling of sizes or shapes?
a. balance
b. proportion
c. gradation
d. unity

Answers

The answer is b. proportion. Proportion refers to the relationship of sizes or shapes to each other and how they are scaled in relation to each other.

When certain elements are scaled larger or smaller than others, it can create emphasis or hierarchy within the composition. This can be used to draw attention to certain elements or create a sense of movement or flow. Proportion is an important aspect of design, as it can greatly impact the overall impact and effectiveness of a design. It is important to consider proportion when working with typography, graphics, images, and other design elements to ensure that they work together harmoniously and achieve the desired visual effect.

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the following materials standards have been established for a particular product: standard quantity per unit of output 4.2 meters standard price $18.40 per meter the following data pertain to operations concerning the product for the last month: actual materials purchased 7,200 meters actual cost of materials purchased $138,600 actual materials used in production 6,700 meters actual output 1,550 units what is the materials price variance for the month?

Answers

There is an unfavorable variance, as the actual cost of materials is higher than the standard cost.

How to solve

To calculate the materials price variance, we first need to find the actual price per meter and the standard cost of materials purchased.

The actual price per meter is $138,600 / 7,200 meters = $19.25 per meter.

The standard cost of materials purchased is 7,200 meters * $18.40 per meter = $132,480.

The materials price variance for the month is the difference between the actual cost and the standard cost, which is $138,600 - $132,480 = $6,120.

This represents an unfavorable variance, as the actual cost of materials is higher than the standard cost.


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a purely competitive seller should produce (rather than shut down) in the short run:

Answers

A purely competitive seller is one that operates in a market where there are many buyers and sellers, and there are no barriers to entry or exit.

This means that the seller cannot influence the price of the product, and they must accept the market price. In the short run, a purely competitive seller should produce instead of shutting down because they can still cover their variable costs.


Variable costs are costs that vary with the level of production. For example, the cost of raw materials, labor, and energy are variable costs.

In the short run, a purely competitive seller can cover their variable costs by producing, even if they cannot cover their fixed costs. Fixed costs are costs that do not vary with the level of production. For example, the cost of rent, insurance, and depreciation are fixed costs.



If a purely competitive seller shuts down in the short run, they will not be able to cover any of their costs, including their variable costs.

However, if they produce, they can still cover their variable costs and make a contribution to their fixed costs. This is because they are still generating revenue from their sales, even if it is not enough to cover all of their costs.



In conclusion, a purely competitive seller should produce in the short run instead of shutting down because they can still cover their variable costs. Shutting down would result in zero revenue and the inability to cover any costs, whereas producing can still generate revenue and cover variable costs.

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what do we call a system of accounts that records a country’s international financial transactions?

Answers

A system that records a country's international financial transactions is called the Balance of Payments (BoP).

The BoP is a comprehensive and systematic account of all the economic transactions between a country and the rest of the world, conducted during a specific time period, typically a quarter or a year. It is essential for monitoring and analyzing a nation's economic health and informing policy decisions.

The BoP is divided into two main accounts: the Current Account and the Capital Account. The Current Account includes transactions related to trade in goods and services, income from investments, and unilateral transfers such as remittances and foreign aid. The Capital Account comprises transactions involving financial assets and liabilities, including foreign direct investments, portfolio investments, and changes in reserve assets.

Both accounts are essential for understanding the inflows and outflows of a country's financial resources and maintaining equilibrium in the international economy. A surplus or deficit in one account usually corresponds to a deficit or surplus in the other, which helps maintain the balance. By tracking these transactions, policymakers and economists can assess a country's economic performance and make informed decisions to promote growth and stability.

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If 100% of any change in income is spent on consumption goods, the multiplier will be...
A. equal to the MPC.
B. equal to one.
C. equal to zero.
D. infinitely large.

Answers

If 100% of any change in income is spent on consumption goods, the multiplier will be infinitely large. This is because the multiplier effect measures the total increase in economic activity resulting from an initial injection of spending.

When all additional income is spent on consumption goods, the initial injection of spending will lead to increased demand for goods and services, which in turn leads to increased production and income for producers, who in turn spend their additional income on consumption goods.

This cycle continues, creating a larger and larger impact on the economy. However, it's important to note that this scenario is theoretical and unlikely to happen in real-life situations.

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Core inflation is found by removing _________ from the consumer price index.a)producer pricesb)food and energyc)housingd)medical care

Answers

The best alternative is option B that is food and energy . Core inflation is found by removing food and energy from the consumer price index (CPI). The reason for this is that food and energy prices are known to be volatile and can fluctuate significantly, making it difficult to obtain an accurate measure of overall price changes.

By removing these items, core inflation provides a more stable and consistent measure of price changes that can better reflect underlying economic trends. Other items that are often removed from the CPI calculation include housing and medical care, which can also be subject to significant fluctuations due to changes in supply and demand. Overall, core inflation is a valuable tool for policymakers and economists who are interested in understanding the overall direction and magnitude of price changes in the economy over time.By focusing on the remaining components of the consumer price index, core inflation helps policymakers and economists better understand the underlying inflationary trends and make informed decisions on monetary policy.

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question content area part 1 the federal deposit insurance corporation part 2 a. insures the deposits held by the fed. b. insures the open market operations of the fed. c. insures the deposits held in banks. d. insures banks against lawsuits by depositors.

Answers

The Federal Deposit Insurance Corporation (FDIC) is a government agency that provides insurance for deposits held in banks. This insurance is intended to protect depositors in case their bank fails or becomes insolvent.

The FDIC operates under the Federal Reserve System and is responsible for regulating and supervising banks to ensure they are operating in a safe and sound manner.

Part 2 of your question relates to the scope of the FDIC's insurance coverage. Specifically, the FDIC insures deposits held in banks up to a certain amount per depositor. This amount is currently set at $250,000 per depositor, per insured bank. It is important to note that this insurance only applies to deposits held in banks, not other types of financial institutions like credit unions or investment firms.

Regarding the options presented, (a) is correct as the FDIC does insure deposits held by the fed. (b) is incorrect as the FDIC does not insure open market operations of the fed. (c) is correct as the FDIC does insure the deposits held in banks. (d) is incorrect as the FDIC does not insure banks against lawsuits by depositors.

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plunkett gym equipment inc. has a $1,000 par value convertible bond outstanding that can be converted into 50 shares of common stock. the common stock is currently selling for $34.30 a share, and the convertible bond is selling for $1,758.50. a. what is the conversion value of the bond?

Answers

The conversion value of the bond is $1,715. The conversion value of a bond refers to the value of the underlying shares that can be obtained upon conversion of the bond.

In this case, Plunkett Gym Equipment Inc. has a $1,000 par value convertible bond outstanding that can be converted into 50 shares of common stock.

To calculate the conversion value of the bond, we need to multiply the number of shares that can be obtained upon conversion (50) by the current market price of the common stock ($34.30).

So, the conversion value of the bond is:

50 x $34.30 = $1,715

However, it's important to note that the convertible bond is currently selling for $1,758.50, which is higher than the conversion value of $1,715. This means that the bond is selling at a premium to its conversion value.


Overall, investors who believe that the common stock price will rise in the future may be willing to pay the premium price for the convertible bond, as they can potentially benefit from both the bond's fixed interest payments and the potential appreciation of the underlying shares upon conversion.

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Stephen buys products for personal and household use, not for business purposes. He is aConsumerMarketAuthority

Answers

Stephen is considered a consumer as he buys products for personal and household use, rather than for business purposes.

As a consumer, Stephen has certain rights and protections under the law. For example, he has the right to receive goods of satisfactory quality, and if something goes wrong with a product he has purchased, he may be entitled to a refund or replacement. The Consumer Rights Act 2015 outlines these rights and provides a framework for resolving disputes between consumers and businesses. It is important for Stephen to be aware of his rights as a consumer to ensure that he is not taken advantage of by businesses. Overall, as a Consumer Market Authority, Stephen has the power to make informed decisions about his purchases and to hold businesses accountable if they do not meet their obligations to consumers.

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Because global economies are interconnected, all of the following statements are true exceptLess-developed countries are less likely to feel the effects of a global economic crisis.Economic crises can spread rapidly around the world.Managers who see growth in one economy should look for growth in other economies.Companies will face economic crises on a regular basis.

Answers

The statement that is not true among the given options is "Less-developed countries are less likely to feel the effects of a global economic crisis.

This is because even though developed countries may be more integrated into the global economy, less-developed countries are still affected by economic crises in various ways. For example, they may experience decreased demand for their exports, reduced foreign investment, and higher borrowing costs.

In addition, economic crises can spread rapidly around the world, as seen in the 2008 global financial crisis, which started in the United States but affected countries worldwide. Hence, managers who see growth in one economy should look for growth in other economies to diversify their risks and take advantage of new opportunities. Finally, companies cannot avoid economic crises entirely, but they can prepare for them by maintaining strong financial positions, managing risks, and adapting their strategies as needed.

In conclusion, all the statements except one are true, and it is important for businesses and managers to understand the interconnectedness of global economies to navigate the challenges and opportunities they present.

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the shift of the budget line from cd to ab in the above figure is consistent with:
A. decreases in the prices of both M and N.
B. an increase in the price of M and a decrease in the price of N.
C. a decrease in money income.
D. an increase in money income.

Answers

Answer:

Explanation:D. an increase in money income.

A budget line shows the combinations of two goods that a consumer can afford given their budget constraint, which is determined by their income and the prices of the goods. The slope of the budget line represents the relative prices of the two goods.

If the budget line shifts from cd to ab, this means that the consumer can now afford to buy more of both goods, since the budget constraint has expanded. This could be due to an increase in money income, which would allow the consumer to spend more money on goods and services.

Decreases in the prices of both goods (choice A) or an increase in the price of one good and a decrease in the price of the other (choice B) could also lead to a shift of the budget line outward, but these options are not as general as an increase in money income, which can apply to any combination of goods. A decrease in money income (choice C) would shift the budget line inward, making the consumer afford fewer goods.

The correct answer is C. a decrease in money income. When there is a decrease in income, the budget line shifts inward, resulting in a decrease in the amount that can be spent on both goods, represented by the shift from cd to ab in the figure.

The shift of the budget line from CD to AB is consistent with a decrease in the prices of both M and N because when the prices of both goods decrease, the consumer can now afford more of both goods with the same income, which leads to an outward shift of the budget line.

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the order quantity in a periodic review system rises as the on-hand inventory level falls.

Answers

In a periodic review system, the order quantity is often determined by a target inventory level that needs to be maintained between inventory reviews. As the on-hand inventory level falls below the target level, the order quantity is likely to increase.

The reason for this is that a periodic review system typically involves placing an order at fixed intervals, such as weekly or monthly, rather than continuously monitoring inventory levels and placing orders as needed. Therefore, the order quantity needs to be large enough to cover demand during the time between inventory reviews.

When the on-hand inventory level is high, the order quantity may be smaller because there is less risk of stockouts. However, as the on-hand inventory level falls, the risk of stockouts increases, and the order quantity needs to be larger to ensure that enough inventory is available to meet demand until the next inventory review.

It is worth noting that the order quantity in a periodic review system is also influenced by other factors, such as lead times, order costs, and carrying costs. These factors need to be taken into account when determining the optimal order quantity for a given situation.

Overall, the order quantity in a periodic review system is likely to rise as the on-hand inventory level falls, but the specific relationship between inventory levels and order quantities will depend on various factors and needs to be carefully evaluated.

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.Who is responsible for overseeing the scope, schedule, budget, and quality of a project?
a. Project sponsor
b. Project manager
c. Product lead
d. Primary stakeholders

Answers

b. Project manager is responsible for overseeing the scope, schedule, budget, and quality of a project. The project manager is the person who is responsible for planning, executing, and closing a project.

They are accountable for ensuring that the project is completed within the specified scope, schedule, budget, and quality parameters. The project manager is responsible for managing the project team, communicating with stakeholders, identifying and managing project risks, and ensuring that the project is aligned with the organization's strategic goals. The project manager works closely with the project sponsor, who provides strategic direction and support for the project, as well as with the product lead and primary stakeholders to ensure that the project meets their needs and expectations.

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In comparison to a floating exchange rate regime, a fixed exchange rate system is characterized by: a) More fluctuation in currency values b) Greater government intervention c) Greater stability in currency values d) More speculative activity in the currency markets

Answers

In comparison to a floating exchange rate regime, a fixed exchange rate system is characterized by greater stability in currency values (option c) and greater government intervention (option b).

In comparison to a floating exchange rate regime, a fixed exchange rate system is characterized by greater stability in currency values.

This is because in a fixed exchange rate system, the central bank or government sets a specific value for the currency and intervenes in the foreign exchange market to maintain that value. This reduces fluctuations in the currency's value and provides more certainty for international trade and investment.

However, this also means that there is greater government intervention in the economy and less flexibility for responding to economic shocks. There may also be less speculative activity in the currency markets because there is less uncertainty about the future value of the currency.

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a cash budget estimates receipts and expenditures of money on a daily or weekly basis..
T/F

Answers

The given statement, "a cash budget estimates receipts and expenditures of money on a daily or weekly basis." is true because when cashflows are managed properly, the business is better able to control its operational cycle, which boosts revenues and reduces bad debt reserves.

Any budget exercise's success depends on the methods used to project its numbers, and the better the numbers are forecasted, the better the exercise's chances of success. Following the completion of the capital and all operational budget components, the budget for cash is created. To make sure the business has enough money to cover its obligations, the finance officer should ideally check the cash budget every day or once a week.

A company's estimated cash inflows and outflows for a given time period—which could be defined as every week, every month, every quarter, or annually—is known as a cash budget. Typically, cash budgets are viewed from either a short-term or long-term perspective. Long-term cash budgets concentrate on the financial needs for the next year to many years, whereas short-term cash budgets concentrate on the cash needs needed for the coming week or months.

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in the short run, policy that changes aggregate demand changes a. neither unemployment nor the price level. b. only the price level. c. only unemployment. d. both unemployment and the price level.

Answers

In the short run, a policy that changes aggregate demand can have an impact on option d) both unemployment and the price level.

The concept of aggregate demand refers to the total demand for goods and services in an economy, and this can be influenced by various factors such as government spending, taxes, and monetary policy. When the government implements policies that increase aggregate demand, such as increasing government spending or reducing interest rates, it can lead to an increase in economic activity and a decrease in unemployment in the short run.


However, these policies can also lead to inflationary pressures, which can result in an increase in the price level. This is because increased demand for goods and services can lead to higher prices if the supply cannot keep up with the demand. Therefore, in the short run, a policy that changes aggregate demand can have both positive and negative effects on the economy, affecting both unemployment and the price level.


In conclusion, the correct answer to the question is d. Both unemployment and the price level can be affected by policies that change aggregate demand in the short run. It is important to note that the long-term effects of such policies may be different and depend on other factors such as the supply side of the economy and the level of productivity.

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sort the following market structures by the price expected in each, from lowest price to highest price.
-Competitive Market
-monopoly
-duopoly

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In summary, the market structures can be sorted by the expected price in each as follows:1. Competitive Market (lowest price)  2. Duopoly  3. Monopoly (highest price)

sort the market structures by the expected price in each, from lowest to highest price.
1. Competitive Market: In a competitive market, there are numerous firms selling identical products or services. This structure has the lowest expected prices because firms compete on price, driving it down to the point where they cover their costs and earn a normal profit.
2. Duopoly: A duopoly consists of two firms dominating the market for a particular product or service. While they have more pricing power than firms in a competitive market, they still have to consider the actions of their competitor. This competition keeps prices lower than in a monopoly but higher than in a competitive market.
3. Monopoly: In a monopoly, a single firm controls the entire market for a product or service, and there are no close substitutes available. This market structure has the highest expected prices because the monopolist can set prices without facing direct competition, allowing them to maximize their profit.

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