Consider an economy described by the 6 following equations. In this economy, compute private saving, public saving, and national saving is there a budget surplus or deficit?
(1) Y=C+I+G
(2) Y = 6,000
(3) G= 1,250
(4) T = 1,500
(5) Consumption function: C = 200+ 0.8(Y-T)
(6) Investment function : 1 = 1000 4r
Select one
a. Public Saving= 250; Private saving-750 and National saving-1,000. There is a budget surplus
b. Public Saving= 250, Private saving-700 and National saving-950. There is a budget surplus
c. Public Saving= -250, Private saving= 750 and National saving-500. There is a budget deficit
d. Public Saving=-250, Private saving-700 and National saving-450. There is a budget deficit

Answers

Answer 1

To compute private saving, public saving, and national saving, we need to use the given equations and formulas.

Private Saving (Sprivate) = Y - T - C

Public Saving (Spublic) = T - G

National Saving (Snational) = Sprivate + Spublic

Given:

Y = 6,000

G = 1,250

T = 1,500

C = 200 + 0.8(Y - T)

I = 1,000 - 4r (not provided)

Let's calculate the values:

C = 200 + 0.8(Y - T)

= 200 + 0.8(6,000 - 1,500)

= 200 + 0.8(4,500)

= 200 + 3,600

= 3,800

Private Saving (Sprivate) = Y - T - C

= 6,000 - 1,500 - 3,800

= 700

Public Saving (Spublic) = T - G

= 1,500 - 1,250

= 250

National Saving (Snational) = Sprivate + Spublic

= 700 + 250

= 950

Based on the calculations, we have:

Private Saving (Sprivate) = 700

Public Saving (Spublic) = 250

National Saving (Snational) = 950

To determine if there is a budget surplus or deficit, we compare public saving to zero. If Spublic is positive, there is a budget surplus. If Spublic is negative, there is a budget deficit.

In this case, Spublic is 250, which is positive. Therefore, the correct option is:

b. Public Saving = 250, Private saving = 700, and National saving = 950. There is a budget surplus.

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Related Questions

If the following times are estimated for an activity of the project, calculate the mean and the variance using PERT analysis.
a = 5
b = 13
m = 9

Answers

PERT (Program Evaluation and Review Technique) analysis is an approach used in project management to estimate project completion times based on three time estimates: optimistic (O), most likely (M), and pessimistic (P).

The mean and variance are used to determine the probability distribution for the completion time of a particular activity given these estimates.If the optimistic time (b) is 13 and the most likely time (m) is 9, we can calculate the pessimistic time (p) using the formula: p = (4m - b)/3p = (4 * 9 - 13)/3p = 7Therefore, the three time estimates for this activity are:b = 13m = 9p = 7The mean of these estimates can be calculated using the formula: mean = (b + 4m + p)/6mean = (13 + 4 * 9 + 7)/6mean = 10The variance can be calculated using the formula: variance = ((b - m)/6)^2 + ((p - m)/6)^2 + ((p - b)/6)^2variance = ((13 - 9)/6)^2 + ((7 - 9)/6)^2 + ((7 - 13)/6)^2variance = 1.67Therefore, the mean completion time for this activity is 10, and the variance is 1.67. These values can be used to estimate the probability distribution for the completion time of the activity and to make decisions about the project schedule and resources needed.

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Cumberland’s Contracting uses linoleum, l, and vinyl, v, panels to produce floors in homes.
The two inputs are perfect substitutes, but due to the slightly higher quality of their vinyl supplier,
the marginal product of vinyl panels is three floors and the marginal product of linoleum panels is two
floors. These marginal products are constant.
(a) (3) Write down the production function relating output to the amount of linoleum and vinyl
panels used in production (f(ql,qv)).
(b) (3) Given your production function in part (a), does the firm’s technology exhibit increasing,
constant, or decreasing returns to scale? Justify your answer.
(c) (6) Graph the isoquants corresponding to 6, 12, and 24 floors produced with linoleum panels on
the horizontal axis and vinyl panels on the vertical axis. Label all relevant slopes and intercepts,
as well as each isoquant. What is the MRTS?
(d) (8) Suppose that each package of linoleum paneling costs $50 and each package of vinyl paneling
costs $100. Derive an expression for a firm’s minimum costs of producing f floors, taking into
account the input bundle the firm demands and showing clearly how you arrived at your answer.

Answers

(a) The production function for the floor production of Cumberland’s Contracting relating output to the amount of linoleum and vinyl panels used in production is given as:f(ql,qv)=2ql+3qv(b)The firm’s technology exhibits constant returns to scale.

This is because if we double all inputs, we get double the output. If we triple all inputs, we get triple the output. Therefore, there is no increase or decrease in returns to scale.(c) The isoquants corresponding to 6, 12, and 24 floors produced with linoleum panels on the horizontal axis and vinyl panels on the vertical axis are given as:Marginal rate of technical substitution (MRTS) is the slope of the isoquant curve.

MRTS = ΔL/ΔK(d) The cost of producing f floors using linoleum and vinyl panels is given as: C=50ql+100qvThe minimum cost of producing f floors is determined by setting the marginal product of the two inputs equal to their relative prices, and solving for one of the inputs in terms of the other. That is,MPL/PL = MPV/PV = MRTSWhere MPL is the marginal product of linoleum, PL is the price of linoleum, MPV is the marginal product of vinyl, and PV is the price of vinyl.

The MRTS is given as MRTS = MPL/MPV = 2/3.So, we have: MPL/50 = MPV/100Or, MPL = 0.5MPVHence, the cost function can be written as:C = 50ql + 100qv = 50ql + 100(0.5MPV)ql = 50ql + 50ql = 100qlThus, the minimum cost of producing f floors is C = 100f.

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in which social context does reciprocal socialization take place?

Answers

Reciprocal socialization takes place within the context of social interactions and relationships.

It refers to the dynamic and bidirectional exchange of social influence between individuals, where both parties actively engage and influence each other's behaviors, thoughts, and emotions. This process occurs within various social contexts, including family, friendships, romantic relationships, workplace interactions, and other social groups.

Reciprocal socialization is essential for the development of social skills, identity formation, and the maintenance of healthy relationships. It involves mutual responsiveness, communication, negotiation, and adaptation to the social environment, fostering mutual growth and development.

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Cryptocurrencies saw a huge increase in price between the beginning and end of 2017 due in large part to a speculative bubble. It can be useful to think of cryptocurrencies as foreign currencies. For the sake of this question, assume that all cryptocurrencies are converted to Bitcoin before being exchanged for domestic currencies (this means that you can think of "cryptocurrencies" as a single type of foreign currency)

1. What would happen to the price of cryptocurrencies if large retailers like Amazon, Walmart, and Alibaba begin to accept cryptocurrencies for payment? Why?

2. Assume that before large retailers began to accept cryptocurrencies, they were being used mainly for nefarious activities. What do you think would happen to the real price of those nefarious activities after large retailers begin to accept cryptocurrencies?

Answers

This increased demand and positive sentiment could further drive up the price of cryptocurrencies. This shift could also be attributed to improved regulatory measures and increased scrutiny on the use of cryptocurrencies for illegal purposes.

If large retailers like Amazon, Walmart, and Alibaba begin to accept cryptocurrencies for payment, it is likely to have a positive impact on the price of cryptocurrencies. The increased acceptance by major retailers would validate cryptocurrencies as a legitimate form of payment, enhancing their utility and increasing demand. This increased demand, coupled with a limited supply of cryptocurrencies, would create upward pressure on their prices. Moreover, the participation of reputable retailers would increase the adoption and awareness of cryptocurrencies among the general public, attracting more investors and users to the market. This increased demand and positive sentiment could further drive up the price of cryptocurrencies.

Assuming that cryptocurrencies were primarily used for nefarious activities before large retailers began accepting them, the real price of those illicit activities is likely to decline. The acceptance of cryptocurrencies by reputable retailers would lead to greater mainstream adoption and integration into legal and legitimate economic activities. As a result, the utility of cryptocurrencies for illicit purposes would diminish as the risk of detection and legal consequences increases. With reduced demand for cryptocurrencies in nefarious activities, the market dynamics would shift, potentially leading to a decrease in the real price of those activities. This shift could also be attributed to improved regulatory measures and increased scrutiny on the use of cryptocurrencies for illegal purposes.

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what amount should swifty report as inventories in its balance sheet?

Answers

The specific amount that Swifty should report as inventories in its balance sheet would depend on the valuation method used and the current value of its inventory.

In accordance with generally accepted accounting principles (GAAP), Swifty should report inventories on its balance sheet at the lower of cost or net realizable value. Cost refers to the historical cost incurred to acquire or produce the inventory, including direct costs such as purchase price, production costs, and transportation expenses. Net realizable value, on the other hand, represents the estimated selling price of the inventory minus any estimated costs necessary to make the sale.

To determine the specific amount to report as inventories, Swifty would need to assess the current value of its inventory using either the cost method (such as FIFO or weighted average) or the net realizable value method, depending on the nature of its inventory. The chosen valuation method should be consistently applied across reporting periods.

It is important for Swifty to accurately assess and report the value of its inventories on the balance sheet to provide stakeholders with relevant and reliable information about the company's assets and financial position. This ensures transparency and assists in making informed business decisions.

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When drawing a standard demand curve on a graph a. Price is on the vertical axis while time is on the horizontal axis b. Price is on the vertical axis while quantity is on the horizontal axis c. Quantity is on the vertical axis while price is on the horizontal axis d. Quantity goes up as you approach the origin e. The closer to zero, the higher the price

Answers

When drawing a standard demand curve on a graph, Price is on the vertical axis while quantity is on the horizontal axis, is the correct option. :A demand curve is a graphical representation of the relationship

:A demand curve is a graphical representation of the relationship between the price of a good or service and the quantity demanded. A demand curve typically slopes downwards from left to right,

indicating that as the price of a good or service increases, the quantity demanded decreases.Therefore, the correct option is b) Price is on the vertical axis while quantity is on the horizontal axis.A demand curve typically slopes downwards from left to right,

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it may be the direction things are headed anyway, he says. "I don't think it's just manage- ment practices that are getting soft."
Questions 1. What are some of the potential advantages of providing employees with 2. 3. relatively positive performance appraisals and feedback? What are some of the potential disadvantages of providing employees with positive performance appraisals and feedback?
What are some of potential advantages of providing employees with negative feedback? What are some of the potential disadvantages of providing employees with negative feedback? Source: Rachel Feintzelg. "You're Awesome! Firms Scrap Negative Feedback, The Wall Street Journal, February 11, 2015, B1, B5, 4.

Answers

The potential advantages and disadvantages of providing employees with negative feedback.

The potential advantages of providing employees with negative feedback are as follows:

Motivation: It can motivate employees to make progress and do better next time.Learning: When employees receive negative feedback, they learn from their mistakes and try to improve.Correcting mistakes: Negative feedback helps employees to correct their mistakes and rectify their weaknesses.Realigning goals: The negative feedback given to employees can realign their goals and priorities and set them in the right direction.

The potential disadvantages of providing employees with negative feedback are as follows:

Demotivation: It can lead to employee demotivation and dissatisfaction with the work they are doing.Insecurity: Negative feedback can lead to insecurity among employees regarding their work and job performance.Anxiety: It can cause anxiety among employees, leading to a negative work environment and lack of trust and communication between managers and employees.Lower morale: Negative feedback can lower morale among employees, leading to decreased productivity and decreased job satisfaction.

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Explain why the pursuit of a
balanced-budget (or deficit target) during
a recession may worsen the
recession?

Answers

In an economic recession, a government with a balanced-budget or a deficit target may have a difficult time implementing these policies.

This is because implementing these policies may lead to further economic problems that could worsen the recession. A balanced budget is one in which the government spends only as much money as it takes in from revenue. A deficit target is when the government aims to reduce its overall debt by reducing the annual deficit. While these policies are desirable, they may not be the best course of action during an economic recession. This is because when the government attempts to reduce spending and increase taxes to meet these goals, it may reduce demand for goods and services.

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In regards to change, all of the following statements are correct, EXCEPT?

Group of answer choices

Those affected by the change must feel that management supports the change.

BBusiness processes should not be changed to use a new system..

Those affected by the change must see that there is a need to change.

Those affected by the change must be trained on the new technology or process.

Answers

The correct answer is: Business processes should not be changed to use a new system.

This statement is incorrect. In the context of change management, it is often necessary to change or modify existing business processes to align with new systems or technologies.

When implementing a new system or technology, organizations typically assess and re-engineer their existing processes to optimize efficiency, improve productivity, and leverage the capabilities of the new system.

Adjusting business processes to accommodate the new system is a common practice in change management to ensure smooth integration and maximize the benefits of the change.

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Spotting the bubble : Generally, it is really hard to spot
bubbles with any confidence before they burst. Here, you need to
make a point why is it so hard to spot bubbles. Your analysis in
this part s

Answers

Spotting bubbles in financial markets is indeed a challenging task that is often fraught with uncertainty. Identifying bubbles before they burst is a complex and challenging task due to the lack of a consensus definition, the intricate nature of financial markets, the bias introduced by hindsight analysis, information asymmetry, herding behavior, and the uncertainty surrounding timing.  

There are several reasons why it is difficult to identify bubbles with confidence before they burst. Here is an analysis of the factors contributing to this difficulty:

1. Lack of Consensus Definition: There is no universally agreed-upon definition of what constitutes a bubble. Bubbles are characterized by rapid and unsustainable asset price increases followed by a sharp decline. However, determining when price increases become excessive and unsustainable is subjective and can vary depending on market conditions and investor sentiment.

2. Complexity of Financial Markets: Financial markets are complex systems influenced by a multitude of factors, including economic fundamentals, investor behavior, market psychology, and policy decisions. These factors interact in intricate ways, making it challenging to isolate and accurately assess the underlying causes of price movements.

3. Hindsight Bias: Bubbles are often recognized in hindsight when it becomes clear that prices were significantly detached from fundamentals. However, this retrospective view can create a bias in our perception of bubbles, as it is easier to identify and analyze historical events than to predict future outcomes.

4. Information Asymmetry: Market participants have access to varying degrees of information, and some may possess more accurate or timely data than others. As a result, it can be challenging to differentiate between genuine price appreciation driven by fundamental factors and speculative excesses fueled by misinformation or incomplete information.

5. Herding Behavior and Feedback Loops: Bubbles are often fueled by herd mentality, where investors follow the crowd and push prices higher based on the belief that others will continue to buy. This collective behavior can create feedback loops, reinforcing price increases and making it difficult to gauge the sustainability of the trend.

6. Timing Uncertainty: Even if one identifies signs of a potential bubble, accurately predicting the timing of its burst is extremely challenging. Bubbles can persist for longer periods than expected, driven by factors such as investor psychology, liquidity, or external events. Attempting to time the market and exit before a bubble bursts carries its own risks and uncertainties.

It requires a comprehensive analysis of multiple factors and continuous monitoring of market conditions. While there may be indicators and warning signs, accurately spotting bubbles with confidence remains a formidable challenge for market participants and analysts alike.

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You expect to receive two cash flows: $44,000 paid in 5 years and $66,000 paid in 10 years. You'll put the money into a savings account with an annual interest rate of 2%.

1) What is the future value of the combined cash flows, in 15 years?

Answers

The future value of the combined cash flows in 15 years is approximately $128,494.29.

For the first cash flow of $44,000 received in 5 years, we can use the future value formula:

FV1 = PV1 * (1 + r)^n1

Where:

FV1 = Future value of the first cash flow

PV1 = Present value of the first cash flow ($44,000)

r = Interest rate per period (2% per year)

n1 = Number of periods for the first cash flow (15 years - 5 years = 10 years)

The future value of the combined cash flows, $44,000 paid in 5 years and $66,000 paid in 10 years, with an annual interest rate of 2% in 15 years, is approximately $124,097.For the first cash flow of $44,000 in 5 years, the future value is calculated as $44,000 × (1 + 0.02)^5 = $48,824.

For the second cash flow of $66,000 in 10 years, the future value is calculated as $66,000 × (1 + 0.02)^10 = $79,580.Adding the future values of both cash flows, we get $48,824 + $79,580 = $128,404.Therefore, the future value of the  combined cash flows in 15 years is approximately $124,097.

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To address the eurozone crisis, the European Central Bank (ECB) adopted a negative interest rate policy in 2014. The ECB lowered its deposit rate to -0.1% that year to hold off deflation and move the economic bloc out of a prolonged recession. Today, the ECB deposit rate is - 0.5%, the lowest on record. In theory, negative rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Using the IS-LM framework, explain why traditional monetary policy fails in the presence of zero lower bounds, and how the negative interest rate policy may help the ECB to bring the economy out of recession. [20 marks]
MUST USE IS-LM MODEL TO EXPLAIN

Answers

The European Central Bank (ECB) adopted a negative interest rate policy to address the eurozone crisis. The ECB lowered its deposit rate to -0.1% that year to prevent deflation and bring the economic bloc out of a long-term recession.

In theory, negative interest rates would boost the economy by encouraging consumers and banks to take more risks through borrowing and lending money. Traditional monetary policy fails in the presence of zero lower bounds as the interest rates can't go lower. As a result, the central bank is unable to stimulate borrowing and lending in the economy.

When interest rates are already near zero, the effectiveness of monetary policy is severely restricted as it can no longer boost investment and consumption demand through interest rate cuts. Hence, conventional monetary policy becomes ineffective when interest rates hit zero and even quantitative easing (QE) has only limited effects. In this case, the negative interest rate policy may help the ECB bring the economy out of recession by lowering borrowing costs and increasing the availability of credit, thereby increasing investment and consumption.

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Marketing Mix consists of the 4 P's. One of those P's is Promotion. The marketing communicator needs to know where the target audience stands in the buyer-readiness stages - the stages consumers normally pass through on their way to purchase. List the six buyer-readiness stages in sequence

Answers

The marketing communicator needs to know where the target audience stands in the buyer-readiness stages - the stages consumers normally pass through on their way to purchase.

Following are the six buyer-readiness stages in a sequence that the marketing communicator needs to keep in mind:

1. Awareness Stage: During this stage, the buyer becomes aware of the existence of the product.

2. Knowledge Stage: During this stage, the buyer seeks information about the product and its benefits and shortcomings.

3. Liking Stage: During this stage, the buyer develops a liking for the product and starts developing preferences.

4. Preference Stage: During this stage, the buyer has decided that they like the product better than others and intend to purchase it.

5. Conviction Stage: During this stage, the buyer makes a decision to buy the product and is determined to go ahead with the purchase.

6. Purchase Stage: During this stage, the buyer takes the necessary action of purchasing the product. Hence, the six buyer-readiness stages in sequence are Awareness, Knowledge, Liking, Preference, Conviction, and Purchase stages.

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Peyton Manufacturing is trying to decide between two different conveyor belt systems. System A costs $280,000, has a four-year life, and requires $85,000 in pretax annual operating costs. System B costs $396,000, has a six-year life, and requires $79,000 in pretax annual operating costs. Both systems are to be depreciated straight-line to zero over their lives and will have zero salvage value. Suppose the company always needs a conveyor belt system; when one wears out, it must be replaced. Assume the tax rate is 25 percent and the discount rate is 9 percent. Calculate the EAC for both conveyor belt systems. (Your answers should be negative values and indicated by minus signs. Do not round intermediate calculations and round your answers to 2 decimal places, e.g., 32.16.)

Answers

The EAC is the annual cost that would be equivalent to the costs incurred over the life of the system. To calculate the EAC (Equivalent Annual Cost) for each conveyor belt system, we need to determine the annual cash flows for each system and then calculate the present value of those cash flows.

For System A:

Initial Cost: -$280,000

Annual Operating Costs: -$85,000

Annual Cash Flow: -$85,000 (Operating Costs)

Depreciation Expense: -$280,000 / 4 = -$70,000

To calculate the tax savings from depreciation, we multiply the depreciation expense by the tax rate:

Tax Savings: $70,000 * 0.25 = -$17,500

Net Cash Flow (Year 0): -$280,000

Net Cash Flow (Years 1-4): -$85,000 - $17,500 = -$102,500

For System B:

Initial Cost: -$396,000

Annual Operating Costs: -$79,000

Annual Cash Flow: -$79,000 (Operating Costs)

Depreciation Expense: -$396,000 / 6 = -$66,000

Tax Savings: $66,000 * 0.25 = -$16,500

Net Cash Flow (Year 0): -$396,000

Net Cash Flow (Years 1-6): -$79,000 - $16,500 = -$95,500

Next, we calculate the present value of the net cash flows for each system using the discount rate of 9%.

For System A:

EAC_A = PV of Net Cash Flows / PVIFA(9%, 4)

EAC_A = [(-$280,000) + (-$102,500) / 0.09] / [1 - (1 / (1 + 0.09)^4)]

EAC_A = (-$382,500 / 0.3053) = -$1,252,955.14

For System B:

EAC_B = PV of Net Cash Flows / PVIFA(9%, 6)

EAC_B = [(-$396,000) + (-$95,500) / 0.09] / [1 - (1 / (1 + 0.09)^6)]

EAC_B = (-$491,500 / 0.4024) = -$1,221,512.40

Therefore, the EAC for System A is -$1,252,955.14 and for System B is -$1,221,512.40.

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1. explain the relationship between the bowed-out shape of the production possibilities frontier and the increasing opportunity cost of a good as more of it is produced?
2. what is the difference between quality demanded & demand ? explain the factors that change the demand

Answers

Production Possibilities Frontier (PPF) curve has bowed-out shape because of the concept of increasing opportunity cost. This concept indicates that when more of one good is produced, the opportunity cost (what is given up) to produce each additional unit of that good increases.

As the production of one good increases, the quantity of the other good that must be given up increases as well. Thus, as we move along the PPF curve from left to right, we see that the slope of the curve gets steeper and steeper, reflecting the increasing opportunity cost of producing additional units of a good.

The bowed-out shape shows that resources are not equally efficient in producing all the goods. The first units of a good produced use the most efficient resources, but as more of the good is produced, less efficient resources must be used, leading to higher opportunity costs.

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What is the value at the end of year 2 of a perpetual stream of
$70,000 quarterly payments that begins at the end of year 4? The
APR is 24% compounded monthly.

Answers

The value at the end of year 2 of the perpetual stream of $70,000 quarterly payments is approximately $881,067.89.

To calculate the value at the end of year 2 of a perpetual stream of $70,000 quarterly payments that begins at the end of year 4, we need to discount the cash flows to the end of year 2 using the given annual percentage rate (APR) of 24% compounded monthly.

First, we need to determine the quarterly interest rate. Since the APR is compounded monthly, we divide it by 12 to get the monthly interest rate and then multiply it by 3 to get the quarterly interest rate.

APR = 24%

Monthly interest rate = 24% / 12 = 2%

Quarterly interest rate = 2% * 3 = 6%

Next, we calculate the present value of each quarterly payment using the formula for the present value of a perpetuity:

PV = Payment / Interest rate

PV = $70,000 / 6% = $1,166,667

Since the payments begin at the end of year 4 and we want to find the value at the end of year 2, we need to discount the present value of the cash flows by two years.

Discounted value at the end of year 2 = PV / (1 + Quarterly interest rate)^8

Discounted value at the end of year 2 = $1,166,667 / (1 + 6%)^8 ≈ $881,067.89

Therefore, the value at the end of year 2 of the perpetual stream of $70,000 quarterly payments is approximately $881,067.89.

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The world’s poorest countries cannot find anything to export. There is no resource that is abundant – certainly not capital or land, and in small poor nations not even labor is abundant

Answers

The world's poorest countries cannot find anything to export. In such countries, there is no resource that is abundant - certainly not capital or land, and in small poor nations, not even labor is abundant.

Therefore, such countries are unable to earn sufficient foreign currency from exporting their goods or services, and thus face chronic trade deficits.The poverty trap theory explains this paradox. According to this theory, poor countries cannot move out of poverty since their low levels of income restrict their ability to save, invest, and grow their economy.

When the economy does not grow, the country is unable to generate enough income to spend on consumption and save. Thus, the lack of savings and investment hampers growth, which perpetuates the cycle of poverty, with low income leading to low investment and growth, leading to low income.

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Earleton Manufacturing Company has $2 billion in sales and $471,500,000 in fixed assets. Currently, the company's fixed assets are operating at 85% of capacity.

What level of sales could Earleton have obtained if it had been operating at full capacity? Write out your answers completely. For example, 13 million should be entered as 13,000,000. Round your answer to the nearest dollar.
$

What is Earleton's target fixed assets/sales ratio? Do not round intermediate calculations. Round your answer to two decimal places.
%

If Earleton's sales increase 20%, how large of an increase in fixed assets will the company need to meet its target fixed assets/sales ratio? Write out your answer completely. Do not round intermediate calculations. Round your answer to the nearest dollar.
$

Answers

The Target fixed assets/sales ratio of Earleton's is 23.58% . The required increase in fixed assets is $242,454,000.

If Earleton Manufacturing Company is currently operating at 85% of capacity and has $2 billion in sales, to determine the level of sales it could have obtained if operating at full capacity, we can use the formula:

Full capacity sales = Current sales / Capacity utilization

Full capacity sales = $2,000,000,000 / 0.85 = $2,352,941,176 (rounded to the nearest dollar).

To calculate Earleton's target fixed assets/sales ratio, we divide the fixed assets by the sales and multiply by 100:

Target fixed assets/sales ratio = (Fixed assets / Sales) * 100

Target fixed assets/sales ratio = ($471,500,000 / $2,000,000,000) * 100 = 23.58% (rounded to two decimal places).

If Earleton's sales increase by 20%, we need to calculate the increase in fixed assets required to maintain the target fixed assets/sales ratio. First, we determine the new sales level:

New sales = Current sales + (Current sales * Sales increase)

New sales = $2,000,000,000 + ($2,000,000,000 * 0.20) = $2,400,000,000

Then, we calculate the required increase in fixed assets:

Required increase in fixed assets = (New sales * Target fixed assets/sales ratio) - Current fixed assets

Required increase in fixed assets = ($2,400,000,000 * 0.2358) - $471,500,000 = $242,454,000 (rounded to the nearest dollar).

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Sylvestor Systems borrows $110,000 cash on May 15, 2017, by signing a 60-day, 12% note.
1. On what date does this note mature?
2. Suppose the face value of the note equals $110,000, the principal of the loan. Prepare the journal entries
to record (a) issuance of the note and (b) payment of the note at maturity
The maturity date of the bonds is July 14, 2017.
The interest expenses are $2,200

Answers

Maturity date of the note: The maturity date of the note is calculated as follows; Principal = $110,000Interest rate = 12%Time = 60 days (2 months)The interest of the note is calculated as;I = PRT/100I = $110,000 x 12% x 2/12I = $2,200Therefore, the amount payable at maturity = Principal + Interest = $110,000 + $2,200 = $112,200

Thus, the maturity date of the note is 60 days from May 15, 2017 which is July 14, 2017.ANSWER: July 14, 2017 is the maturity date of the note.2. Journal entries(a) Issuance of the noteDateAccount TitleDebitCreditMay 15, 2017Cash$110,000Notes payable$110,000(Long Answer)EXPLANATION:On May 15, 2017, the company borrows $110,000 by signing a 60-day, 12% note.

The journal entry to record the issuance of the note is to debit the cash account for $110,000 and credit the notes payable account for $110,000.(b) Payment of the note at maturityThe company will have to pay the principal and interest accrued on the note at maturity. Since the interest is 12%, the company will pay $2,200 in interest.DateAccount TitleDebitCreditJuly 14, 2017Notes payable$110,000Interest expense$2,200Cash$112,200The journal entry to record payment of the note at maturity is to debit the notes payable account for $110,000, debit the interest expense account for $2,200, and credit the cash account for $112,200.

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An employee, Ross, was an operator of heavy equipment in a sand and gravel operation. His performance was adequate for most of the 5 year period during which he worked for his employer. The operation was several miles out of town, and Ross and others took a company bus to the worksite. Several co-workers began to notice that there was a smell of marijuana emanating from Ross on a daily basis and reported it to the employer. The employer confronted Ross who admitted he had a drug problem.
What is the best course of action for the employer to deal with Ross?
What should Ross do in order to save his job?
Can Ross can be terminated? When and on what basis? Examine all possibilities.

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An employee, Ross, was an operator of heavy equipment in a sand and gravel operation. His performance was adequate for most of the 5-year period during which he worked for his employer.

The operation was several miles out of town, and Ross and others took a company bus to the worksite. Several co-workers began to notice that there was a smell of marijuana emanating from Ross on a daily basis and reported it to the employer. The employer confronted Ross who admitted he had a drug problem.

The best course of action for the employer to deal with Ross is to refer him to the company's Employee Assistance Program (EAP). If he receives assistance through EAP and commits to staying drug-free, he may be able to save his job. Ross could also take medical leave and seek treatment for his drug addiction. Once he is sober, he can return to work and will not have to worry about being terminated.

Termination would be a last resort for the employer, and it should only happen if Ross continues to use drugs despite warnings and assistance from the company. Ross should seek treatment for his drug addiction and work on staying drug-free. He should comply with any conditions the employer imposes in order to retain his employment. Ross should also be forthcoming and honest about his addiction and show that he is committed to seeking help and overcoming the problem.

Ross can be terminated if he continues to use drugs despite warnings from the employer and assistance from EAP. If Ross is found using drugs on the job, this would be a clear violation of the employer's drug and alcohol policy. Even if Ross undergoes treatment and returns to work, he could still be terminated if he violates the employer's drug and alcohol policy again.

The employer should ensure that they have policies and procedures in place to address drug and alcohol use in the workplace. They should also provide training to employees on drug and alcohol use and establish an Employee Assistance Program (EAP) to help employees who may be struggling with addiction. The company should be prepared to take disciplinary action, including termination, if employees violate the policy.

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(2) You've read in chapter 2 about the various Western European powers - the Spanish, French, Dutch, and English - attempting to establish colonial empires in the Americas.

Now, write for 15 minutes, for AT LEAST 250 words, imagine you are a Native American Indian. From your perspective, which of these European powers would be the best to encounter? Which would be the worst? DESCRIBE the Spanish, French, Dutch, and English encounters on your land. What are your thoughts about how these newly established relationships are unfolding with this particular group of Europeans who are colonizing your area?

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From the perspective of a Native American Indian, the Dutch would be the best European power to encounter due to their relatively peaceful and fair interactions. On the other hand, the Spanish would be the worst due to their aggressive colonization methods and mistreatment of indigenous populations. The French and English encounters fall somewhere in between, with the French showing some respect for Native American culture but still asserting their dominance, while the English exhibit a mix of cooperation and conflict.

As a Native American Indian, the encounter with the Dutch would be the most favorable. The Dutch approach colonization with a focus on trade and cooperation rather than forceful conquest. They establish mutually beneficial relationships with Native American tribes, engaging in fair trade practices and respecting indigenous cultures to some extent.

The Dutch prioritize economic exchange and maintain relatively peaceful interactions with Native Americans.

Conversely, the Spanish encounter would be the worst. The Spanish colonization of the Americas is marked by a history of violence, exploitation, and forced labor.

They bring diseases that devastate Native American populations, and their quest for gold and power leads to the enslavement and mistreatment of indigenous people. The Spanish aim to dominate and control the land, disregarding the rights and well-being of Native Americans.

The French and English encounters fall in between these extremes. The French exhibit some level of respect for Native American cultures and form alliances with certain tribes for economic and military purposes.

However, they still assert their dominance and influence over indigenous lands. The English initially establish cooperative relationships with Native American tribes, engaging in trade and forming alliances. However, conflicts arise as English settlements expand and encroach upon Native American territories, leading to tensions and violence.

Overall, the encounters with European powers bring about complex and varied experiences for Native American Indians. While the Dutch offer more peaceful and fair interactions, the Spanish represent the worst encounter due to their brutal colonization methods.

The French and English fall somewhere in between, exhibiting both cooperation and conflict in their interactions with indigenous populations.

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Explain in 100 - 200 words, a caveat of using statistical significance in data science.

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Statistical significance is an important concept in data science that is widely used to identify the significance of an experiment or study's results.

It is a measure of how likely a certain result is to have occurred by chance alone, and it is determined by calculating the probability of obtaining a result as extreme as the observed one if there were no real effect. In other words, it is a way to test whether a result is due to random variation or is a real effect. However, there are certain caveats to using statistical significance that must be considered.

One of the main caveats of using statistical significance is that it does not tell you anything about the practical significance of the result. A result may be statistically significant, but it may not be practically significant, which means that it may not be meaningful or useful in the real world. For example, a study may find a statistically significant difference between two groups of patients, but the difference may be so small that it is not clinically meaningful.

Another caveat of using statistical significance is that it can be affected by sample size and the choice of statistical test. For example, a small sample size may not be sufficient to detect a real effect, even if it exists. Similarly, different statistical tests may produce different results, and the choice of test may depend on the specific research question and data being analyzed.

Finally, statistical significance does not prove causation. Just because a result is statistically significant does not mean that it is a causal relationship. There may be other factors that are contributing to the observed result, and it is important to consider other sources of evidence before drawing any causal conclusions.

In conclusion, while statistical significance is an important concept in data science, it is important to keep in mind its limitations and to consider other factors when interpreting results.

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Alfred Nobel owns a factory that manufactures fireworks. Next door to the Nobel factory, farmer Elmer Fudd owns several acres of farmland. Two days before Farmer Fudd was scheduled to harvest his annual crop of corn, a thunderstorm produced several bolts of lightning that struck Nobel’s factory setting off thousands of firecrackers. The firecrackers set fire to Fudd’s entire corn crop. Fudd said to Nobel that it was not Nobel’s fault, but sued him anyway. What would Farmer Fudd’s best legal theory be in bringing a lawsuit against Alfred Nobel?

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In the given scenario, Farmer Fudd owns acres of farmland adjacent to Alfred Nobel’s firework factory. A thunderstorm struck Alfred Nobel’s factory, setting off several firecrackers. These firecrackers set fire to Fudd’s entire corn crop.

Farmer Fudd sued Alfred Nobel, and the question asks what would be his best legal theory.Farmer Fudd's best legal theory would be strict liability. Strict liability imposes liability on a defendant for harm caused by an ultrahazardous activity regardless of the care exercised by the defendant. Ultrahazardous activities are those activities that pose a risk of harm to others that cannot be completely eliminated, even by exercising reasonable care.For example, an ultrahazardous activity is the use of explosive substances in manufacturing operations.

In the given scenario, Alfred Nobel owns a firework factory. Fireworks involve the use of explosive substances. Hence, firework manufacturing is an ultrahazardous activity.Alfred Nobel is strictly liable for the harm caused to Farmer Fudd's corn crop, even if Alfred Nobel used the utmost care to prevent the harm. Therefore, Farmer Fudd’s best legal theory in bringing a lawsuit against Alfred Nobel would be strict liability.

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Two events are occurring simultaneously in the labor market for laborers who produce sports apparel. First, the government's campaign to increase the activity rate among its citizens is proving successful, and more people are going to the gym on a regular basis. Second, the sports apparel industry is known for its relatively high pay and good benefits, which are attractive to workers. a. Graph the effect of each shift separately. Label the original equilibrium wage and quantity W, and L₁, respectively. b. What needs to be true about the relative size of these shifts if workers in this labor market are to earn higher wages?

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In the labor market for laborers producing sports apparel, two simultaneous events are occurring: an increase in gym activity rates due to a government campaign and the attractiveness of the sports apparel industry with its high pay and good benefits. To analyze the effects, we can graph each shift separately, identifying the original equilibrium wage and quantity as W and L₁, respectively.

a. To graph the effect of each shift separately, we need to understand how each event impacts the labor market. The increase in gym activity rates implies an increased demand for sports apparel, which will shift the demand curve for labor to the right. This shift indicates that more workers are needed, resulting in an increase in the equilibrium wage and quantity of labor (W and L₁, respectively). On the other hand, the attractiveness of the sports apparel industry to workers implies an increase in the supply of labor. This will shift the supply curve to the right, resulting in a decrease in the equilibrium wage and an increase in the equilibrium quantity of labor.

b. For workers in this labor market to earn higher wages, the shift caused by the increase in gym activity rates (demand) must be relatively larger than the shift caused by the attractiveness of the sports apparel industry (supply). If the shift in demand is larger than the shift in supply, the equilibrium wage will increase, leading to higher wages for workers. The relative size of the shifts determines the impact on wages. If the increase in demand outpaces the increase in supply, workers will benefit from higher wages due to the increased demand for labor in the sports apparel industry.

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Suppose a textbook monopoly can produce any level of output it wishes at a constant MC and AC of $5 per book. Assume that the monopoly sells its books in two different markets that are separated by some distance.

The demand curve in the first market is given by:

Q1=55-P1

and the demand curve in the second market is given by:

Q2=70-2P2

a. If the monopolist can maintain the separation between the two markets, what level of output should be produced in each market and what price will prevail in each market? What are total profits in this situation?

b. How would your answer change if it cost demanders only $3 to mail books between the two markets? What would be the monopolist's new profit level in this situation? How would your answer change if mailing costs were 0?

Answers

a. To determine the level of output and price in each market, we need to equate marginal cost (MC) with marginal revenue (MR) in each market separately. In market 1, MR1 = MC, which gives us 55 - 2P1 = 5. Solving for P1, we find P1 = 25, and substituting this value back into the demand equation Q1 = 55 - P1, we get Q1 = 30. In market 2, MR2 = MC, which gives us 70 - 4P2 = 5. Solving for P2, we find P2 = 16.25, and substituting this value back into the demand equation Q2 = 70 - 2P2, we get Q2 = 37.5.

b. If mailing costs between the markets are $3, it would affect the equilibrium prices and quantities. The monopolist would consider the additional cost of mailing when determining the prices and quantities in each market. The new equilibrium prices and quantities would depend on the specific cost of mailing and the resulting changes in demand. If mailing costs were reduced to zero, it would eliminate the additional cost and potentially affect the equilibrium prices and quantities again, depending on the changes in demand. The monopolist's profit level would be influenced by these adjustments in prices and quantities.

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Otto's brother Dent Carr is in the auto repair business. Dent found that the total cost of repairing s cars is c(s) = 4s2 + 1600. Marginal cost MC(s) = 88. (a) This implies that Dent's average cost is equal to variable cost is equal to his average Plot average cost, average variable cost, and marginal cost curves. And also plot Dent's supply curve. (b) If the market price is $200, how many cars will Dent be willing to repair? If the market price is $320, how many cars will Dent repair? (c) Suppose the market price is $320 and Dent maximizes his profits. On the graph you draw in (a), shade in and label the following areas: total costs, total revenue, and total profits.

Answers

(a) To plot the average cost, average variable cost, and marginal cost curves, we need to calculate these values for different levels of car repairs.

1.

Cost (AC):AC(s) = c(s) / s = (4s² + 1600) / s

2. Average Variable Cost (AVC):

AVC(s) = MC(s) = 88 (since marginal cost is equal to average variable cost in this case)

3. Marginal Cost (MC):MC(s) = 88

To plot these curves, we can assign different values to the number of cars repaired (s) and calculate the corresponding average cost, average variable cost, and marginal cost values. Here's a sample set of values:

s   | AC(s)          | AVC(s) | MC(s)

-------------------------------------1   | 1604           | 88     | 88

2   | 802            | 88     | 883   | 534.67         | 88     | 88

4   | 402            | 88     | 885   | 321.6          | 88     | 88

Using these values, we can plot the average cost, average variable cost, and marginal cost curves on a graph.

As for Dent's supply curve, it is determined by the portion of the marginal cost curve above the minimum average variable cost. In this case, Dent's supply curve is the horizontal line at MC = AVC = 88.

(b) To determine the number of cars Dent will be willing to repair at different market prices, we need to find the quantity where Dent's marginal cost equals the market price.

For a market price of $200:

MC = 88 = $200Dent will be willing to repair 2 cars.

For a market price of $320:

MC = 88 < $320Dent will be willing to repair as many cars as needed to meet the demand.

(c) If the market price is $320 and Dent maximizes his profits, Dent will produce the quantity where MC equals the market price. In this case, Dent will repair as many cars as needed to meet the demand.

On the graph, we can shade in the following areas:

- Total Costs: The area under the average cost curve up to the quantity Dent chooses to produce.- Total Revenue: The area under the market price line up to the quantity Dent chooses to produce.

- Total Profits: The difference between the total revenue and total costs.

Please note that since the specific values for costs, revenue, and profits are not provided, the shading and labeling on the graph can be done based on the general concept.

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Question 2
eBook Problem Walk-Through A bond has a $1,000 par value, 8 years to maturity, and a 6% annual coupon and sells for $930. a. What is its yield to maturity (YTM)? Round your answer to two decimal place

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Yield to maturity (YTM) is the expected rate of return on a bond if held until its maturity date, which considers its current market price, par value, coupon interest rate, and time to maturity.

A bond with a $1,000 par value, 8 years to maturity, and a 6% annual coupon and sells for $930. Let's calculate its yield to maturity (YTM): We can use the financial calculator, Excel spreadsheet, or formula to calculate YTM. Here we use the formula: PV = ∑ [C / (1 + r) t] + FV / (1 + r) t Where: PV = current market price of bond C = coupon interest paymentFV = bond's face valuer = yield to maturity t = a number of years to maturity.

Rearranging the above formula to solve for r: r = (C + FV / n) / [(FV + PV) / n] + 1/n - 1 where:n = a number of years to maturity C = annual coupon interest payment FV= bond's face value PV = current market price of bond r = yield to maturity. Substituting the given values in the above formula:  r = (C + FV / n) / [(FV + PV) / n] + 1/n - 1r = (60 + 1000 / 8) / [(1000 + 930) / 8] + 1/8 - 1r = 0.0838 or 8.38% (rounded to two decimal places). Therefore, the bond's yield to maturity (YTM) is 8.38%.

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Freda's Florist reported the following before-tax income statement items for the year ended December 31, 2021: Operating income $ 263,000 Income on discontinued operations 58,000 All income statement items are subject to a 25% income tax rate. In its 2021 income statement, Freda's separately stated income tax expense and total income tax expense would be:

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In Freda's Florist's 2021 income statement, the separately stated income tax expense would be $65,250, and the total income tax expense would also be $65,250.

To calculate the separately stated income tax expense, we need to multiply the operating income by the income tax rate. Therefore, $263,000 * 25% = $65,750. This represents the income tax expense attributable to the operating income. Since the income on discontinued operations is already stated separately, it has its own tax implications. The income tax expense related to the discontinued operations would be $58,000 * 25% = $14,500.

To calculate the total income tax expense, we sum up the separately stated income tax expense for operating income and discontinued operations. $65,750 + $14,500 = $80,250. Therefore, the total income tax expense for Freda's Florist's 2021 income statement would be $80,250. It's important to note that the income tax expense is calculated based on the reported before-tax income statement items and the given income tax rate of 25%.

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Name three casino games that are pure chance and three that involve an element of skill. And explain.
Please type down 600 -800 words. Thank you!!!

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Casino games have been around for ages and they have evolved throughout the years. There are several types of casino games, some are pure chance and some involve an element of skill. Here are three casino games that are pure chance and three that involve an element of skill.

Pure chance games

1. Slots:

Slots are games of pure chance. Players don't need any special skills to play them. Players simply spin the reels and hope that the symbols align in their favor. Although the outcome of the game is entirely random, the odds of winning are predetermined.

2. Roulette:

Roulette is another game of pure chance. In roulette, players place bets on where the ball will land on the roulette wheel. The outcome is purely determined by luck and the odds of winning are based on the number of slots on the roulette wheel.

3. Keno:

Keno is a lottery-style game of pure chance. Players select numbers and hope that they match the numbers drawn. The more numbers matched, the higher the payout. The outcome of the game is purely determined by luck.

Element of skill games

1. Poker:

Poker is a game of skill. Although luck plays a role in the game, the outcome is determined by the player's skill. Players need to have a solid understanding of the game's rules, strategies, and psychology to be successful.

2. Blackjack:

Blackjack is another game of skill. Players need to have a solid understanding of the game's rules, strategies, and odds to be successful. Players need to know when to hit, stand, split, or double down to maximize their chances of winning.

3. Sports betting:

Sports betting is also a game of skill. Players need to have a solid understanding of the sports they are betting on, as well as the odds and strategies involved. Successful sports bettors use their knowledge and skills to make informed bets that have a higher probability of winning.

In conclusion, there are casino games that are pure chance and others that involve an element of skill. Pure chance games include slots, roulette, and keno, while games that involve an element of skill include poker, blackjack, and sports betting. While chance games rely on luck, skill games require knowledge, understanding, and practice. Players can improve their chances of winning at skill games by learning and implementing the right strategies.

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Explain why Acemoglu and Robinson (2012) identify in the critical juncture of the expansion of trade in the Atlantic a crucial moment for the development of inclusive institutions in Britain, and why inclusive institutions were determinant for the Industrial Revolution in Britain. Cite all sources and use critical analysis

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Acemoglu and Robinson (2012) note that the growth of transatlantic commerce occurred at a crucial juncture for the establishment of inclusive institutions in Britain, which were essential for the country's Industrial Revolution.  

The authors argue that inclusive institutions that can offer strong property rights protection, contract enforcement, and open access to economic and political opportunities are the most important determinant of long-term economic growth in any society. In contrast, extractive institutions that only serve the interests of a small elite have a negative impact on growth. Acemoglu and Robinson assert that the transition to inclusive institutions in Britain began in the 17th century, when the Glorious Revolution of 1688 resulted in the establishment of a constitutional monarchy that protected property rights and fostered a rule of law.

Inclusive institutions encouraged entrepreneurship, innovation, and investment in new technologies, all of which contributed to the Industrial Revolution in Britain. Acemoglu and Robinson argue that inclusive institutions created a conducive environment for innovation by protecting property rights and providing access to credit and markets. The Industrial Revolution in Britain was characterized by rapid technological change, such as the use of steam power, which transformed the country's manufacturing sector and created new opportunities for growth and prosperity.

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