For a given country, the impact of expansionary monetary policy is . For a given country, the impact of expansionary monetary policy is .
1. diminished if banks are not willing to extend loans to individuals and businesses
2. enhanced if it leads to significant levels of inflation
3. generally the same regardless of commercial banks’ lending policies

Answers

Answer 1

Expansionary monetary policy is a macroeconomic tool used by a country's monetary authorities to stimulate economic growth by increasing the money supply. Expansionary monetary policy has different impacts on countries depending on various factors, including commercial bank lending policies and the level of inflation.

For a given country, the impact of expansionary monetary policy is generally the same regardless of commercial banks' lending policies. This is because monetary policy is determined by the central bank, which is responsible for implementing monetary policy and managing the money supply. Commercial banks may adjust their lending policies in response to changes in the monetary policy, but they do not influence the policy itself.

However, the impact of expansionary monetary policy is enhanced if it leads to significant levels of inflation. Inflation is a measure of the rate at which the general level of prices for goods and services is rising and, if it rises significantly, it can reduce the real value of money. This can encourage borrowing and spending, which can further stimulate economic growth. However, if inflation gets too high, it can lead to a number of economic problems, such as reduced investment and economic instability.

In conclusion, expansionary monetary policy is an effective tool for stimulating economic growth, but its impact varies depending on different factors. While commercial bank lending policies do not significantly influence the impact of monetary policy, the level of inflation can enhance or limit the impact of expansionary monetary policy.

to know more about macroeconomic pls visit-

https://brainly.com/question/28489802

#SPJ11


Related Questions

A person plans to invest a total of $110,000 in a money market account, a bond fund, an international stock fund, and a domestic stock fund. She wants 60% of her investment to be conservative (money market and bonds). She wants the amount in domestic stocks to be 4 times the amount in international stocks. Finally, she needs an annual return of $4,400. Assuming she gets annual returns of 2.5% on the money market account, 3.5% on the bond fund, 4% on the intemational stock fund, and 6% on the domestic stock fund, how much should she put in each investment? The amount that should be invested in the money market account is $ (Type a whole number.)

Answers

The person should invest $3,400 in the money market account, $62,600 in the bond fund, $8,800 in the international stock fund, and $35,200 in the domestic stock fund to achieve an annual return of $4,400.

To solve this problem, we can start by setting up a system of equations. Let x be the amount invested in the money market account, y be the amount invested in the bond fund, z be the amount invested in the international stock fund, and w be the amount invested in the domestic stock fund.

From the problem statement, we know that:

x + y + z + w = 110000 (the total amount invested is $110,000)

x + y = 0.6(110000) = 66000 (60% of the investment is in conservative options)

w = 4z (the amount in domestic stocks is four times the amount in international stocks)

We also know that the annual return on each investment is:

0.025x + 0.035y + 0.04z + 0.06w = 4400

Substituting w = 4z and x + y = 66000 into the first equation, we get:

66000 + z + 4z = 110000

5z = 44000

z = 8800

Therefore, the amount invested in the international stock fund is $8,800, and the amount invested in the domestic stock fund is:

w = 4z = 4(8800) = 35200

The remaining amount to be invested in conservative options (money market and bonds) is:

x + y = 66000

To solve for x and y, we can use the fourth equation:

0.025x + 0.035y + 0.04z + 0.06w = 4400

Substituting the values we calculated earlier, we get:

0.025x + 0.035y + 0.04(8800) + 0.06(35200) = 4400

Simplifying and solving for x + y, we get:

0.025x + 0.035y = 2200

Multiplying both sides by 1000 to eliminate decimals, we get:

25x + 35y = 220000

We also know that x + y = 66000, so we can solve for x and y by setting up another equation:

y = 66000 - x

Substituting y in terms of x into the previous equation, we get:

25x + 35(66000 - x) = 220000

Simplifying and solving for x, we get:

10x = 34000

x = 3400

Therefore, the amount invested in the money market account is $3,400, and the amount invested in the bond fund is:

y = 66000 - x = 62600

In summary, the person should invest $3,400 in the money market account, $62,600 in the bond fund, $8,800 in the international stock fund, and $35,200 in the domestic stock fund to achieve an annual return of $4,400.

learn more about international stock here

https://brainly.com/question/30764021

#SPJ11

30) For each good produced in a market economy, demand and supply determine (5pts) both price and quantity. the quantity of the good, but not the price. the price of thè good, but not the quantity. neither price nor quantity is determined by demand and supply, because prices are ultimately set by producers.

Answers

In a market economy, both price and quantity of a good are determined by the forces of demand and supply.

In a market economy, the interaction between demand and supply determines both the price and quantity of a good. Demand refers to the willingness and ability of consumers to purchase a particular good at various price levels, while supply represents the willingness and ability of producers to offer the good at different price levels.

The equilibrium price and quantity in the market are determined at the point where the demand and supply curves intersect. This is known as the market equilibrium. At this equilibrium, the price is set such that the quantity demanded by consumers matches the quantity supplied by producers.

If the demand for a good increases, holding supply constant, the equilibrium price will rise, incentivizing producers to increase their quantity supplied. Conversely, if the supply of a good increases, holding demand constant, the equilibrium price will decrease, leading to an increase in quantity demanded.

Therefore, it is the interplay between demand and supply that determines both the price and quantity of a good in a market economy.

Learn more about market economy here:

https://brainly.com/question/30714952

#SPJ11

Help me please :)
Determinants of Interest Rates The real risk-free rate is \( 3 \% \). Inflation is expected to be \( 4 \% \) this year, \( 3 \% \) next year, and then \( 5.5 \% \) thereafter. The maturity risk premiu

Answers

The nominal interest rate on a five-year Treasury bond is 5.3%.

The maturity risk premium is \( 0.1 \% (t - 1) \% \), where t is the security’s maturity. The default risk premium for A-rated bonds is 0.4 %; the liquidity premium for very liquid bonds is 0.5 %. Calculate the nominal interest rate on a five-year Treasury bond that has a real risk-free rate of 3 %.

Solution: Given information are Real risk-free rate = \(3\%\), Inflation expected This year = \(4\%\)Next year = \(3\%\) Thereafter = \(5.5\%\) Maturity risk premium = \(0.1\%(t-1)\%\)Default risk premium = 0.4%Liquidity premium = 0.5%Let the time period be 5 years = Nominal interest rate can be calculated as follows:

Nominal interest rate = Real risk-free rate + Inflation premium + Default risk premium + Maturity risk premium + Liquidity premium

Real risk-free rate = \(3\%\)Inflation premium = Expected inflation rate – Real risk-free rate

Inflation premium this year = 4 - 3 = 1%

Inflation premium next year = 3 - 3 = 0%

Inflation premium thereafter = 5.5 - 3 = 2.5%

Maturity risk premium = \(0.1\%(t-1)\%\) = 0.1% (5-1)% = 0.4%

Default risk premium = 0.4%

Liquidity premium = 0.5%

Nominal interest rate = Real risk-free rate + Inflation premium + Default risk premium + Maturity risk premium + Liquidity premium= 3% + 1% + 0.4% + 0.4% + 0.5% = 5.3%

Know more about interest here:

https://brainly.com/question/14556630

#SPJ11

Cheer Inc. purchased machinery on January 1,2020 for $80,000. Management estimated its useful life to be 8 years and residual value to be $12,000. On December 31,2021 the machinery was sold for $40,000. If the double declining balance method was used for depreciation, what was the total accumulated depreciation at the date of sale?

Answers

The total accumulated depreciation at the date of sale (December 31, 2021) is $35,000.

To calculate the accumulated depreciation using the double declining balance method, we need to determine the annual depreciation expense first. The formula for double declining balance depreciation is:

Depreciation Expense = (1 / Useful Life) x 2 x Book Value at the Beginning of the Year

First, let's calculate the annual depreciation expense for the machinery:

Depreciation Expense = (1 / 8) x 2 x $80,000 = $20,000

The book value at the beginning of 2021 can be calculated by subtracting the accumulated depreciation from the initial cost:

Book Value at the Beginning of 2021 = $80,000 - Depreciation Expense for 2020 = $80,000 - $20,000 = $60,000

Now, we can calculate the depreciation expense for 2021:

Depreciation Expense for 2021 = (1 / 8) x 2 x $60,000 = $15,000

To find the accumulated depreciation at the date of sale (December 31, 2021), we add up the depreciation expense for 2020 and 2021:

Total Accumulated Depreciation = Depreciation Expense for 2020 + Depreciation Expense for 2021 = $20,000 + $15,000 = $35,000

Therefore, the total accumulated depreciation at the date of sale (December 31, 2021) is $35,000.

learn more about sale  here

https://brainly.com/question/29436143

#SPJ11

A court of appeal will hear new testimony to prevent justice?
True or False

Answers

The statement is False. In a court of appeal, new testimony is generally not heard.

The purpose court of appeal is to review the legal proceedings and the application of the law in the previous trial, rather than reevaluating the facts or introducing new evidence.

The appellate court's role is to assess whether there were any errors of law or procedural irregularities that may have affected the outcome of the trial.

Typically, new evidence or testimony is not allowed in the appellate court unless there are exceptional circumstances, such as newly discovered evidence that could not have been reasonably presented during the original trial.

However, even in such cases, the standards for introducing new evidence in an appeal are stringent, and it is rare for new evidence to be considered.

To learn more about court of appeal, visit here

https://brainly.com/question/11622979

#SPJ11

to which element of the marketing mix is viral marketing most closely related?

Answers

Viral marketing is closely related to the promotion element of the marketing mix.

Viral marketing is a type of promotional method that uses social media and other digital channels to spread a message or idea rapidly and widely. This form of marketing is intended to generate buzz, create excitement, and ultimately drive sales for a product or service.

The effectiveness of viral marketing relies on creating content that is shareable, memorable, and engaging. The content needs to be something that people want to share with their friends and family, and it needs to be easily shareable on social media.

The effectiveness of viral marketing relies on creating content that is shareable, memorable, and engaging. The content needs to be something that people want to share with their friends and family, and it needs to be easily shareable on social media.

To learn about viral marketing here:

https://brainly.com/question/17144236

#SPJ11

1: Alex, suggested an alternative method where they allocate overhead costs as a function of transactions. Based on the data provided in Exhibit 3, and the suggestion to "allocate overhead costs as a function of transactions related to each overhead
cost," what is the cost of Receiving per transaction?
Please only provide a number and round to the second decimal. e.g. $5.6836/Direct Labor Hour should just be 5.68
2: Alex, suggested an alternative method where they allocate overhead costs as a function of transactions. They could then allocate costs unrelated to transactions like Engineering based on the engineering workload, and maintenance and depreciation based on machine hours. Based on the data provided in Exhibit 3, what is the cost of Maintenance and Depreciation per machine hour?
Please only provide a number and round to the second decimal. e.g. $5.6836/Direct Labor Hour should just be 5.68

Answers

1. The cost of Receiving per transaction is $4.28.

2. The cost of Maintenance and Depreciation per machine hour is $1.02.

1. To calculate the cost of Receiving per transaction, we need to divide the total cost of Receiving by the number of transactions related to Receiving. Based on the data provided in overhead costs Exhibit 3, the total cost of Receiving is $7,623, and

the number of transactions related to Receiving is 1,781.

=7623/1781

=4.28

Dividing the total cost by the number of transactions gives us $4.28 per transaction.

2. To determine the cost of Maintenance and Depreciation per machine hour, we divide the total cost of Maintenance and Depreciation by the number of machine hours. According to Exhibit 3,

the total cost of Maintenance and Depreciation is $18,500, and

the total machine hours are 18,120.

=18500/18120

=1.02

Dividing the total cost by the machine hours gives us approximately $1.02 per machine hour.

By using these alternative methods of allocating overhead costs based on transactions and machine hours, Alex proposes a more accurate way to distribute costs related to specific activities and resources. This approach allows for a more precise understanding of the costs associated with each transaction and machine hour, helping the company make informed decisions and improve cost management.

Learn more about overhead costs here

https://brainly.com/question/30526314

#SPJ11

13 If the price elasticity of demand is 2.0, and a firm raises its price by 10 percent, the total revenue will... a. Not change. b. Fall by an undeterminable amount given the information available. c. Rise. d. Fall by 20 percent.

Answers

Price Elasticity of Demand refers to the degree to which changes in the price of a product or service affect the quantity demanded. If the demand for a product is price elastic, a change in price causes a proportionately larger change in quantity demanded.

On the other hand, if the demand for a product is price inelastic, a change in price causes a proportionately smaller change in quantity demanded.When the price elasticity of demand is 2.0 and a firm raises its price by 10%, the total revenue will fall.

The answer is letter D. The total revenue will fall by 20%. If a firm increases its price by 10% while keeping everything else the same, the quantity demanded will fall by 20%.Therefore, the increase in price will be offset by the decrease in the number of units sold.

To know more about Elasticity visit:

https://brainly.com/question/30999432

#SPJ11

Other Questions
Freud suggested that a man's inability to remember his childhood Oedipus complexillustrates:A) rationalization.B) fixation.C) repression.D) displacement. A court of appeal will hear new testimony to prevent justice?True or False for redistribution to be possible, a society must have 13 If the price elasticity of demand is 2.0, and a firm raises its price by 10 percent, the total revenue will... a. Not change. b. Fall by an undeterminable amount given the information available. c. Rise. d. Fall by 20 percent. in the open ocean surface currents are most affected by 30) For each good produced in a market economy, demand and supply determine (5pts) both price and quantity. the quantity of the good, but not the price. the price of th good, but not the quantity. neither price nor quantity is determined by demand and supply, because prices are ultimately set by producers. Cheer Inc. purchased machinery on January 1,2020 for $80,000. Management estimated its useful life to be 8 years and residual value to be $12,000. On December 31,2021 the machinery was sold for $40,000. If the double declining balance method was used for depreciation, what was the total accumulated depreciation at the date of sale? Studies of public opinion suggest that for the majority of Americans, ideologya. influences basic attitudes but not choices of candidates.b. is quite important in making political judgments.c. is not very important.d. is determined by social class.e. overrides political party affiliation. 1: Alex, suggested an alternative method where they allocate overhead costs as a function of transactions. Based on the data provided in Exhibit 3, and the suggestion to "allocate overhead costs as a function of transactions related to each overheadcost," what is the cost of Receiving per transaction?Please only provide a number and round to the second decimal. e.g. $5.6836/Direct Labor Hour should just be 5.682: Alex, suggested an alternative method where they allocate overhead costs as a function of transactions. They could then allocate costs unrelated to transactions like Engineering based on the engineering workload, and maintenance and depreciation based on machine hours. Based on the data provided in Exhibit 3, what is the cost of Maintenance and Depreciation per machine hour?Please only provide a number and round to the second decimal. e.g. $5.6836/Direct Labor Hour should just be 5.68 Currently, fossil fuels meet most of the energy needs of the United States. Research possible renewable energy sources, costs, and challenges for wide usage. Case to consider: Ice storms knocked out nearly half the wind-power generating capacity of Texas on Sunday as a rare deep freeze across the state locked up turbine towers in February 2021.Would any specific renewable source will dominate as fossil fuels do today? If your answer is yes, which type of energy would be? What are the advantages and disadvantages of this renewable energy? Are we ready to count on renewable energy now? Would you be willing to pay a possible high price for renewable energy now? Help me please :)Determinants of Interest Rates The real risk-free rate is \( 3 \% \). Inflation is expected to be \( 4 \% \) this year, \( 3 \% \) next year, and then \( 5.5 \% \) thereafter. The maturity risk premiu Calculate: e |$, (2 + 1) dz. Y $ (2+2)(2-1)dz. 17 dz|, y = {z: z = 2elt, t = [0,2m]}, = {z: z = 4e-it, t e [0,4]} In a laboratory experiment, the count of a certain bacteria doubles every hour. present midnighe a) At 1 p.m., there were 23 000 bacteria p How many bacteria will be present at r b) Can this model be used to determine the bacterial population at any time? Explain. 11. Guy purchased a rare stamp for $820 in 2001. If the value of the stamp increases by 10% per year, how much will the stamp be worth in 2010? Lesson 7.3 12. Toothpicks are used to make a sequence of stacked squares as shown. Determine a rule for calculating t the number of toothpicks needed for a stack of squares n high. Explain your reasoning. 16. Calc b) c) 17. As de: 64 re 7 S Based on the context clue in the sentence, adaptability means how well a person can . The sentence provides the of adaptability as a context clue. A person plans to invest a total of $110,000 in a money market account, a bond fund, an international stock fund, and a domestic stock fund. She wants 60% of her investment to be conservative (money market and bonds). She wants the amount in domestic stocks to be 4 times the amount in international stocks. Finally, she needs an annual return of $4,400. Assuming she gets annual returns of 2.5% on the money market account, 3.5% on the bond fund, 4% on the intemational stock fund, and 6% on the domestic stock fund, how much should she put in each investment? The amount that should be invested in the money market account is $ (Type a whole number.) to which element of the marketing mix is viral marketing most closely related? What do you think about inculturation? The math department is putting together an order for new calculators. The students are asked what model and color they prefer.Which statement about the students' preferences is true?A. More students prefer black calculators than silver calculators.B. More students prefer black Model 66 calculators than silver Model55 calculators.C. The fewest students prefer silver Model 77 calculators.D. More students prefer Model 55 calculators than Model 77calculators. Fields Enterprises has 70,000 ordinary shares outstanding. It declares a 1.5 per share cash dividend on November 1 to shareholders of record on December 1. The dividend is paid on December 31. 1. What are the accounts that will be used on the declaration date? 2. What are the accounts that will be used on the record date? 3. What are the accounts that will be used on the payment date? 4. Prepare the entries on the appropriate dates to record the declaration and payment of the cash dividend. Stephen runs a pet salon. He is currently grooming115dogs per week. If instead of grooming115dogs, he grooms116dogs, he will add$65.63to his costs and$67.52to his revenues. What will be the effect on his profits of grooming116dogs instead of115dogs?Stephen's profits will change by?$