A3. In Brazil, a recently introduced digital payment system, called Pix, has enabled individuals to pay the merchants quickly and at zero cost via QR codes. This system has been quickly adopted by over a 100 million people, reducing their demand for cash'. a) Assuming that this was a temporary shock, analyze the short run results of this innovation on the Brazilian output and the ER$/Euro graphically (assuming there is no policy response) using the AA-DD model. Explain the mechanisms verbally b) What should the government of Brazil do to stabilize the output at its short run level before the innovation occurred? Explain graphically and verbally

Answers

Answer 1

With the appropriate policy response, the economy would move back to its original output level (Y' to Y) and the exchange rate would return to its initial level (ER$' to ER$). This would effectively stabilize the output and maintain the desired economic equilibrium in the Brazilian economy.

a) In the short run, the introduction of the Pix digital payment system in Brazil can lead to an increase in the demand for Brazilian goods and services as transactions become more efficient and cost-effective. This would shift the DD curve to the right (DD to DD'). Assuming no policy response and a temporary shock, the increased demand for goods and services would raise the Brazilian output level (Y to Y') and the Real's exchange rate against the Euro (ER$ to ER$').

The AA curve represents the equilibrium in the foreign exchange market. With the increased output level and no policy response, the Real appreciates against the Euro. This appreciation would lead to a decrease in Brazil's net exports, as its goods and services become more expensive for foreigners. Consequently, this would reduce the demand for Brazilian currency, which would eventually push the exchange rate back towards its original level (ER$' to ER$).

b) To stabilize the output at its short-run level before the innovation occurred, the Brazilian government could implement a monetary policy response, such as lowering interest rates or increasing the money supply. This action would lead to a downward shift in the AA curve (AA to AA'), as the lower interest rates would stimulate investment and spending, counteracting the temporary shock.

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Related Questions

What are some criteria for determining whether a sport product isglobal or not? Give an example of each and explain why

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There are several criteria that can be used to determine whether a sport product is global or not. These include: 1. Availability in multiple countries: A product that is available in several countries across different regions is more likely to be considered global.

For example, Nike is a sport product that is available in numerous countries across the world, making it a global product. 2. Adaptability to different cultures: A product that can adapt to different cultures and markets is also more likely to be considered global. For example, football is a sport that is played and enjoyed by people from different cultures and regions around the world, making it a global sport. 3. Brand recognition: A product that is recognized and trusted by consumers globally is also considered a global product. For example, the Olympic Games is a sport product that is recognized and celebrated globally, making it a global event. In conclusion, a sport product can be considered global if it meets the criteria of availability in multiple countries, adaptability to different cultures, and brand recognition. Examples of global sport products include Nike, football, and the Olympic Games.

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The sum of all currency in the hands of the public plus demand deposits and other checkable deposits plus traveler's checks is the official definition of:

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The official definition for the sum of all currency in the hands of the public plus demand deposits and other checkable deposits plus traveler's checks is known as the "M1 money supply."

This monetary measure is closely monitored by central banks and governments as it is indicative of the amount of money that is readily available for use in the economy.

The M1 money supply is an important indicator of economic health and is used by policymakers to make decisions regarding monetary policy, such as interest rates and inflation targets. Overall, the M1 money supply provides valuable insights into the financial stability and liquidity of an economy.

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For taxpayers whose income exceeds the threshold amounts for exemption from the QBI wage limitation, ______.
A) the wage limitation is phased in
B) the wage limitation applies in full, without regard to any exemption
C) the allowable QBI deduction is zero

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For taxpayers whose income exceeds the threshold amounts for exemption from the QBI wage limits,the wage limitation applies in full, without regard to any exemption.

The QBI deduction is subject to certain limitations, including a wage limitation and a limitation based on the unadjusted basis of certain property used in the business. Taxpayers whose income exceeds the threshold amounts ($329,800 for married filing jointly taxpayers and $164,900 for all other taxpayers in 2022) are subject to both limitations.The wage limitation is equal to the greater of 50% of W-2 wages paid by the qualified business or 25% of W-2 wages plus 2.5% of the unadjusted basis of qualified property held by the business. However, if the taxpayer's income is below the threshold amounts, they may be exempt from the wage limitation.If a taxpayer's income exceeds the threshold amounts for exemption from the wage limitation, the wage limitation applies in full, without regard to any exemption (Option B). This means that the QBI deduction is reduced by the wage limitation amount, which can result in a lower deduction or no deduction at all. It does not mean that the wage limitation is phased in (Option A) or that the allowable QBI deduction is zero (Option C), but rather that the deduction is limited by the wage limitation.

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after much detailed research into state street corp (stt), you estimate its return during the next year will be 18%. stt has a beta of 1.58, the annual risk-free rate of return is 2%, and the expected return on the market for the coming year is 9%. using capm as the model for returns, what alpha do you expect stt to earn during this year?

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We can expect STT to earn an alpha of 0.018, or 1.8%, during the next year. This means that STT is expected to outperform the market by 1.8% after adjusting for its level of risk, as measured by its beta

To calculate the expected alpha for State Street Corp (STT) using the CAPM model, we can use the following formula:

Alpha = Expected Return - (Risk-Free Rate + Beta x (Expected Market Return - Risk-Free Rate))

Plugging in the given values, we get:

Alpha = 0.18 - (0.02 + 1.58 x (0.09 - 0.02)) = 0.018

Therefore, we can expect STT to earn an alpha of 0.018, or 1.8%, during the next year. This means that STT is expected to outperform the market by 1.8% after adjusting for its level of risk, as measured by its beta. However, it's important to note that this is just an estimate based on the given inputs, and actual returns may differ from this expectation.

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if a price-searcher firm can sell nine units at a price of $6, or it can sell ten units at a price of $5.75, what is the marginal revenue of the tenth unit? a. $1 b. $3.50 c. $5.75 d. $6

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The marginal revenue of tenth unit is $3.50. The correct option is b.

To determine the marginal revenue of the tenth unit, we need to first understand the concept of marginal revenue. Marginal revenue is the additional revenue earned by a firm when it sells one more unit of a good or service.

In this scenario, the price-searcher firm has two options: it can either sell nine units at a price of $6 or ten units at a price of $5.75. This suggests that the firm has some market power and can set its price above the marginal cost of production.

To calculate the marginal revenue of the tenth unit, we need to compare the revenue earned from selling nine units to the revenue earned from selling ten units. Selling nine units at a price of $6 would generate a total revenue of $54 (9 x $6). Selling ten units at a price of $5.75 would generate a total revenue of $57.50 (10 x $5.75).

Therefore, the marginal revenue of the tenth unit is $3.50 ($57.50 - $54). This means that if the firm sells one more unit, it will earn an additional $3.50 in revenue.

It's important to note that marginal revenue is usually less than the price of the good or service, especially when the firm has market power. This is because the firm needs to lower the price of all units to sell one more unit, resulting in a lower price for all units sold.

In conclusion, the marginal revenue of the tenth unit for this price-searcher firm is $3.50.

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the wright corporation offers a bond with a current market price of $1,029.75, a coupon rate of 8 percent, and a yield to maturity of 6.52 percent. the face value is $1,000. interest is paid semiannually. how many years is it until this bond matures? group of answer choices 8.5 years 2.2 years 17 years 16 years 8.0 years

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The Wright Corporation offers a bond with a current market price of $1,029.75, a coupon rate of 8 percent, and a yield to maturity of 6.52 percent. the face value is $1,000. interest is paid semiannually. 16 years is it until this bond matures. The correct option is D.

Given

To solve for the number of years until the bond matures, we need to use the formula for the present value of a bond:

PV = (C / (1 + r/2)^n) + (F / (1 + r/2)^n)

Where:

PV = present value of the bond (given as $1,029.75)

C = semiannual coupon payment (given as $40, since 8% of $1,000 is $80 per year, and there are 2 coupon payments per year)

r = yield to maturity (given as 6.52%)

n = number of periods (in this case, the number of semiannual periods until maturity)

F = face value of the bond (given as $1,000)

Putting in the given values and solving for n:

$1,029.75 = ($40 / (1 + 0.0652/2)^n) + ($1,000 / (1 + 0.0652/2)^n)

Simplifying the equation, we get:

$1,029.75 - $1,000 = $40 / (1 + 0.0652/2)^n + $1,000 / (1 + 0.0652/2)^n

$29.75 = $40.00 / (1 + 0.0326)^n + $1,000 / (1 + 0.0326)^n

$29.75 = $19.08 / (1.0326)^n + $514.28 / (1.0326)^n

$29.75 = $533.36 / (1.0326)^n

(1.0326)^n = $533.36 / $29.75

(1.0326)^n = 17.907

Taking the natural logarithm of both sides, we get:

n * ln(1.0326) = ln(17.907)

n = ln(17.907) / ln(1.0326)

n ≈ 16.0

Therefore, the bond matures in approximately 16 years. The closest answer choice is (d) 16 years.

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Discuss the following statements.
(a) The Phillips curve implies that when unemployment is high, inflation is low, and vice versa. Therefore, we may experience either high inflation or high unemployment, but we will never experience both together.
(b) As long as we do not mind having high inflation, we can achieve as low a level of unemployment as we want. All we have to do is increase the demand for goods and services by using, for example, expansionary fiscal policy.

Answers

The Phillips curve is a graphical representation of the inverse relationship between unemployment and inflation. When unemployment is high, inflation tends to be low, and when unemployment is low, inflation tends to be high. Therefore, statement (a) is correct in stating that we may experience either high inflation or high unemployment, but not both together.

However, the Phillips curve is not always reliable, and there may be instances where both high inflation and high unemployment occur simultaneously, known as stagflation. This can happen when the economy experiences supply-side shocks, such as an increase in oil prices, which leads to both higher prices and lower output.

Regarding statement (b), while it is true that increasing demand through expansionary fiscal policy can lead to lower unemployment, it can also lead to higher inflation. The key is finding a balance between stimulating demand and managing inflationary pressures. Moreover, expansionary fiscal policy may not be effective in the long run if it leads to higher government debt and interest rates, which can limit future economic growth.

In conclusion, while the Phillips curve provides a useful framework for understanding the relationship between unemployment and inflation, it is not always accurate, and achieving low unemployment through expansionary fiscal policy may come at the cost of higher inflation and other economic challenges.

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Why do foreigners continue to buy US debt?

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Foreigners continue to buy US debt because US Treasuries are considered a safe and secure investment, offer diversification benefits, and the US dollar is the world's reserve currency with higher interest rates than other countries.

Foreigners continue to buy US debt for several reasons:

Stability and Security: The US Treasury market is considered one of the most stable and secure investments in the world. US Treasuries are considered a safe haven for investors during times of uncertainty or economic instability.Liquidity: The US Treasury market is highly liquid, meaning that investors can easily buy and sell Treasury securities whenever they want, making it an attractive investment for foreign investors who may need to quickly move their money in and out of the market.Diversification: Many foreign investors view US Treasuries as a way to diversify their investment portfolios, reducing the overall risk of their investments.Reserve Currency: The US dollar is the world's dominant reserve currency, meaning that many foreign governments and central banks hold US dollars and US Treasuries as a way to maintain their foreign exchange reserves.Interest Rates: The interest rates on US Treasuries are often higher than those offered by other countries, making them an attractive investment for foreign investors seeking yield.

Overall, the US Treasury market remains an important and attractive investment option for foreign investors due to its stability, liquidity, diversification benefits, and the US dollar's status as the world's reserve currency.

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Suppose the demand for dollars (in exchange for euro) is given by the equation D = 180 + 0.020 Yor-550 or +7007 - 26 nomi The supply of dollars is given by: S = 60 +0.030 Y + 280 m 520 r + 22 énom Suppose output and the real interest rate in the domestic country and the foreign country are: Y = 7,750, Yr 9,500, r=0.040,rror = 0.050. Calculate the equilibrium value of the nominal exchange rate. (In your calculations, carry out your intermediate steps to three decimals and round your answer to three decimals) 1766 Suppose a productivity shock in the foreign country changes output in the foreign economy to 9,750. Calculate the new equilibrium value of the nominal exchange rate. In your calculations, carry out your intermediate steps to three decimals and round your answer to three decimals.)

Answers

The equilibrium value of the nominal exchange rate between the domestic country and the foreign country is 1.766.

Explanation: Using the given equations, we can plug in the values for output and real interest rates to find the demand and supply of dollars.

For demand:

D = 180 + 0.020Yor - 550rror + 7007 - 26nomin = 180 + 0.020(7,750) - 550(0.040) + 7007 - 26(0) = 271.5

For supply:

S = 60 + 0.030Y + 280m + 520r + 22énom = 60 + 0.030(7,750) + 280(0) + 520(0.040) + 22(0) = 319.5

Equilibrium is reached where demand equals supply:

271.5 = 319.5énom

énom = 0.851

Therefore, the equilibrium value of the nominal exchange rate is 1.766.

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fill in the blank. "________ involves meeting the needs of the present without sacrificing the ability of future generations to meet their own needs.
A) Sustainable subsistence
B) Ecological development
C) Sustainable development
D) Social justice
E) Economic development"
C) Sustainable development

Answers

The correct answer is C) Sustainable development.

Sustainable development is the practice of meeting the needs of the present generation without compromising the ability of future generations to meet their own needs. This approach seeks to balance economic, social, and environmental factors to ensure long-term prosperity and well-being for all. Sustainable development involves balancing economic growth with social and environmental concerns to ensure long-term sustainability. This concept recognizes that economic development is necessary but must be pursued in a way that is environmentally responsible and socially equitable.

Sustainable development requires a holistic approach that considers the interdependence of economic, social, and environmental factors. It is crucial for achieving a more just and equitable society that supports the well-being of all people, now and in the future. The United Nations has made sustainable development a global priority through the adoption of the Sustainable Development Goals (SDGs) which aim to tackle issues such as poverty, inequality, and climate change.

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the estimated budget for factory overhead is $120,000, and the estimated direct labor hours are 10,000. actual factory overhead is $140,000. what is the predetermined overhead rate?a.$12b.$0.12c.$14d.$0.14

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The predetermined overhead rate is a. $12.

To allocate overhead costs to each unit of production, a predetermined overhead rate is used. This rate is calculated by dividing the estimated factory overhead costs by the estimated amount of direct labor hours.

Once the predetermined overhead rate is calculated, it is used to allocate overhead costs to each unit of production based on the actual number of direct labor hours used.

In this case, the given information states that the predetermined overhead rate is $12 per direct labor hour. This means that for each hour of direct labor used, $12 of overhead costs will be allocated to the unit of production.

To calculate the predetermined overhead rate, we can use the following formula:

Predetermined Overhead Rate = Estimated Factory Overhead / Estimated Direct Labor Hours

By substituting the given values, we get:

Predetermined Overhead Rate = $120,000 / 10,000 hours

Simplifying the values, we get:

Predetermined Overhead Rate = $12 per direct labor hour

Thus, the correct answer is a. $12.

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dividend source (what is the source of the expected dividend? how is that information determined? how reliable is it?

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The source of the expected dividend is the net profit of the company.

A dividend, which typically comes from the firm's net profits, is compensation given to stakeholders for their investment in the shares of stock of a company.

A dividend is a sum of money made to qualified shareholders from the profits of a business. The board of directors of a corporation chooses the dividend distributions and quantities.

Dividends can be paid in a number of ways, including monetary payments, dividends from shares, or any other kind of Profit. The board of directors of a firm determines its dividend; it must be approved by the shareholders.

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a mail-order retailer has just modified its processing programs to charge each customer the appropriate sales tax. the best approach for detecting whether sales taxes are applied correctly is to

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The best approach for detecting whether sales taxes are applied correctly would be to perform regular audits on the retailer's sales records.

This would involve reviewing the sales transactions and comparing them to the applicable tax rates for each customer's location. By doing so, any discrepancies in the sales tax charges can be identified and corrected promptly.

Additionally, the retailer could implement a system of checks and balances, such as having a second person review the sales records or using automated software to calculate and verify the correct tax amounts.

Regular monitoring and analysis of the sales tax process will ensure that the retailer remains compliant with tax regulations and avoids any potential legal issues.

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Thorough testing, validation, and continuous monitoring are key to ensuring that sales taxes are applied correctly, minimizing errors, and maintaining compliance with tax regulations for mail-order retailers.

The best approach for detecting whether sales taxes are applied correctly by a mail-order retailer after modifying its processing programs is to conduct thorough testing of the updated programs before deploying them in production.

This can be achieved by developing a comprehensive test plan that includes various scenarios of customer purchases, each with different tax rates and exemptions, and then executing those test cases on the modified system to verify that the correct tax is being applied for each customer transaction.

It is also essential to validate the accuracy of the tax calculations by comparing the system-generated tax amount with the actual tax amount that should be charged according to the applicable tax regulations.

Furthermore, it is recommended to conduct continuous monitoring of the system's performance post-deployment to ensure that the sales tax is still being applied correctly and to promptly address any issues that may arise. By following these best practices, the mail-order retailer can minimize the risk of errors in applying sales tax and ensure compliance with the tax regulations.

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93) A logical grouping of objects that have the same attributes and behaviors is known as a(n) ________.A) ObjectB) CaseC) ContainerD) Object class

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An object class An object class is a template or blueprint for creating objects that have the same attributes and behaviors. The attributes represent the data associated with the object, while the behaviors represent the actions that the object can perform. Objects are instances of a particular class and inherit all the attributes and behaviors of that class.

An object class is a template or blueprint for creating objects that have the same attributes and behaviors. The attributes represent the data associated with the object, while the behaviors represent the actions that the object can perform. Objects are instances of a particular class and inherit all the attributes and behaviors of that class.

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fill in the blank. A __ lays out plans in financial terms so that managers can determine the resources needed to achieve their objectives.
budget

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A budget lays out plans in financial terms so that managers can determine the resources needed to achieve their objectives.

An organization's anticipated earnings and expenses for a given period, often a year, are outlined in a budget, which is a financial plan. It helps managers allocate resources and make choices about how to accomplish their goals within the restrictions of the resources at their disposal. A well-prepared budget aids managers in setting reasonable objectives, spotting potential issues, and assessing performance. Managers can evaluate their performance and make necessary modifications by comparing actual results to the budget. Budgeting is a crucial component of financial management and is necessary for businesses of all sizes and types to effectively plan and manage their operations.

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Suppose you invest $1,000 in an account paying 8% p.a. interest with annual compounding.
a) What is the balance in the account after 25 years? How much of this balance corresponds to interest on interest?

Answers

To calculate the balance in the account after 25 years with annual compounding, we can use the formula:

FV = PV x[tex](1 + r)^n[/tex]

where:

FV = future value (balance) of the investment

PV = present value (initial investment) of $1,000

r = interest rate of 8% per year

n = number of compounding periods, which is 25 years in this case (since interest is compounded annually)

Plugging in the numbers, we get:

FV = 1,000 x[tex](1 + 0.08)^25[/tex]

FV = $6,848.97

Therefore, the balance in the account after 25 years would be $6,848.97.

To calculate the amount of this balance that corresponds to interest on interest, we can subtract the initial investment of $1,000 from the final balance, which gives us the amount of interest earned over 25 years:

Interest earned = $6,848.97 - $1,000

Interest earned = $5,848.97

To calculate the amount of this interest that corresponds to interest on interest, we can subtract the simple interest earned on the initial investment from the total interest earned:

Interest on interest = $5,848.97 - ($1,000 x 0.08 x 25)

Interest on interest = $2,848.97

Therefore, the amount of the final balance that corresponds to interest on interest is $2,848.97.

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a data analyst is preparing an annual report for company executives and decides to use internal data. why do they choose to use internal data? select all that apply.

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1. Internal data is usually more reliable and accurate than external data, as it is based on the company's own records.

What is data?

Data is a collection of facts, such as values or measurements, that are used for reference or analysis. Data is typically organized and stored in a database, so it can be accessed, managed and updated easily. Data can come from a variety of sources, such as observations, documents, surveys, and experiments. Data can be analyzed and used to develop insights and inform decisions. Data can be used to generate reports, create visualizations, and develop predictive models.

2. Internal data may be more cost-effective to access than external data.

3. Internal data is often more timely as it can be collected and analyzed quickly.

4. Internal data allows for a more comprehensive analysis as it captures all activities of the company.

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method of estimating allowance for doubtful accounts is based on the idea that a given percent of a company's credit sales for the period are uncollectible. multiple choice question. percentage of sales percentage of accounts receivable aging of receivables

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The method of estimating allowance for doubtful accounts is based on the idea that a given percent of a company's credit sales for the period are uncollectible. This method is known as the percentage of sales method.

In this method, a percentage of credit sales is estimated to be uncollectible based on historical data and industry averages. This percentage is then multiplied by the credit sales for the period to arrive at the estimated allowance for doubtful accounts.
Another method of estimating allowance for doubtful accounts is the percentage of accounts receivable method. In this method, a percentage of accounts receivable is estimated to be uncollectible based on historical data and industry averages. This percentage is then multiplied by the accounts receivable balance at the end of the period to arrive at the estimated allowance for doubtful accounts.
The aging of receivables method is also used to estimate the allowance for doubtful accounts. In this method, the accounts receivable balance is grouped by age categories, such as current, 30 days past due, 60 days past due, and so on. A percentage is then assigned to each age category based on historical data and industry averages. This percentage is then multiplied by the balance in each age category to arrive at the estimated allowance for doubtful accounts.
Overall, the method of estimating allowance for doubtful accounts is important for a company's financial reporting as it helps to accurately reflect the amount of accounts receivable that are likely to be uncollectible. The choice of method used will depend on the company's historical data, industry averages, and internal policies.

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A great feature of QBO is that there are other lists you can utilize to make it easier to fill forms.
Where would you go to find these extra lists?

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To find the extra lists in QuickBooks Online (QBO) that can make it easier to fill forms, you would go to the Gear Icon in the top right corner of the QBO window and click on "All Lists" under the "Lists" column.

Among the additional lists accessible in QBO are:

Chart of Accounts: A list of all accounts used in QBO to categorise transactions.Products and Services: A list of all the goods and services you provide.Customers: A list of all of your customers' contact details.Vendors: A collection of all your vendors' contact details.Classes and Locations: These are lists that you can use to categorise your transactions for tracking and reporting.Payment Methods: A list of every payment method you accept.Terms: A list of the payment options you provide to your consumers.Using these lists will help you save time and fill out forms in QuickBooks Online more properly.

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the amount of goods to be purchased from suppliers during the period is shown on the blank budget. multiple choice question. manufacturing overhead merchandise purchases direct labor sales

Answers

The budget that shows the amount of goods to be purchased from suppliers during the period is the "merchandise purchases" budget. This budget is a crucial part of the overall budgeting process for a business that sells products.

It helps to forecast the amount of inventory that will be needed to meet customer demand and to plan the purchasing of goods from suppliers accordingly. The merchandise purchases budget takes into account factors such as the projected sales volume, the desired level of inventory, and the lead time for suppliers to deliver goods.

It also considers the cost of goods sold and the available budget for purchasing. By forecasting and planning for merchandise purchases, a business can optimize its inventory management, ensure the timely delivery of goods, and maximize profits.

Overall, the merchandise purchases budget plays a vital role in the financial planning and management of a business. It allows for more accurate forecasting and budgeting of costs related to inventory and suppliers and helps to ensure the business has the necessary resources to meet customer demand and maintain profitability.

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Complete Question:

the amount of goods to be purchased from suppliers during the period is shown on the blank budget. multiple choice questions.

manufacturing overheadmerchandise purchasesdirect labor sales

if there is an improvement in technology which increases labor productivity, how will that impact the market for labor?

Answers

If there is an improvement in technology which increases labor productivity, it will have a significant impact on the market for labor. The increase in labor productivity means that firms can produce more output with the same amount of labor or the same output with less labor.

As a result, firms will demand less labor and the supply of labor will remain unchanged. This will lead to a decrease in the wage rate and a decrease in employment.

However, this impact may not be uniform across all industries or occupations. The industries and occupations that heavily rely on the technology that has been improved will be affected the most. This is because firms in those industries will find it easier and more profitable to replace labor with the improved technology.

On the other hand, industries that are not affected by the new technology will not see any significant changes in the market for labor. In fact, in some cases, the demand for labor may even increase as a result of the increased productivity in other industries.

It is important to note that the impact on the market for labor may not be immediate, but will depend on how quickly the improved technology is adopted and how quickly firms adjust their production processes. The impact may also vary depending on the level of skills required for the job, with low-skilled workers being the most vulnerable to displacement.

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Laws establishing Benefit Corporations impose legal requirements for firms to implement a stakeholder model. implement a shareholder model. pay a living wage to all employees. use only environmentally sustainable manufacturing processes.

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True, Laws establishing Benefit Corporations impose legal requirements for firms to implement a stakeholder model Sustainability is the capacity of the present generation to meet its demands without jeopardising.

The capacity of the coming generation to do the same from an organisational standpoint, it means adding social, environmental, and economic variables into the organization's performance measurements in order to evaluate corporate performance beyond the conventional financial gains.

It also includes complying to ISO 14000 standards, which focus on measures to enhance environmental impact management, and communicating the language of sustainability, as noted in option Das. The claim that the shareholder primacy model of corporate management is superior to the stakeholder model is best supported by the following example: The stock of a company that the shareholders own is readily tradable. The shareholder primacy model is a theory in business that holds that a company's duty is to maximise the wealth or profits for its shareholders.

Complete question:

Laws establishing Benefit Corporations impose legal requirements for firms to implement a stakeholder model. implement a shareholder model. pay a living wage to all employees. use only environmentally sustainable manufacturing processes. True or false.

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What should individuals facing long term unemployment do to dealwith this situation?

Answers

By following these steps, individuals facing long-term unemployment can improve their chances of finding employment and effectively deal with this situation.

To deal with long-term unemployment, individuals should:
1. Assess their skills and identify areas for improvement: Evaluate current skill sets and identify areas where new skills can be learned or existing skills can be improved.
2. Seek professional development opportunities: Enroll in training courses, workshops, or online courses to gain new skills or certifications that can make them more employable.
3. Network: Attend networking events, join industry groups, and connect with professionals in their field through social media platforms like LinkedIn to build relationships and learn about job openings.
4. Tailor their resume and cover letter: Customize their resume and cover letter for each job application, emphasizing relevant skills and experiences that match the job requirements.
5. Consider part-time, temporary, or freelance work: Engaging in temporary work can help fill the employment gap, provide income, and potentially lead to full-time job opportunities.
6. Seek professional help: Reach out to career counselors, job centers, or unemployment agencies for guidance on job searching, resume writing, and interview preparation.
7. Maintain a positive attitude and practice self-care: Stay motivated and take care of your physical and mental well-being during the job search process.
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True or False: Workable structures serve the objective in planning and programming.

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The given statement "Workable structures serve the objective in planning and programming" is True, because as they provide a solid framework to guide the process, ensure efficient use of resources, and foster effective communication among team members.

Workable structures are essential in planning and programming because they provide a clear framework to achieve the desired objectives. These structures are designed to be efficient, functional, and adaptable to the specific needs of a project or organization.

They serve as the foundation for organizing resources, tasks, and time to ensure that goals are met in a systematic and coherent manner.

In planning, workable structures help to outline the scope, budget, and schedule for a project. They assist in identifying key milestones, deliverables, and dependencies, which are critical in measuring progress and ensuring timely completion.

Additionally, these structures facilitate communication among team members, stakeholders, and other parties involved in the project.

In programming, workable structures are used to create a logical and organized codebase. This involves defining the software architecture, components, and interfaces, as well as the data structures and algorithms required to implement the desired functionality.

These structures enable developers to write efficient, maintainable, and scalable code, which ultimately results in a higher-quality product.

In summary, workable structures are critical for achieving objectives in both planning and programming, as they provide a solid framework to guide the process, ensure efficient use of resources, and foster effective communication among team members.

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Anil currently lives in San Marcos and are considering moving to take a new job in northern California. There are three work periods (years) remaining for Anil. Anil will earn $20,000 per year in each of the three periods (years) in San Marcos and will earn $22,000 in cach of the three periods (years) in northern Californin. Suppose the annual discount rate of 10 percent and other than the earnings, there are no differences between the jobs or preference on where Anil lives. a. Assume there are no costs to moving Should Anil move to northern California or stay in San Marcos? (Hint: Compare the present value of each alternative) b. Now suppose that Anil would incurs some costs to move. What is the highest cost of moving that Anil is willing to incur and still move to northern California?

Answers

a. To determine whether Anil should move to northern California or stay in San Marcos, we must compare the present value of each alternative.

Step 1: Calculate the present value of earnings in San Marcos:
PV(San Marcos) = $20,000/(1+0.10)^1 + $20,000/(1+0.10)^2 + $20,000/(1+0.10)^3

Step 2: Calculate the present value of earnings in northern California:
PV(Northern California) = $22,000/(1+0.10)^1 + $22,000/(1+0.10)^2 + $22,000/(1+0.10)^3

Step 3: Compare the present values:
If PV(Northern California) > PV(San Marcos), Anil should move to northern California; otherwise, Anil should stay in San Marcos.

b. To find the highest cost of moving that Anil is willing to incur, we need to determine the difference between the present value of earnings in northern California and San Marcos.

Step 1: Calculate the difference in present values:
Difference = PV(Northern California) - PV(San Marcos)

Step 2: The highest moving cost Anil is willing to incur is the value of the difference calculated in Step 1.

In conclusion, Anil should compare the present value of earnings for both locations and decide whether to move to northern California or stay in San Marcos based on the moving costs. The highest cost of moving Anil is willing to incur is equal to the difference between the present values of earnings in both locations.

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howmight one account for the rise of Andrew Jackson to victory in theelection of 1828?

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There were several factors that contributed to Andrew Jackson's victory in the election of 1828. Firstly, Jackson's military career and heroic image as a war hero in the Battle of New Orleans made him popular among Americans.

Additionally, he positioned himself as a man of the people and a defender of democracy, contrasting his opponent, John Quincy Adams, who was seen as elitist and aristocratic. Jackson's appeal to the common man was also strengthened by the expansion of voting rights, which allowed more white males to participate in the election. Furthermore, Jackson's use of new campaign tactics, such as rallies and slogans, helped to mobilize his supporters and gain wider appeal. Lastly, Jackson's strong support in the Southern and Western regions of the United States, coupled with his stance on issues such as states' rights and opposition to the national bank, helped him secure victory in the election.

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What type of cost is irrelevant and should be disregarded when making decisions?
Sunk
Differential
Opportunity

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The cost that is irrelevant and should be disregarded when making decisions is a sunk cost.

Sunk costs are costs that have already been incurred and cannot be recovered, therefore they should not be taken into account when making decisions about future investments or actions.They should not influence your decision-making process as they do not affect the potential future outcomes. The relevant costs that should be considered are differential costs, which are the costs that differ between two alternatives being considered, and opportunity costs, which are the costs of forgoing the next best alternative.

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18. How often should interior check valves be inspected?

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The interior check valves should be inspected internally every five years to verify that all components operate correctly, move freely, and are in good condition.

A sprinkler system has many components that, when not properly maintained, can lead to failure. One of these working parts is the check valve. Per NFPA 25 13.4.2.1.and 13.4.2.2, 2009 edition: Valves shall be inspected internally every five years to verify that all components operate correctly, move freely, and are in good condition. Internal components shall be cleaned, repaired, or replaced as necessary in accordance with the manufacturer’s instructions.

The most common component associated with a check valve is the FDC.

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Developmental uses for performance appraisals include all of the following EXCEPT:a. selection of training seminars for a particular employee for the upcoming year.b.prioritizing employees for layoffs of various sizes.c. identification of jobs to which the employee could be promoted.d.counseling the employee in more effective interpersonal relations.

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Developmental uses for performance appraisals include all of the following except: d. Counseling the employee in more effective interpersonal relations.

Performance appraisals are a valuable tool for assessing an employee's job performance and identifying areas where they can improve.

The developmental uses of performance appraisals include selecting training seminars for employees, identifying jobs to which they could be promoted, and providing feedback on areas of strengths and weaknesses.

These uses help employees develop their skills and advance their careers within the organization. However, counseling employees in more effective interpersonal relations is not typically a developmental use of performance appraisals.

This type of counseling may be necessary in certain situations, but it is not directly related to an employee's job performance or career development within the organization.

Overall, performance appraisals are a critical component of talent management and can play an important role in helping organizations develop their workforce and achieve their strategic goals.

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If you read that a certain mutual fund achieved 50% returns last year, would you invest in it?

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A mutual fund achieving 50% returns in a year may seem like an attractive investment opportunity, but it is important to consider several factors before deciding to invest in it.

First, it is important to evaluate the fund's past performance and determine if the returns achieved were consistent over time or if they were due to exceptional circumstances such as a bull market or a successful investmen strategy that may not be sustainable in the long term.

Second, it is important to understand the fund's investment strategy, risk tolerance, and the sectors or asset classes it invests in to determine if it aligns with your investment goals and risk profile.

Third, it is important to evaluate the fund's fees and expenses, which can significantly impact your returns over time. High fees can eat into your returns and erode your investment gains.

Lastly, it is important to consider your own investment goals, risk tolerance, and overall investment portfolio to determine if investing in the mutual fund is consistent with your overall investment strategy and diversification goals.

In summary, while a mutual fund achieving 50% returns in a year may seem like an attractive investment opportunity, it is important to evaluate the fund's past performance, investment strategy, fees, and your own investment goals and risk tolerance before making an investment decision.

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