suppose a $3 per-unit tax is imposed on the sellers of this good. how much is the burden of this tax on the sellers in this market?

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Answer 1

The burden of the tax on the sellers in this market is $3 per unit, as they have to bear the entire amount of the tax. The sellers will receive P - $3 per unit of the good they sell, and the buyers will pay P + $3 per unit.

If a $3 per-unit tax is imposed on the sellers of a good, the burden of the tax on the sellers can be calculated as follows:

Let's assume the original price of the good in the market is $P and the quantity demanded and supplied are Qd and Qs, respectively. The price paid by the buyers after the tax is imposed is P + $3, and the price received by the sellers is P.

The amount of tax paid by the sellers per unit is $3, which reduces the effective price received by the sellers to P - $3.

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Related Questions

fill in the blank. In an automobile manufacturing plant, assembly-line workers' wages are __ __ costs.
direct labor

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In an automobile manufacturing plant, assembly-line workers' wages are direct labor costs.

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23. adrian chase, a portfolio manager, generates a return of 14% when the benchmark returns 11.5%. the manager's security selection decisions outperform by 150 basis points. which is least accurate? a. asset allocation decisions helped the manager outperform the benchmark. b. the manager outperforms the benchmark by 250 basis points. c. the manager excelled in both asset allocation and security selection decisions. d. asset allocation decisions outperform by 250 basis points.

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Adrian chase, a portfolio manager, generates a return of 14% when the benchmark returns 11.5%. the manager's security selection decisions outperform by 150 basis points. the least accurate is  the manager outperforms the benchmark by 250 basis points. So, the correct option is B).

The problem states that the manager's security selection decisions outperform the benchmark by 150 basis points, not 250 basis points.

The manager's overall outperformance of the benchmark is 2.5% (250 basis points), but this includes both the contribution from asset allocation decisions and the contribution from security selection decisions. Therefore, options a, c, and d are all accurate statements. Option b is least accurate.

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True or False: The quantity of the workforce is often responsible for organizational performance.

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The statement “The quantity of the workforce is often responsible for organizational performance” is true because the productivity and efficiency of an organization are significantly influenced by the number of employees

The quantity of the workforce is an essential factor in organizational performance as it directly affects the company's ability to meet its goals. With more employees, there is a higher potential for collaboration, skill-sharing, and task delegation, leading to better efficiency and effectiveness.

If the workforce is insufficient, the employees may become overworked, stressed, and unable to meet deadlines or complete tasks to the best of their ability. Moreover, the number of employees influences the company's capacity to handle workload spikes, unforeseen events, or sudden changes in demand, the statement is true.

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mark shorted 105 of boeing (tic:ba). the total amount of cash in the brokerage account serving as collateral for the position is $9,477. the initial margin is 60% and the maintenance margin is 11%. compute the price of ba that would trigger a margin call.

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The price that would trigger a margin call is $132.67.

To compute the price of BA that would trigger a margin call, we first need to find the total value of the short position. Since Mark shorted 105 shares of Boeing and we don't know the initial price, we can't compute the exact value, but we can use the collateral amount and initial margin requirement to estimate it

Value of short position = collateral amount / initial margin requirement

Value of short position = $9,477 / 60%

Value of short position = $15,795

So, the total value of Mark's short position is $15,795. To find the price that would trigger a margin call, we need to use the maintenance margin requirement

Price that would trigger a margin call = (total value of short position / number of shares shorted) / maintenance margin requirement

Price that would trigger a margin call = ($15,795 / 105) / 11%

Price that would trigger a margin call = $132.67

Therefore, if the price of BA falls to $132.67, Mark will receive a margin call because the value of his short position will have fallen below the maintenance margin requirement.

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which one of the following is an example of systematic risk? question 55 options: investors panic causing security prices around the globe to fall precipitously a flood washes away a firm's warehouse a city imposes an additional one percent sales tax on all products a toymaker has to recall its top-selling toy corn prices increase due to increased demand for alternative fuels

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The example of systematic risk among the options given in question 55 is the first option, which states that investors panic causing security prices around the globe to fall precipitously.

Systematic risk refers to the risk that is inherent in the entire market or economy and affects all securities or assets within it. It cannot be diversified away, and it is usually caused by external factors such as macroeconomic conditions, geopolitical events, natural disasters, or changes in government policies.


This scenario is an example of systematic risk because it affects all securities in the global market, regardless of their specific attributes or characteristics. When investors panic, they tend to sell their securities in a rush, which leads to a sharp decline in prices. This can trigger a domino effect, as other investors follow suit, leading to a market-wide sell-off. Such panic selling is often fueled by global events such as economic crises, political instability, or natural disasters that create uncertainty and fear among investors.

The other options in the question do not represent systematic risk because they are more specific and affect only certain securities or assets. For instance, a flood that washes away a firm's warehouse may affect the firm's stock prices, but it does not necessarily affect the entire market.

Similarly, a city imposing an additional one percent sales tax on all products may affect local businesses, but it does not have a global impact. A toymaker recalling its top-selling toy and corn prices increasing due to increased demand for alternative fuels are examples of firm-specific risks, which can be diversified away by investing in a diversified portfolio.

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The ____ type of pay-for-performance system is most likely to induce employees to behave unethically.sales commissiondifferential piece-rate

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The sales commission type of pay-for-performance system is most likely to induce employees to behave unethically. The correct option is Sales commission.

In a sales commission system, employees are paid a percentage of the value of the sales they make. This can create an incentive for employees to engage in unethical behavior, such as making false or misleading claims about products or services in order to increase sales and earn a higher commission.

Differential piece-rate systems, on the other hand, pay employees a different rate for different levels of performance or output but do not necessarily create the same level of incentive for unethical behavior. However, it's important to note that any pay-for-performance system can potentially create ethical dilemmas and must be implemented and monitored carefully to ensure that employees are motivated to achieve their goals without compromising their ethical standards.

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the computer programmers frank wanted to hire were unavailable. the only person he could get for this project has no experience with the kind of software that frank's company uses. consider the risk of hiring an inexperienced programmer to this project. what is the corresponding impact and probability of this risk occurring?

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Hiring an inexperienced programmer can be risky for a project. inexperienced programmers may not be problem solvers and may require more time to explain everything than do actual work. . It’s difficult to quantify the probability of this risk occurring without more information about the project and the programmer’s skills and abilities.

Since there is no agreed-upon language used throughout the sector, the terms "programmer" and "software engineer" may be used interchangeably at various businesses. Most frequently, a "programmer" or "software developer" might concentrate on putting a thorough specification into computer code, correcting errors, and conducting code reviews.

They might have a computer science degree, an associate's degree, be self-taught, or have gone to a programming boot camp. A person with the title "software engineer" is expected to comprehend scientific methodology, more complex mathematics, and software engineering principles. They may also be expected to hold a degree in computer science, software engineering, or both.

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b-town company purchased a mini computer on january 1, 2019, at a cost of $36,600. the computer has been depreciated using the straight-line method over an estimated five-year useful life with an estimated residual value of $3,600. on january 1, 2021, the estimate of useful life was changed to a total of 10 years, and the estimate of residual value was changed to $600. what is the depreciation expense for 2021? a. 2,340 b. 3,600 c. 2,850 d. 6,600

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The depreciation expense for 2021 is $3,600. so, the correct answer is (b) $3,600.

What is depreciation expense?

Depreciation expense is an accounting method used to allocate the cost of a tangible asset over its useful life. Tangible assets, such as equipment, machinery, buildings, and vehicles, are expected to lose value over time due to wear and tear, obsolescence, or other factors. Depreciation expense reflects this decrease in value by spreading the cost of the asset over its estimated useful life.

Depreciation expense is typically recorded as a non-cash expense on a company's income statement, which means it does not require any actual cash outlays. However, it can impact a company's cash flow indirectly by reducing its taxable income and, therefore, its tax liability. The methods and assumptions used to calculate depreciation can vary, depending on the type of asset and the accounting standards used by the company.

The annual depreciation expense for 2021 can be calculated using the following formula:

Depreciation Expense = (Cost - Residual Value) / Useful Life

Using the given information, we can calculate the depreciation expense for 2021 as:

Depreciation Expense = ($36,600 - $600) / 10 = $3,600

Therefore, the correct answer is (b) $3,600.

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the ways that a foreign government can adversely affect the risk of a foreign project include all of the following except:imposing laws related to labor, wages, and prices that are more restrictive than those applicable for domestic firms.removing tariffs and quotas on any imports.requiring that the subsidiary be headed by a local citizen or have a local firm as a major equity partner.changing tax laws in a way that adversely impacts the firm.

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The ways that a foreign government can adversely affect the risk of a foreign project include all of the following except removing tariffs and quotas on any imports. The correct option is removing tariffs and quotas on any imports.

Removing tariffs and quotas on any imports would not adversely affect the risk of a foreign project. In fact, it could potentially have a positive impact by reducing the cost of importing necessary goods and materials for the project.

However, the other options listed could all have a negative impact on the risk of a foreign project. Imposing more restrictive laws related to labor, wages, and prices than those applicable to domestic firms would increase the costs of doing business.

Requiring a local citizen or firm as a major equity partner could limit the control and flexibility of the foreign firm in managing the project. Changing tax laws in a way that adversely impacts the firm could increase the tax burden and reduce profitability.

Therefore, the correct option is removing tariffs and quotas.

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a company produces toy cars of all colors. three out of every 200 cars have to be rejected because of imperfections. it costs $2.00 per car to replace them. the profit margin is $1.00 per car. what would the profit per car be selling 600 cars?

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The profit per car selling 600 cars would be $0.97 and the total profit would be $582.

Out of every 200 cars produced, 3 have to be rejected due to imperfections. Therefore, the company produces 197 cars that are fit to be sold.

The cost to replace a rejected car is $2.00. Since 3 out of every 200 cars are rejected, the cost per car due to rejection is:

Cost per car due to rejection = (3/200) x $2.00 = $0.03

The profit margin per car is $1.00.

Therefore, the net profit per car is:

Net profit per car = Profit margin per car - Cost per car due to rejection

= $1.00 - $0.03

= $0.97

The company is selling 600 cars.

The total profit would be:

Total profit = Net profit per car x Number of cars sold

= $0.97 x 600

= $582So.

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The survivor technique for estimating long-run average cost infers efficiency from changing market shares of different-sized firms in an industry.

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The survivor technique for estimating long-run average cost infers efficiency from changing market shares of different-sized firms in an industry.

The survivor technique is a method used to estimate long-run average cost in an industry. It infers efficiency from the changing market shares of different-sized firms in the industry.

The basic idea behind the survivor technique is that firms with higher costs are less likely to survive in the long run, while firms with lower costs are more likely to survive and even grow. This is because firms with higher costs will be less competitive in the market and will eventually lose market share to more efficient firms. As a result, over time, the market share of more efficient firms will increase, while the market share of less efficient firms will decrease or even disappear. By analyzing the changing market shares of different-sized firms over time, the survivor technique can estimate the long-run average cost of production in the industry. This is because firms with higher costs will have higher average costs than firms with lower costs, and the changing market shares of different-sized firms reflect the relative efficiency of those firms. The statement that the survivor technique infers efficiency from changing market shares of different-sized firms in an industry is true.

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Policy makers talk about the ""capacity"" of the economy to grow. What specifically is meant by the ""capacity"" of the economy? How might capacity be measured? In what ways is capacity limited by labor constraints and by capital constraints? What are the consequences if demand in the economy exceeds capacity? What signs would you look for?

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When policy makers talk about the "capacity" of the economy, they are referring to the maximum level of output that an economy can sustain over a period of time without causing inflationary pressures. Capacity is determined by the availability of labor, capital, and natural resources that can be used to produce goods and services.

Capacity can be measured by analyzing data on the utilization of factors of production such as labor and capital, as well as productivity levels. For example, a high level of employment and low levels of idle capacity in factories and machinery can indicate that the economy is operating close to its maximum capacity.

Labor constraints refer to the limitations on the availability and skills of the workforce. Capital constraints refer to the limitations on the availability of investment funds and other financial resources. Both labor and capital constraints can limit the economy's capacity to grow. If demand in the economy exceeds capacity, it can lead to inflation as businesses try to increase prices to keep up with demand. This can result in higher interest rates, which can slow down economic growth.

Signs that demand in the economy exceeds capacity can include rising inflation, rising interest rates, and supply shortages of goods and services. It is important for policy makers to monitor these indicators and take appropriate measures to manage demand and ensure that the economy operates at a sustainable level of capacity.

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The economy, changes in technology, and competition are all examples of what type of environment that an organization has to be aware of?
External
Internal

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The economy, changes in technology, and competition are all examples of the external environment that an organization has to be aware of environmental conditons.

The external environment refers to factors outside of the organization's control that can impact its operations and performance. These factors can include economic conditions, political changes, technological advancements, social trends, and competitive pressures.

Understanding and adapting to changes in the external environment is crucial for organizations to remain competitive and achieve long-term success.

By staying informed and responsive to external factors, organizations can identify opportunities and threats, adjust their strategies, and make informed decisions that support their goals and objectives.

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a coupon bond pays annual interest, has a par value of $1,000, matures in 12 years, has a coupon rate of 11%, and has a yield to maturity of 12%. the current yield on this bond is group of answer choices 10.43%. 10.58%. 11.73%. none of the options are correct. 10.39%.

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None of the given options match the calculated bond's current yield of 13.84%, so the correct option is "none of the options are correct."

To calculate the current yield on a bond, we need to divide the annual coupon payment by the current market price of the bond. The annual coupon payment for the given bond is:

11% x $1,000 = $110

To calculate the market price of the bond, we can use a financial calculator or spreadsheet software. Using the given information, the present value of the bond can be calculated as follows:

[tex]PV = (110 / 1.12) + (110 / 1.12^2) + ... + (110 / 1.12^12) + (1,000 / 1.12^12)[/tex]

PV = $795.02

Therefore, the current yield on the bond is:

Current yield = (Annual coupon payment / Market price) x 100%

Current yield = ($110 / $795.02) x 100%

Current yield = 13.84%

None of the given options match the calculated current yield of 13.84%, so the correct answer is "none of the options are correct."

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judging by the relative position of supply and demand in each of these labor markets, which occupation appears to offer more desirable working conditions?

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When comparing two occupations, the one with a higher equilibrium wage rate, lower labor supply for labor, inelastic supply and demand characteristics will generally offer more desirable working conditions. By analyzing these factors, we can make an informed decision about occupation  



To determine which occupation is more desirable, we must analyze the labor market equilibrium for each occupation. Equilibrium is the point where supply and demand curves intersect, and it indicates the optimal balance between available labor and job opportunities. A labor market with a higher equilibrium wage rate typically represents an occupation with more attractive working conditions.



Moreover, the elasticity of both supply and demand also plays a crucial role in determining desirability. If the supply of labor is inelastic (i.e., the supply does not change significantly with a change in wage rate), it implies that the occupation is highly specialized and requires specific skills, making it more desirable due to higher barriers to entry.

On the other hand, if the demand for labor is inelastic (i.e., the demand does not change significantly with a change in wage rate), it indicates that the occupation is relatively immune to economic fluctuations, making it more attractive as well.

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how much can the unit cost of making model 1 slip rings increase before it becomes more economical to buy some of model 1 slip rings? explain

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The unit cost of making model 1 slip rings can increase to a certain extent before it becomes more economical to buy some of model 1 slip rings. This is because the cost of production includes several factors, such as raw materials, labor, and overhead expenses.

If the cost of any of these factors increases significantly, it may become more expensive to produce the slip rings in-house. In such cases, it might be more economical to purchase the slip rings from a supplier who can provide them at a lower cost.

The tipping point where it becomes more economical to purchase the slip rings rather than producing them in-house depends on various factors, including the production volume, the complexity of the product, and the available suppliers.

It is important to consider all these factors and conduct a thorough cost-benefit analysis before making a decision. Ultimately, the goal is to minimize costs and maximize profitability while maintaining product quality and meeting customer demand.

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why should you have a job search plan when starting to look for a job? to help you decide what type of resume to develop. to help you showcase your abilities better. to help provide you with experience and information that will help you do better in the next interview. a job search plan will provide focus for your job search.

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By, having a job search plan when actively looking for a job is important as it helps you determine what type of resume to develop to showcase your skills and abilities and provides you with experience and information.

Having a job search plan when starting to look for a job is important for several reasons. Firstly, it helps you to determine what type of resume to develop. By having a clear understanding of the types of positions you are interested in and the skills required for those positions, you can tailor your resume to showcase your abilities better. This will help you to stand out from other applicants and increase your chances of getting noticed by potential employers.

Secondly, a job search plan will help provide you with experience and information that will help you do better in the next interview. By researching the companies and positions you are interested in, you can gain a better understanding of the industry and the specific requirements for the roles you are applying for. This will help you to prepare for the interview and make a better impression on the hiring manager.

Finally, a job search plan will provide focus for your job search. By setting clear goals and objectives for your job search, you can stay motivated and focused on finding the right job for you. This will help you to avoid wasting time and energy on positions that are not a good fit and instead focus on opportunities that align with your career goals and abilities.

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an angel investor provides a startup company with $1,000,000 and receives 100,000 stock options in return. if the startup company is successful, has an ipo at the end of year 4, and the stock sells for $25 per share, what is the irr?refer to the npv

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If the startup company is successful, has an ipo at the end of year 4, and the stock sells for $25 per share, IRR is 37%

To calculate the IRR, we need to determine the cash inflows and outflows associated with the investment. In this case, the cash outflow is the $1,000,000 provided by the angel investor. The cash inflow is the value of the 100,000 stock options at the end of year 4.

To calculate the value of the stock options, we need to determine the number of shares that the stock options represent. This is typically determined by the company's stock option plan. Let's assume that the stock options represent 10% of the company's fully diluted shares outstanding at the time of the IPO.

At the IPO, the company is valued at $100,000,000 (10 times the angel investor's investment of $1,000,000). Therefore, the value of the angel investor's 100,000 stock options is $2,500,000 (10% of $100,000,000 x $25 per share).

Using these cash inflows and outflows, we can calculate the IRR using a financial calculator or Excel. The IRR in this case is approximately 37%.

If the required rate of return is higher than 37%, the investment will have a negative NPV and would not be considered a good investment. If the required rate of return is lower than 37%, the investment will have a positive NPV and would be considered a good investment.

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You are managing a project that has many stakeholders. One of the stakeholders does not provide much influence to the project; however, they have a high level of interest. How should you engage this type of stakeholder?

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When managing a project with many stakeholders, it's essential to engage each stakeholder appropriately based on their level of interest and influence. In the case of a stakeholder with low influence but high interest, you should adopt an "inform" engagement strategy.

This approach involves keeping the stakeholder informed about project progress, updates, and decisions, without seeking their direct input on every matter. Regular and transparent communication, such as through periodic newsletters, email updates, or project status meetings, will help maintain their interest and satisfaction.

By informing the stakeholder, you acknowledge their interest and involvement without expending significant resources catering to their needs or opinions. This allows you to focus on stakeholders with higher influence levels who may have a more significant impact on the project's success.

Remember to be professional and friendly when communicating with this stakeholder, and be open to their feedback when they do offer input. Although they may not have much influence, they may still provide valuable insights that can contribute to the project's overall success.

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real gdp a. moves in the opposite direction as unemployment. b. increases as production falls. c. falls when households save a smaller fraction of their income. d. all of the above are correct.

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Real GDP (Gross Domestic Product) is a measure of a country's economic output adjusted for inflation. Therefore the correct answer is none of the above.

Real GDP (Gross Domestic Product) is an inflation-adjusted measure of a country's economic output. It is the total value of all goods and services produced in a country over a specific time period, adjusted for inflation.

As a result, real GDP does not always move in the opposite direction of unemployment. Real GDP and unemployment can both rise or fall at the same time, depending on a variety of economic circumstances.

Similarly, as output diminishes, real GDP does not rise. In fact, if output falls, so will real GDP since fewer products and services are created.

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Statement of Cash Flows
a) What is it?
b) List 3 main categories
c) Describe how using the Indirect Method we derive Cash From Operations d) What do investing activities involve?
e) What do financing activities involve?

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a) The Statement of Cash Flows is a financial statement that shows the inflows and outflows of cash within a business during a specific period of time. It provides valuable insight into a company's liquidity and how it manages its cash.

b) The three main categories of the Statement of Cash Flows are: Operating activities, Investing activities, and Financing activities.

c) The Indirect Method is used to derive Cash from Operations. This involves adjusting net income for non-cash items such as depreciation and amortization, as well as for changes in working capital items such as accounts receivable, accounts payable, and inventory.

d) Investing activities involve the purchase and sale of long-term assets, such as property, plant, and equipment, as well as investments in other companies or securities.

e) Financing activities involve the issuance and repayment of debt and equity, such as issuing bonds, paying dividends, or repurchasing stock.

Here is the explanation for each part:

a) The statement of cash flows sheds light on the methods a firm employs to produce and utilize cash to finance its operations, investments, and financing activities.

It is one of the most crucial financial statements because it aids in determining the company's liquidity and financial stability for creditors, investors, and other stakeholders.

b) The three main categories in the statement of cash flows are:

1. Operating activities: This category includes cash inflows and outflows related to the primary business activities of the company, such as sales and expenses. It shows how much cash is generated or used by the company's day-to-day operations.

2. Investing activities: This category includes cash inflows and outflows related to the acquisition and disposal of long-term assets, such as property, plant, and equipment, and investments. It shows how much cash is invested or divested in the company's growth and expansion.

3. Financing activities: This category includes cash inflows and outflows related to the financing of the company, such as borrowing and repaying loans, issuing and repurchasing stock, and paying dividends. It shows how much cash is raised or spent to fund the company's capital structure.

c) Using the Indirect Method, Cash From Operations can be derived by adjusting the net income for non-cash expenses and changes in current assets and liabilities. The formula for Cash From Operations using the Indirect Method is:

Net Income + Non-cash Expenses - Changes in Current Assets and Liabilities

Non-cash expenses include items such as depreciation, amortization, and deferred taxes. Changes in current assets and liabilities include items such as accounts receivable, accounts payable, and inventory. If the changes in current assets and liabilities are positive, it indicates that cash was used to finance the increase in those items, whereas if they are negative, it indicates that cash was generated from the decrease in those items.

d) Investing activities involve cash inflows and outflows related to the acquisition and disposal of long-term assets, such as property, plant, and equipment, and investments. Examples of investing activities include the purchase of a new building, the sale of an old machine, and the purchase of stock in another company.

e) Financing activities involve cash inflows and outflows related to the financing of the company, such as borrowing and repaying loans, issuing and repurchasing stock, and paying dividends. Examples of financing activities include the issuance of new debt, the repayment of a loan, the issuance of stock, and the payment of dividends to shareholders.

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FILL IN THE BLANK. simple average forecasting gives _____ _________ to each month - meaning it uses ____ _______ _____ of demands to generate forecast for next month

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Simple average forecasting gives equal weight to each month - meaning it uses the same number of past demands to generate a forecast for the next month.

Simple average forecasting is a method of time series forecasting that involves calculating the average of a set of past demands and using that value as the forecast for the next period. This method gives equal weight to each month, meaning that each month's demand is considered equally important in generating the forecast.

For example, in a three-month simple average forecast, the demand for each month would be given equal weight (1/3) in calculating the average used to forecast the demand for the next month. This method can be useful when demand is stable and there are no discernible trends or patterns, but it may not be appropriate in situations where there are significant changes in demand over time.

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between 1933-1934, the purpose of the united states' gold confiscation and the revaluation of the dollar in terms of gold from $15 dollars to $35 were done to strengthen the value of the dollar by creating more dollars. true or false

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True. Between 1933-1934, the United States implemented gold confiscation and revalued the dollar in terms of gold from $20.67 to $35 per ounce.

This was done to strengthen the value of the dollar by increasing its supply, which in turn aimed to stimulate economic growth during the Great Depression.

Before the Gold Reserve Act, the US dollar was backed by gold, and the price of gold was fixed at $20.67 per ounce. However, during the Great Depression, there was a significant reduction in the demand for goods and services, leading to a deflationary spiral.

To combat this, the US government decided to increase the money supply by revaluing gold to $35 per ounce and confiscating gold from US citizens. By revaluing gold, the government increased the value of the dollar in terms of gold, which in turn led to an increase in the supply of dollars.

The purpose of this measure was to stimulate economic growth by increasing the money supply, which would make it easier for businesses and individuals to borrow money and invest in new projects.

By increasing investment, the government hoped to create jobs and increase economic activity. The revaluation of gold was also seen as a way to combat the deflationary pressures that were causing the economy to contract.

In summary, the statement is true. The United States implemented gold confiscation and revalued the dollar in terms of gold from $20.67 to $35 per ounce between 1933-1934 to stimulate economic growth during the Great Depression.

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This European leader envisioned a "United States of Europe" to check U.S. power and influence after World War II.

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The European leader who envisioned a "United States of Europe" to check U.S. power and influence after World War II was Winston Churchill.

Churchill delivered a speech in Zurich, Switzerland, on September 19, 1946, where he proposed the idea of a united Europe as a way to prevent future conflicts and create a peaceful and prosperous continent.

He called for the establishment of a "Council of Europe" and spoke of the need for a close association of European nations, including the United Kingdom, to create a united Europe that would be capable of acting as a counterbalance to the United States and the Soviet Union in the post-war era.

Churchill's vision laid the groundwork for the European integration process that eventually led to the formation of the European Union (EU).

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T/F. A company is worse off by paying cash dividends because it must record a loss for this transaction in its income statement.

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T/F. A company is worse off by paying cash dividends because it must record a loss for this transaction in its income statement.

The statement is false, a company is not necessarily worse off by paying cash dividends, and it does not necessarily record a loss for this transaction in its income statement.

Dividends are distributions of a company's earnings to its shareholders, and they are usually paid out of the company's retained earnings or current earnings. When a company pays dividends, it does not record a loss on its income statement. Instead, it records a reduction in its retained earnings, which is the portion of its earnings that it has not yet distributed to shareholders. Paying dividends can have both positive and negative effects on a company. On the one hand, paying dividends can be a signal to investors that a company is financially stable and has strong cash flows. This can lead to increased demand for the company's stock and a higher stock price. On the other hand, paying dividends can also reduce the amount of cash that a company has available for investments and other uses.

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cost of goods manufactured is equal to a.cost of goods sold plus beginning work in process inventory minus ending work in process inventory b.total manufacturing costs plus ending work in process inventory minus beginning work in process inventory c.total manufacturing costs plus ending materials inventory minus beginning materials inventory d.total manufacturing costs plus beginning work in process inventory minus ending work in process inventory

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The correct answer is: Cost of goods manufactured is equal to (b) total manufacturing costs plus ending work in process inventory minus beginning work in process inventory.

To better understand this, let's break it down step-by-step:

1. Total manufacturing costs: This includes the sum of all direct materials, direct labor, and manufacturing overhead costs incurred during the production process.

2. Ending work in process inventory: This represents the value of goods that are still in the process of being manufactured at the end of an accounting period.

3. Beginning work in process inventory: This represents the value of goods that were still in the process of being manufactured at the beginning of an accounting period.

The formula for calculating the cost of goods manufactured is:

Cost of goods manufactured = Total manufacturing costs + Ending work in process inventory - Beginning work in process inventory

This formula helps businesses determine the total cost of goods that were completed and transferred to finished goods inventory during a specific accounting period.

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is the company's ability to expense fixed assets over their useful life. group of answer choices capital budgeting depreciation amortization acceleration

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The company's ability to expense fixed assets over their useful life is related to two important financial concepts - capital budgeting and depreciation. Capital budgeting refers to the process of determining which long-term investments a company should make to improve its overall operations and increase its profits. Fixed assets such as buildings, machinery, and equipment are often included in capital budgeting decisions.



Depreciation, on the other hand, refers to the gradual reduction in the value of a fixed asset over time due to wear and tear or obsolescence. The company can expense this depreciation over the useful life of the asset, reducing its taxable income and lowering its tax liability.



Amortization acceleration is a term that refers to the speeding up of the depreciation process for tax purposes, resulting in larger deductions in the earlier years of an asset's life. This can provide a financial benefit to the company in the short term but may also result in a higher tax liability in the later years.

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CSUSM offers you an option to pay your remaining balance of $1,800 tuition today or pay $2000 for the tuition balance in one year. The interest rate you can earn (adjusted for inflation) is 15%. What should you do to save the most money? Show you calculation 

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To save the most money, you should pay the remaining balance of $1,800 today. Here's why:

Now, let's assume that you take the $1,800 you would have paid today and invest it instead. With an interest rate of 15%, your investment will grow to $2,070 in one year (assuming no inflation). If you choose to pay $2,000 in one year instead, you'll have to borrow that money at an interest rate higher than 15% (since inflation will likely erode some of your investment gains). Let's assume the interest rate on your loan is 18%. In this case, you'll owe $2,360 in one year ($2,000 + 18% interest). Comparing the two options, you'll save $290 by paying the $1,800 today and investing it, rather than paying $2,000 in one year. In summary, paying the remaining balance of $1,800 today is the best option if you want to save the most money.

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Determine whether the following statement is positive or normative: "Inequality is typically greater in a market economy than a centrally-planned economy."

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The assertion" Imbalance is naturally more noteworthy in a Market economy than a halfway arranged frugality" is a positive assertion.

Statements that describe or explain a miracle or relationship in the world are known as positive statements. They can be tested and proven through empirical analysis and are grounded on factual compliances or substantiation.

A request frugality is a profitable system in which the price signals are generated by force and demand companion opinions about investment, product, and distribution to consumers.

The economics of colorful individual judgments are the focus of normative economics. These judgments constantly diverge from one another, egging group agreement constantly.

Statements grounded on data are the focus of positive economics. Certain consequences can be drawn from these statements.

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true or false: the profitability index (pi) is calculated by dividing the present value of an investment's future cash flows by its future cost.

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The profitability index (PI), also known as the profit investment ratio (PIR) or the value investment ratio (VIR), is a financial metric used to evaluate the potential profitability of an investment. Given Statement is True.

It is calculated by dividing the present value of an investment's future cash flows by its initial cost. The formula for calculating the profitability index is:

PI = Present value of future cash flows / Initial investment

A PI greater than 1 indicates that the investment is expected to be profitable, while a PI less than 1 indicates that the investment is not expected to be profitable. A PI of exactly 1 indicates that the investment is expected to break even, with no net gain or loss.

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