What is the difference between technical analysis and fundamental analysis?
sample answer:

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Answer 1

Technical analysis and fundamental analysis are two different approaches used by investors to evaluate and analyze securities in the financial market.

Technical analysis is based on the study of market data, such as price and volume, to predict the future price movements of a security. It assumes that historical price and volume data are a good indicator of future market behavior, and that patterns in the market can be identified and used to make investment decisions. Technical analysts use various tools such as charts, graphs, and technical indicators to identify trends, support and resistance levels, and other patterns in the market.

Fundamental analysis, on the other hand, is focused on the intrinsic value of a security by examining the economic, financial, and other qualitative and quantitative factors that can affect its price. This includes analyzing financial statements, earnings reports, industry trends, and other macroeconomic indicators to determine the financial health of the company and its future growth prospects. Fundamental analysis assumes that the market may sometimes misprice a security, and that a careful analysis of its underlying value can provide an opportunity for investment.

In summary, technical analysis is focused on market data and patterns, while fundamental analysis is focused on the underlying value of a security. Both approaches have their advantages and limitations, and investors may choose to use one or both depending on their investment goals and risk tolerance.

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after graduating from high school, peggy smith decided to enroll in a two-year program at the local community college rather than to accept a job that offered a salary of $24,000 per year. if the annual tuition and fees are $8,200, the annual opportunity cost of attending the community college is

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The annual opportunity cost of attending the community college for Peggy would be $24,000 minus $8,200, which is $15,800 per year.


The annual opportunity cost of attending the community college for Peggy Smith would be the income she could have earned had she taken the job that offered a salary of $24,000 per year.
In this case, Peggy has chosen to enroll in a two-year program at the local community college instead of taking the job. Assuming that the job offer was for a full-time position, the annual salary would have been $24,000. This means that Peggy is sacrificing the potential income of $24,000 per year for the duration of her two-year program at the community college.
The annual tuition and fees for the community college are $8,200, which means that Peggy would need to pay this amount each year for the two-year program. Therefore, the annual opportunity cost of attending the community college for Peggy would be $24,000 minus $8,200, which is $15,800 per year.
It is important to consider opportunity cost when making decisions because it helps to weigh the benefits and costs of different options. In Peggy's case, she may have decided that the benefits of attending the community college (such as gaining new skills and knowledge) outweighed the opportunity cost of not taking the job offer. However, it is essential to consider the opportunity cost when making any decision that involves giving up something of value.

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Training provides employees with specific knowledge and skills for use in their present jobs.TrueFalse

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Employees receive training to provide them with specialized knowledge and abilities for use in their current positions. This statement is true.

Training is a crucial component of employee development and it helps to improve their skills and knowledge in specific areas that are necessary for their current jobs. With the ever-changing work environment, it is important for employees to keep up-to-date with the latest skills and knowledge required for their job roles.

Effective training programs provide employees with a range of benefits, including increased job satisfaction, improved productivity, and enhanced career development opportunities. By providing employees with the necessary training, employers can improve the quality of work that they produce and help them achieve better results in their jobs.

Training can take many forms, including on-the-job training, classroom-based training, and online training programs. The type of training that is provided will depend on the specific needs of the organization and the employees.

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A strategy that changes in response to new market conditions and challenges is known as
a. a differentiation strategy.
c. a proactive strategy.
c. a static strategy.
d.an evolving strategy.

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A strategy that changes in response to new market conditions and challenges is known as an evolving strategy.

What is strategy ?

Strategy is a plan of action designed to achieve a long-term or overall aim. It involves setting goals, determining actions to achieve the goals, and mobilizing resources to execute the actions. A strategy describes how the end goal will be achieved by outlining the steps that will be taken to reach it. It involves making decisions about the direction of a business, the resources needed to achieve objectives, and the methods used to monitor progress and evaluate results. Strategy is essential for any organization, as it helps to define the direction in which the business is headed and the methods used to reach its goals.

Therefore, the correct option is D.
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As the project manager, you need to understand how the processes relate to one another and that the outputfrom one typically becomes the input to another. Which process group corresponds to the "do" component from the plan-do-checK-act cycle? Planning Initiating Monitoring and Controlling Executing

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Understanding the plan-do-check-act cycle and how it relates to the project management framework is essential for project managers. The "do" component from the plan-do-check-act cycle corresponds to the executing process group in project management.

The "plan-do-check-act" cycle, also known as the Deming PDCA cycle, is a four-step model for continuous improvement. It is a popular method used by project managers to plan, execute, and control their projects. Each of the four steps corresponds to a process group in the project management framework.



During the executing process group, project managers are responsible for ensuring that the project is on track and within budget. They need to understand how the processes relate to one another and that the output from one typically becomes the input to another. This understanding allows project managers to manage the project more efficiently and effectively.

The executing process group is where the work is done to meet the project objectives. It involves coordinating people and resources to carry out the project plan, and it's where the actual work takes place.Knowing which process group corresponds to each component of the cycle enables project managers to carry out the work required to meet the project objectives and ensure the project's success.

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Why can Yield to Maturity be thought of as "the IRR of abond?"

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Yield to Maturity (YTM) is the interest rate that makes the present value of a bond's cash flows equal to its market price. The internal rate of return (IRR) is the discount rate that makes the net present value of an investment's cash flows equal to zero.

In the case of a bond, the cash flows are the coupon payments and the principal repayment, and the market price is the present value of those cash flows.

Therefore, the YTM is the interest rate that makes the present value of the bond's cash flows equal to its market price, similar to how the IRR is the discount rate that makes the net present value of an investment's cash flows equal to zero.

Thus, YTM can be thought of as the IRR of a bond because both are the rate of return that equates the present value of the cash flows with the initial investment or market price.

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If a Treasury bond pays an interest rate of 4%, and the inflation rate is 1% per year, then the real interest rate on the bond is a. 1% per year. b. 4% per year c. 5% per year. d. 3% per year

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To answer your question, if a Treasury bond pays an interest rate of 4% and the inflation rate is 1% per year, then the real interest rate on the bond is d. 3% per year. This is calculated by subtracting the inflation rate from the nominal interest rate (4% - 1% = 3%).

The nominal interest rate is the rate at which the money invested in the bond will grow, without taking into account the effects of inflation. In this case, the nominal interest rate is 4%.On the other hand, the inflation rate is the rate at which the prices of goods and services in an economy increase over time. If inflation is present, the purchasing power of money decreases, which means that the same amount of money can buy fewer goods and services in the future. In this case, the inflation rate is 1%.The real interest rate adjusts the nominal interest rate for inflation, and represents the actual growth in purchasing power of the money invested in the bond. To calculate the real interest rate, we subtract the inflation rate from the nominal interest rate.

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The dose of Ceclor in children is 20 mg/kg/day in divided doses. A prescription for an 82-lb youngster prescribes 375 mg PO TID. After bringing this prescription to the attention of the pharmacist, the pharmacist agrees that there is a problem with this prescription. The problem is:

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The problem with this prescription is that the prescribed dose of Ceclor for the 82-lb child is too low.

The recommended dose of Ceclor for children is 20 mg/kg/day in divided doses, which means that the dose should be based on the child's weight. Converting 82 lbs to kg gives a weight of approximately 37 kg. Therefore, the child should receive a total daily dose of 740 mg of Ceclor (20 mg/kg x 37 kg).

Dividing this total daily dose into three equal doses gives a recommended dose of 247 mg per dose, which is higher than the prescribed dose of 375 mg PO TID. The pharmacist should contact the prescribing healthcare provider to discuss an appropriate dose adjustment for the child.

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what is the impact of ownership and management on the noneeconomic objective of state owned company ?

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The impact of ownership and management on the non-economic objectives of a state-owned company can be significant, as these factors determine the company's priorities and focus.

Firstly, state ownership usually implies that the primary objective of the company is to fulfill a public service mission, rather than solely aiming for profit maximization. This focus on non-economic objectives can lead to a more balanced approach in decision-making, prioritizing social, environmental, or public welfare aspects alongside financial considerations.

Secondly, the management of a state-owned company plays a crucial role in driving the company's non-economic objectives. The management team must establish clear policies and guidelines to ensure that the company's activities align with its public service mission. They should also regularly monitor the company's performance against these objectives, taking corrective actions as necessary.

Moreover, state-owned companies often operate under increased public scrutiny, making transparent reporting and stakeholder engagement essential. Management must demonstrate a commitment to maintaining high ethical standards and ensuring the company's actions contribute positively to society.

In conclusion, the impact of ownership and management on the non-economic objectives of state-owned companies is significant, as they determine the priorities and focus of the organization. By emphasizing public service missions and adopting a balanced approach to decision-making, state-owned companies can contribute to broader societal goals while maintaining financial sustainability.

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hobby lobby, a craft goods store, has a 40%-off coupon a customer can download on a smartphone while shopping. at the check-out counter, the cashier scans the bar code of the coupon, and the customer pays 40% less on the item. this is an example of .

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This is an example of a digital coupon, which is a form of digital marketing used by businesses to incentivize customers to purchase goods or services.

What is marketing?

Marketing is the process of creating, communicating and delivering value to customers and managing customer relationships in a way that benefits the organization and its stakeholders. It encompasses activities such as product development, pricing, promotion, distribution, customer service, and market research. The goal of marketing is to create and maintain relationships with customers by providing them with products and services that meet their needs. The key components of marketing include understanding the customer needs and wants, developing the right product or service, pricing it correctly, and delivering it in the most effective way.

Digital coupons can be sent via email, text message, or even as a bar code that can be scanned at the checkout counter. In this case, the customer is able to save 40% by downloading a coupon from their smartphone and scanning the bar code at the checkout counter.

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In terms of decision​ theory, an occurrence or situation over which the decision maker has no control is called​ a(n):

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In terms of decision theory, an occurrence or situation over which the decision maker has no control is called a "random event" or "uncertainty".

What are random events?

Random events are outcomes that are uncertain or unpredictable, and over which the decision maker has no control. Examples of random events include natural disasters, economic recessions, and changes in consumer preferences. These events can have a significant impact on the outcome of a decision, and it is important for decision makers to take them into account when making choices.

The presence of uncertainty and random events highlights the importance of decision making under risk and uncertainty, and the need for decision makers to evaluate the potential outcomes of different choices and assess the likelihood of these outcomes occurring.

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Don't copy it from the internet. Write it clear for meLego’s china channel structure (length, width) and analysis.

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Lego's channel structure in China can be described in terms of length and width.
Length refers to the number of intermediaries between the manufacturer and the end consumer. Lego's channel length in China typically consists of the manufacturer, distributors or wholesalers, retailers, and finally, the consumers. This structure enables Lego to efficiently distribute their products across the vast Chinese market.


Width, on the other hand, refers to the variety of distribution channels used by a company to reach its target customers. Lego employs a mix of online and offline channels in China. Online channels include e-commerce platforms such as Tmall, JD.com, and their official website. Offline channels consist of brick-and-mortar stores, including Lego's flagship stores, certified retailers, and partnership with department stores.
An analysis of Lego's channel structure in China reveals a strategic approach to cater to the diverse preferences of Chinese consumers. By maintaining both online and offline channels, Lego ensures its products are easily accessible and visible to a wide range of customers, ultimately enhancing its market reach and sales.

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In Scrum, a(n) _____ is a useful object created by people.

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In Scrum, a(n) designs is a useful object created by people.It's possible that students lack the technical Scrum knowledge necessary to comprehend the subtleties of software development or the Scrum method.

Student teams might not have access to resources like seasoned Scrum Masters or committed product owners that are available to professional software development teams.

Student teams can only have a short amount of time to do their assignments, making it challenging to adhere to the Scrum approach, which needs time for planning and evaluation. Despite these difficulties, using some aspects of Scrum in student team projects might enhance project management and results. For instance, implementing Scrum's daily stand-up meetings can assist student teams in staying on task and spotting any potential roadblocks to development.Additionally, employing sprint planning from Scrum.

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jimena worked for big tech associates (bta) as a junior manager. she was denied a senior management position even though she had excellent performance reviews and her team was ranked in the top quartile in the country. the reasons given by senior management for denying her the promotion were that she was too aggressive and not feminine enough. they also cited the fact that she was not enough of a team player and had higher turnover in her team than most other teams in the company. if jimena sues for sex discrimination under title vii and bta counters that there were legitimate reasons, such as turnover, for denying the promotion, what would be the best theory for her case?

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The best theory for Jimena's case would be disparate treatment. Disparate treatment occurs when an employer intentionally discriminates against an employee based on their protected characteristic, in this case, sex.

In Jimena's case, senior management cited her aggressiveness and lack of femininity as reasons for denying her the promotion, which can be viewed as discriminatory based on her sex. Additionally, if the turnover rate was used as a justification for denying her promotion, she could argue that it was a pretext for discrimination because her team's performance was still ranked in the top quartile of the country.

To prove disparate treatment, Jimena would need to establish a prima facie case by showing that she was a member of a protected class, qualified for the position, and was denied the promotion while someone outside of her protected class was promoted.

Once Jimena establishes a prima facie case, the burden would shift to BTA to show that there were legitimate reasons for denying the promotion. If BTA cannot show legitimate reasons, it will be presumed that discrimination was the reason for the denial. Ultimately, Jimena's success in her case will depend on the strength of the evidence she presents and the arguments made by her attorney.

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Lennie loves her job at Vail Corporation. She is even a community ambassador. Lennie exhibits all of the following qualities except A. pessimism.
B. urgency.
C. focus.
D. intensity.
E. enthusiasm.

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Lennie cherishes her work at Vail Enterprise and may be a community envoy. Based on this data, it can be accepted that Lennie is eager approximately her work and is committed to speaking to her company in a positive way. Subsequently, the quality that she does not display may Be a. cynicism.

Cynicism could be a. negative demeanor that includes centering on potential issues and disappointments rather than searching for arrangements and openings. It is impossible that somebody who cherishes their work and is committed to speaking to their company in a positive way would show cynicism.

The other qualities recorded - direness, center, escalated, and excitement - are all positive characteristics that can contribute to a person's victory within the work environment. Center includes being mindful and maintaining a strategic distance from diversions. Eagerness includes being positive and lively approximately one's work and the company.

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01-028 - What does the phrase, Data Analysis Life Cycle describe?

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The Data Analysis Life Cycle (DALC) is an iterative process used to analyze data and extract insights from it.

It entails a set of procedures that can be used to gather, purify, process, and examine data in order to spot patterns or trends.

The cycle then repeats itself in a loop, using the analysis's findings to either improve the original data set or generate a brand-new one. The data preparation, data exploration, data modelling, data analysis, results interpretation, and report generation are the six primary processes in the cycle.

Each phase is intended to assist in extracting the most significant and pertinent data from the data set and generating insights that can be put to use.

The cycle can be carried out as many times as required to produce the desired result.

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produces two goods, A and B. If they produce the goods jointly, the total cost is TC = 100 + 50QAQB - VQAQB If they produce the goods separately, the total cost of producing good A is TC = 75 + 3000QA + 1000QB + QA? + QB? If the firm produces at QA = 40 2 and QB = 100 then the firm should produce the goods because of ___ of scope.a. separately; diseconomies b. jointly; diseconomiesc. separately; economies d. jointly; economies

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TCjoint < TCa, the firm should produce the goods jointly because of economies of scope. Joint production is less expensive than producing each good separately. If the firm produces at QA = 40 2 and QB = 100 then the firm should produce the goods because of economies of scope.

To determine whether the firm should produce the goods jointly or separately, we need to compare the total costs of each production method at the given levels of QA and QB.

If the firm produces the goods jointly, the total cost is:

TCjoint = 100 + 50QAQB - VQAQB

TCjoint = 100 + 50(40)(100) - V(40^2)(100)

TCjoint = 100 + 200000 - 160000V

TCjoint = 200000 - 160000V

If the firm produces the goods separately, the total cost of producing good A is:

TCa = 75 + 3000QA + 1000QB + QA²

TCa = 75 + 3000(40) + 1000(100) + (40)^2

TCa = 29575

The total cost of producing good B separately is not given, but it is not necessary to calculate it because the question only asks whether the firm should produce the goods jointly or separately.

Therefore, the firm should produce the goods jointly if TCjoint < TCa, and separately if TCa < TCjoint.

Substituting the values we calculated, we get:

TCjoint = 200000 - 160000V = 200000 - 160000(0.02) = 168000

TCa = 29575

Since TCjoint < TCa, the firm should produce the goods jointly because of economies of scope. Joint production is less expensive than producing each good separately.

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what type of correlation would a marketing manager expect between money spent on advertising, x, and company sales, y?

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A marketing manager would typically expect a positive correlation between money spent on advertising (x) and company sales (y).

This means that as the advertising budget increases, sales are also likely to increase, and vice versa. However, it is important to note that correlation does not necessarily imply causation, and other factors can also influence the relationship between advertising and sales.

A marketing manager's goal is to drive sales and revenue for their company, and one of the most common tools they use to achieve this is advertising. As a result, it is natural for a marketing manager to expect a positive correlation between money spent on advertising and company sales. This means that as the advertising budget increases, sales are also likely to increase, and vice versa. However, it is important to understand that correlation does not necessarily imply causation.

A correlation between two variables means that they are related in some way. In this case, the relationship is between advertising spending and sales. A positive correlation means that as one variable increases, the other variable also tends to increase. In other words, the two variables move in the same direction. A negative correlation means that as one variable increases, the other variable tends to decrease. In other words, the two variables move in opposite directions.

However, just because two variables are correlated does not necessarily mean that one causes the other. There may be other factors that are influencing both variables or a third variable that is causing both variables to change.

For example, it could be that sales are driven more by the quality of the product or the pricing strategy rather than the advertising spending. In this case, advertising spending and sales may be correlated, but advertising spending may not be the cause of the increase in sales.

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The balance in the income summary account before it is closed will be equal to...A. the net income or loss on the income statement.B. the ending balance in the retained earnings account.C. zero.D. the beginning balance in the retained earnings account.

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The balance in the income summary account before it is closed will be equal to the net income or loss on the income statement. Option (A)

The income summary account is a temporary account used to close the revenue and expense accounts at the end of an accounting period. The revenue and expense accounts are closed by transferring their balances to the income summary account. Once all the revenue and expense accounts are closed, the balance in the income summary account represents the net income or loss for the period.

This balance is then transferred to the retained earnings account, which is a permanent account on the balance sheet, to reflect the impact of the period's net income or loss on the company's equity. Therefore, the correct answer is A. the net income or loss on the income statement.

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the use of money part 2 a. allows for greater specialization. b. reduces the transaction costs of exchange. c. eliminates the double coincidence of wants. d. all of the above.

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The use of money allows for greater specialization, reduces the transaction costs, and it also reduces the double coincidence of wants. So the correct answer is option d.

The use of money allows for greater specialization because individuals can focus on producing the goods or services they are most efficient at and then use money to purchase the other goods and services they need. Money also  reduces the transaction costs  of exchange by providing a common medium of exchange, which eliminates the need for costly barter exchanges. Additionally, money eliminates the double coincidence of wants problem because individuals can simply use money to make exchanges instead of requiring a direct match of wants between trading partners.Hence the correct answer is option d.

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Calculate the price and quantity anAirline would select if it were in a Perfectly CompetitiveIndustry. (Much of this is in chapters 8 and 9)
TC = 10 + 4Q. Demand is P=20- 2Q
i—Draw the demand curve and the MC curve. (2 points)
ii— What is price and quantity for the Perfectly Competitive Industry? (4 points)
iii—How much is Consumer Surplus? (3 Points)
iv—What is the profit for the Perfectly Competitive Industry? (3 points)

Answers

If an airline had a monopoly, it would choose a price and quantity of $32 for the product. The question Calculated does not specify the fixed cost.The marginal cost, marginal revenue, and marginal demand curves can be represented graphically as follows:

Curve of demand: P=20-2Q

Curve of marginal revenue: MR = 20 - 4Q

Curve of marginal costs: MC = 4.

i) It is impossible to calculate consumer surplus without first knowing the price and the quantity.iv) We must equalise marginal revenue and marginal cost in order to determine the quantity that maximises profits.

20- 4Q= 416 = 4Q Q=4

When we change Q in the demand curve to equal 4, we obtain P= 20–2Q.

P= 20- 2(4) P=12

As a result, the monopoly will generate 4 units of output at a cost of $12 each.

v) The monopoly's profit may be increased

As a result, the monopoly will generate 4 units of production at a cost of $12 each.) You may determine the monopoly's profit by deducting the total cost from the total revenue.

Price x Quantity equals total income.

$12 x by 4 equals the total revenue.

$48 in total revenue

MC x Quantity equals variable cost.

$4÷ 4= the variable cost.

Cost variable = $16

Fixed cost + variable cost = total cost.

Total revenue - total costs = profit.

Profit = Total Cost - $48

Profit: $48 - $16 = $32.

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, the price in a perfectly competitive industry is $16, and the quantity is 2 units.the consumer surplus is $4.

To draw the demand curve, we can use the demand equation: P = 20 - 2Q. By solving for Q in terms of P, we get Q = 10 - 0.5P. This equation shows that as the price increases, the quantity demanded decreases.

To draw the marginal cost (MC) curve, we need to find the derivative of the total cost (TC) equation with respect to Q. The derivative of TC with respect to Q is MC = dTC/dQ = 4. This means that the MC curve is a horizontal line at a height of 4.

ii.

In a perfectly competitive market, the price is equal to the marginal cost (P = MC) and the quantity is where the MC curve intersects the demand curve.

Setting the MC equal to the demand equation, we get:

10 + 4Q = 20 - 2Q

Solving for Q, we get:

Q = 2

Plugging Q = 2 into the demand equation, we get:

P = 20 - 2(2) = 16

iii.

To find the consumer surplus, we need to find the area below the demand curve and above the price, from 0 to the quantity sold (2 units).

The area of the triangle can be calculated using the formula:

(1/2) x base x height

The base of the triangle is 2 units, and the height is (20 - 16) = 4 units.

So, the area of the consumer surplus triangle is:

(1/2) x 2 x 4 = 4

iv.

In a perfectly competitive market, firms earn zero economic profit in the long run. This means that total revenue (TR) equals total cost (TC).

Total revenue is equal to the price multiplied by the quantity sold:

TR = P x Q = $16 x 2 = $32

Total cost is equal to the fixed cost (FC) plus the variable cost (VC). In this case, the fixed cost is $10 and the variable cost is $4Q, so:

TC = $10 + $4Q = $10 + $4(2) = $18

Since TR = TC, the profit for the perfectly competitive industry is zero.

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The 360° rating method appears to be less threatening to employees when it is used for ____ purposes.customer relationsdevelopmentbenchmarking

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Answer:

The 360° rating method appears to be less threatening to employees when it is used for development purposes. This method involves collecting feedback from multiple sources, including peers, subordinates, and superiors, to provide a more comprehensive view of an employee’s performance. When used for development purposes, the feedback can help employees identify areas for improvement and create a plan for personal and professional growth.

Explanation:

During the Great Recession, the number of discouraged workers rose sharply. How did the increase in the number of discouraged workers affect the size of the labor force and the unemployment rate?a. The increase in the number of discouraged workers reduced both the unemployment rate and the size of the labor force b. The increase in the number of discouraged workers increased both the unemployment rate and the size of the labor force c. The increase in the number of discouraged workers had no effect on the unemployment rate and the size of the labor force d. The increase in the number of discouraged workers increased the unemployment rate and reduced the size of the labor force

Answers

The correct answer is d. The increase in the number of discouraged workers increased the unemployment rate and reduced the size of the labor force.

Discouraged workers are individuals who have given up looking for work due to a lack of job opportunities or other reasons, and are no longer counted as part of the labor force. This means that they are not included in the unemployment rate calculation, which only takes into account those actively seeking work. However, their absence from the labor force also reduces the overall size of the labor force, which can have a negative impact on the economy as a whole. Therefore, the increase in the number of discouraged workers during the Great Recession had a significant impact on both the unemployment rate and the size of the labor force.

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Question 48 2 pts Four more questions about deficits Assume again that ten years from now the government's budget deficit is very large (very negative). Suppose the government wants to reduce the budget deficit (make it less negative). What fiscal policy changes could reduce the deficit? Choose the best answer below. O Increase the nation's money supply. O Increase national saving and investment. O Increase interest rates O Reduce government spending or increase taxes.

Answers

The best answer is to reduce government spending or increase taxes.

Increasing the money supply or national saving and investment would not directly reduce the budget deficit. Increasing interest rates could reduce inflation but would not necessarily reduce the deficit. On the other hand, reducing government spending or increasing taxes would directly reduce the amount of money the government is spending and increase its revenue, which would help to decrease the budget deficit.

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What is the term we used to describe the expected cash value of an asset at the end of its useful life?

Answers

The term used to describe the expected cash value of an asset at the end of its useful life is called salvage value or residual value.

What is Salvage Value?

Salvage value represents the estimated amount an owner would receive if they were to sell or dispose of the asset after it has fully depreciated over its useful life.

Calculating the salvage value is essential in financial planning, as it helps businesses determine the depreciation expense for the asset during its useful life. This, in turn, impacts tax deductions and overall profitability.

To estimate the salvage value, one must consider factors such as the asset's initial cost, its expected useful life, and any potential market demand or value for the asset after its useful life has ended.

In summary, the salvage value is the term used to describe the expected cash value of an asset at the end of its useful life. It is a critical component in calculating depreciation expenses and plays a significant role in financial planning for businesses.

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Prioritizing stakeholders is easy because it is obvious which stakeholders are most important to a firm.T/F

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Prioritizing stakeholders is easy because it is obvious which stakeholders are most important to a firm the most important factor in assigning stakeholders a priority matrix is the stakeholder priority matrix. This statement is False.

This matrix is a method for identifying and ranking stakeholders according to their objectives and degree of influence over an organisation. The matrix evaluates each stakeholder's importance based on their influence and motivation.

Power is the power a stakeholder has to influence how an organisation makes decisions, whereas interest is the degree of commitment a stakeholder has to the goals of the organisation. The stakeholders and their relative importance are depicted visually in the stakeholder matrix. It enables a company to decide which stakeholders must be dealt with right away and which ones can wait. This method can also be used to assess stakeholder relationships over time.

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home decor has a debt-equity ratio of .54. the cost of equity is 15.7 percent, the pretax cost of debt is 6.8 percent, and the tax rate is 22 percent. what will be the cost of equity if the debt-equity ratio is revised to .65? cq a) 16.89% b) 17.07% c) 14.70% d) 15.69% e) 16.44% group of answer choices

Answers

The new cost of equity if Home Decor's debt-equity ratio is revised to 0.65 is 14.70%. So, the correct answer is c) 14.70%.  

To calculate the new cost of equity, we can use the following formula: Cost of Equity = Risk-Free Rate + Beta*(Market Risk Premium)

However, since the debt-equity ratio has changed, we need to adjust the beta accordingly. The formula for the levered beta is: Levered Beta = Unlevered Beta*(1 + (1 - Tax Rate)*(Debt/Equity))

First, let's calculate the current levered beta:
Levered Beta = 1*(1 + (1 - 0.22)*(0.54/1)) = 1.3168

Next, let's calculate the new levered beta with the revised debt-equity ratio:
New Levered Beta = 1*(1 + (1 - 0.22)*(0.65/1)) = 1.4305

Now we can use the new levered beta to calculate the new cost of equity:
Cost of Equity = 2.5% + 1.4305*(7.5%) = 12.72%

The new cost of equity is approximately 14.70%.. Therefore, the correct answer is c) 14.70%..

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A recent study of 715 families showed that families owned anaverage of 1.18 TV's (TV). If sd(TVbar)=0.5, what is the conclusionfrom testing the following hypothesis (α=0.05):
H0: μTV = 1
Ha: μTV≠ 1
a. Since t>t*, reject H0 at a 5% level of significance. Families do not have an average of 1 TV.
cross out
b. Impossible to determine based on 715 families.
cross out
c. Since t>t*, reject H0 at a 5% confidence level. Families do not have an average of 1 TV.
cross out
d. Since -t* cross out
e. Since -t*

Answers

The question is asking about a hypothesis test conducted on the average number of TVs owned by families. The correct answer is option (c) "Since t>t*, reject H0 at a 5% confidence level.

The null hypothesis (H0) states that the population mean (μTV) is equal to 1, while the alternative hypothesis (Ha) states that it is not equal to 1. The study involved 715 families and found that the sample mean was 1.18 TVs with a standard deviation of 0.5.

To conduct the hypothesis test, we calculate the test statistic (t) using the formula t = (sample mean - hypothesized mean)/(standard error of the mean). The standard error of the mean is the standard deviation divided by the square root of the sample size. We then compare the calculated t-value with the critical value from the t-distribution table at a given level of significance (α=0.05).

In this case, the calculated t-value is greater than the critical value, which means we reject the null hypothesis. The correct answer is option (c) "Since t>t*, reject H0 at a 5% confidence level. Families do not have an average of 1 TV." This implies that the evidence suggests that the average number of TVs owned by families is different from 1, and we can be 95% confident that this result is not due to chance.

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Consider a market with two goods: good 1 and good 2.Suppose that the price of good 1 is $1 and the price of good 2 is $5.Consider a consumer with $118.Assume that the consumer has the following utility function: U(x1,x2) = min{x1/5, x2/3}Assume that the price of good 1 increases to $8 and the price of good 2 increases to $9.First, obtain the indirect utility function as a function of income and prices.Then, calculate the optimal bundle the new prices $8 and $9. (Leave things in fractions - do not round).By using the final bundle, calculate the final utility level. (Leave things in fractions - do not round).Calculate the amount of money required to obtain the final utility under the initial prices $1 and $5. (Leave things in fractions - do not round).Finally, calculate the equivalent variation.Use 3-digit precision in your final answer.If your answer is 34.327178191, then type 34.327.

Answers

EV = m_new - m_old = (118 / 57) - (120 / 17) = -22.478

The negative value indicates that the consumer is worse off with the new prices of $8 and $9.

The indirect utility function is given by:

v(p1, p2, m) = m / (5p1 + 3p2)

Using the new prices of $8 and $9 and the consumer's income of $118, we have:

v(8, 9, 118) = 118 / (5(8) + 3(9)) = 118 / 57

To find the optimal bundle, we need to solve the following utility maximization problem:

max U(x1, x2) = min{x1/5, x2/3} subject to p1x1 + p2x2 = m

Using the new prices of $8 and $9 and the consumer's income of $118, we have:

max U(x1, x2) = min{x1/5, x2/3} subject to 8x1 + 9x2 = 118

Since the consumer's utility function is piecewise linear, the optimal bundle must lie on one of the two budget constraints defined by x1/5 = x2/3 and 8x1 + 9x2 = 118. Solving these two equations simultaneously, we get

x1 = 120/17 and x2 = 360/17

Thus, the optimal bundle is (x1, x2) = (120/17, 360/17).

To calculate the final utility level, we substitute the optimal bundle into the consumer's utility function:

U(120/17, 360/17) = min{(120/17)/5, (360/17)/3} = min{24/85, 120/85} = 24/85

To find theamount of money required to obtain the final utility under the initial prices of $1 and $5, we need to solve the following utility maximization problem:

max U(x1, x2) = min{x1/5, x2/3} subject to x1 + 5x2 = m

Using the final utility level of 24/85 and the initial prices of $1 and $5, we have:

max U(x1,x2) = min{x1/5, x2/3} subject to x1 + 5x2 = m and U(x1, x2) = 24/85

Solving these three equations simultaneously, we get:

x1 = 120/17 and x2 = 360/17

m = x1 + 5x2 = 600/17

Therefore, the amount of money required to obtain the final utility under the initial prices of $1 and $5 is $35.294117647, which is approximately equal to $35.294.

To calculate the equivalent variation, we need to find the amount of money the consumer would need at the initial prices of $1 and $5 to achieve the same utility level as they do at the new prices of $8 and $9. Using the initial prices of $1 and $5 and the final utility level of 24/85, we have:

v(1, 5, m) = 24/85

Solving for m, we get:

m = 120/17

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what would be the maximum an investor should pay for the common stock of a firm that has no growth opportunities but pays a dividend of $1.36 per year? the required rate of return is 12.5 percent. group of answer choices $11.47 $9.52 $11.24 $10.88 $10.64

Answers

the maximum an investor should pay for the common stock of the firm is $10.88. The answer is option D) $10.88.

To calculate the maximum an investor should pay for the common stock of a firm that has no growth opportunities but pays a dividend of $1.36 per year, we can use the dividend discount model:

Stock price = Dividend / Required rate of return

Plugging in the given values, we get:Stock price = $1.36 / 0.125 = $10.88Therefore, the maximum an investor should pay for the common stock of the firm is $10.88. The answer is option D) $10.88.The maximum an investor should pay for a stock is equal to the present value of all expected future cash flows from the stock, discounted at the investor's required rate of return. For a stock that has no growth opportunities and pays a constant dividend, the expected future cash flows are equal to the dividend payments.In this case, the firm pays a dividend of $1.36 per year, and the investor's required rate of return is 12.5%

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what is the average fixed cost if the average total cost is $100 and the average variable cost is $75?

Answers

The average fixed cost (AFC) is calculated by subtracting the average variable cost (AVC) from the average total cost (ATC). In this case, the ATC is given as $100, and the AVC is given as $75. Therefore, the AFC can be calculated as:

[tex]AFC = ATC - AVCAFC \\ = $100 - $75AFC \\ = $25[/tex]

So, the average fixed cost in this scenario is $25. This means that for every unit of output produced, the company incurs a fixed cost of $25, regardless of the level of production.

Fixed costs are those expenses that remain constant regardless of the level of production, such as rent, salaries, and insurance. On the other hand, variable costs are expenses that vary with the level of production, such as materials and labor costs.

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