The terms you'd like me to include in the answer are: availability, location, quality, service, and physical representation of the service encounter or service marketing strategy.
Based on your question, the appropriate term to fill in the blank is "service marketing strategy." This means that an organization's service marketing strategy should emphasize availability, location, quality, and service, as well as include a physical representation of the service encounter. A service marketing strategy outlines how a company will promote and deliver its services to customers. It includes decisions about the availability and accessibility of services, the location and layout of service delivery points, the quality of the services provided, and the level of customer service and support.
Emphasizing availability and location means ensuring that services are accessible and convenient for customers to use, whether that means extended hours of operation, online access, or multiple locations. Quality is a critical element of a service marketing strategy as it impacts customer satisfaction and loyalty. In addition, the service marketing strategy should also focus on the customer experience, which includes the physical representation of the service encounter. This could include the physical environment, such as the store layout, signage, or decor, as well as the interactions with staff members.
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A firm with 50 employees replaces its existing group health plan. With regard to ongoing existing claims, the replacing insurer will be:
The replacing insurer is generally not responsible for paying ongoing existing claims when a firm replaces its existing group health plan.
How responsibility for paying ongoing existing claims typically handled when a firm replaces its existing group health plan?In general, when a firm replaces its existing group health plan, the replacing insurer is not responsible for paying ongoing existing claims that were incurred under the previous plan.
The responsibility for paying these claims typically falls on the previous insurer or the employer, depending on the terms of the previous plan and the agreement between the employer and the insurer.
However, it is important to review the terms of both the previous and the new health insurance plans to understand the specifics of the situation.
Some plans may have provisions that address ongoing claims during a transition period or in the event of a change in insurance carriers. It is also possible for the employer to negotiate with the previous insurer or the new insurer to address outstanding claims.
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A hypothetical economy uses a checkable-deposits-only monetary system and has a required reserve ratio of 10%. When the central bank in this economy sells $20 million worth of Treasury bills, this decreases the money supply by:
The central bank selling $20 million worth of Treasury bills decreases the money supply by $200 million.
In a checkable-deposits-only monetary system with a required reserve ratio of 10%, when the central bank sells $20 million worth of Treasury bills, it reduces the money supply by a multiple of the initial sale amount. This is because of the money multiplier effect. The required reserve ratio determines the fraction of deposits that banks must hold as reserves. In this case, with a 10% required reserve ratio, banks can lend out 90% of the deposits they receive.
When the central bank sells $20 million worth of Treasury bills, it reduces the available reserves in the banking system. As a result, banks can lend out less money, leading to a decrease in the money supply. The decrease is calculated as the initial sale amount divided by the required reserve ratio:
$20 million / 0.10 = $200 million.
Therefore, the money supply decreases by $200 million.
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A common financial indicator of how effectively retail space is used to generate revenue can be calculated by determining __________. Group of answer choices sales per square foot return on investment shareholders' equity net sales market share
A common financial indicator of how effectively retail space is used to generate revenue can be calculated by determining "sales per square foot". The correct option is A.
The sales per square foot is a financial metric which measures the amount of revenue a retailer generates for each square foot of retail space.
The sales per square foot financial metric is calculated by dividing a retailer's total sales by the total square footage of its retail space.
It is the common financial indicator. Most of the retailers use sales per square foot as a key performance indicator to measure the effectiveness of their retail space
Therefore, the correct option is A that is sales per square foot.
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Mariana creates a service in QuickBooks Online for services provided by vendors. What entry must she choose first to document purchasing information
Mariana creates a service in QuickBooks Online for inventory services provided by vendors. Statements regarding using a good or service on a purchase form are true in QBO. This statement is True.
The item is an inventory type item and if it is added to a product category. A formal contract document known as a purchase order specifies how much the buyer will pay the supplier for goods or services. A buy order form should include information like the specific products and quantities bought, the terms of payment, and the delivery timetable, among other things. If applicable, special requests from the buyer or additional terms and conditions from the seller may also be added. An order form records one or more business transactions between a buyer and a seller. It can also be called inventory.
Complete question:
Mariana creates a service in QuickBooks Online for services provided by vendors. What entry must she choose first to document purchasing information of inventory approach. True or false.
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Most private insurance companies sell health insurance policies to _____, who in turn offer them as fringe benefits.
Most private insurance companies sell health insurance policies to employers, who in turn offer them as fringe benefits to their employees.
This is because offering health insurance as a fringe benefit is a common way for employers to attract and retain employees. In many cases, the employer will pay a portion of the premiums, with the employee responsible for the remainder.
This allows the employee to access health care coverage at a lower cost than they would likely be able to obtain on their own. Additionally, when employers purchase health insurance policies for their employees, they often have access to a wider range of options than individual consumers.
This can include plans with lower deductibles or more extensive coverage, which can be particularly important for those with chronic health conditions or who require frequent medical care.
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When using a 3-phase supply, the incremental number for determining overcurrent devices is ____ poles.
When using a 3-phase supply, the incremental number for determining overcurrent devices is 3 poles.
This is because in a 3-phase system, there are three current-carrying conductors, or "poles," that need to be protected from overcurrent. Overcurrent protection devices, such as circuit breakers or fuses, are installed on each of these poles to ensure that the current flowing through the system remains within safe limits.
The selection of overcurrent devices for a 3-phase system is based on the amount of current that each pole is expected to carry. The overcurrent device should be rated to trip at a current level that is higher than the normal operating current, but lower than the maximum current that the system can handle without sustaining damage. By selecting the appropriate overcurrent devices for each pole, the system can be protected against short circuits, ground faults, and other types of electrical faults that can cause damage or create safety hazards.
In summary, when using a 3-phase supply, it is important to choose overcurrent devices that are rated for three poles in order to ensure safe and reliable operation of the system.
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Year-to-date, Company O had earned a 3.50 percent return. During the same time period, Company V earned 1.70 percent and Company M earned - 1.20 percent. If you have a portfolio made up of 50 percent Company O, 30 percent Company V, and 20 percent Company M, what is your portfolio return
The returns for each company are not correlated. If there is a strong positive or negative correlation between the returns, it can affect the overall portfolio return.
To calculate the portfolio return, we need to take into account the weight of each company in the portfolio and their respective returns.
First, let's calculate the weighted return for each company:
- Company O: 50% x 3.50% = 1.75%
- Company V: 30% x 1.70% = 0.51%
- Company M: 20% x (-1.20%) = -0.24%
Now, we can add up these weighted returns to find the overall portfolio return:
1.75% + 0.51% - 0.24% = 2.02%
Therefore, the portfolio return is 2.02%.
It's worth noting that this calculation assumes that the returns for each company are not correlated. If there is a strong positive or negative correlation between the returns, it can affect the overall portfolio return. Additionally, this calculation does not take into account any fees or expenses associated with investing in these companies.
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Rather than looking only at the balances reported on the financial statements, it is helpful to look at the changes in the account balances over time. This is called
Rather than looking only at the balances reported on the financial statements, it is helpful to look at the changes in the account balances over time. This is called c. Horizontal analysis.
This type of analysis involves looking at the changes in account balances over time, rather than just the balances reported on financial statements. By doing so, it allows analysts to identify trends, patterns, and potential areas of concern that may not be evident by only looking at current balances.
The Horizontal analysis can be performed on various financial statements including the balance sheet, income statement, and cash flow statement. For example, on a balance sheet, an analyst may compare the current year's account balances to the previous year's to determine if there have been any significant changes in the company's assets, liabilities, and equity. This information can be helpful in identifying potential financial risks or opportunities for growth.
Overall, horizontal analysis is a valuable tool for understanding a company's financial performance over time. By analyzing changes in account balances, analysts can gain a deeper understanding of the company's financial health and make informed decisions about investments, lending, and other financial matters. So, Option C is correct.
The question was Incomplete, Find the full content below :
Rather than looking only at the balances reported on the financial statements, it is helpful to look at the changes in the account balances over time. This is called
a. Common analysis.
b. Vertical analysis.
c. Horizontal analysis.
d. Benchmarking.
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The type of business organization that is owned by two or more individuals sharing the collective resources of those individuals is known as a
A business organization is a commercial entity formed to engage in a particular activity, such as buying and selling goods or providing services. Examples include corporations, partnerships, and sole proprietorships.
The type of business organization that is owned by two or more individuals sharing the collective resources of those individuals is known as a partnership. In a partnership, each individual contributes their skills, expertise, and financial resources towards the success of the business. They share in the profits and losses of the business, and typically have equal say in the decision-making process.
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Ford motor company has a number of models and divisions that each caters to a different target segment with a unique marketing mix. This suggests that Ford uses a(n) _______ targeting strategy.
Ford motor company has a number of models and divisions that each caters to a different target segment with a unique marketing mix. This suggests that Ford uses a differentiated targeting strategy.
A differentiated targeting strategy involves a company targeting multiple market segments and creating unique marketing mixes for each segment. This approach allows businesses to cater to the specific needs and preferences of different consumer groups, which can ultimately result in higher customer satisfaction and loyalty.
In the case of Ford Motor Company, they have various models and divisions that cater to different target segments. Each of these divisions employs a unique marketing mix, which includes product, price, promotion, and place strategies, tailored to the needs and preferences of each segment. For example, Ford's luxury division, Lincoln, targets high-end consumers who are willing to pay a premium for luxury vehicles. In contrast, the Ford brand targets a broader market segment with a diverse range of vehicles, including compact cars, SUVs, and trucks, each appealing to different consumer preferences.
By utilizing a differentiated targeting strategy, Ford is able to effectively address the unique needs and expectations of multiple customer segments, resulting in a strong market presence and loyal customer base.
In summary, Ford Motor Company employs a differentiated targeting strategy by offering a diverse range of vehicle models and divisions, each with a unique marketing mix, to cater to the specific needs and preferences of different market segments.
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A replacement decision can involve several additions to the basic investment decision. What are the additions to be considered
A replacement decision involves replacing old equipment or assets with new ones.
The additions to be considered in a replacement decision include:
Salvage value: The salvage value of the old equipment should be considered as it reduces the cost of the new asset.
Tax effects: The tax effects of selling the old equipment and buying the new one should be considered. The tax effects can include capital gains taxes, depreciation recapture, and tax credits.
Installation costs: The costs of installation of the new equipment should be considered as they add to the cost of the new asset.
Training costs: The costs of training employees to use the new equipment should be considered as it adds to the cost of the new asset.
Financing costs: The costs of financing the new asset should be considered as it affects the overall cost of the new asset.
Maintenance costs: The expected maintenance costs of the new asset should be considered over its useful life.
Operating costs: The expected operating costs of the new asset should be considered over its useful life.
Expected useful life: The expected useful life of the new asset should be considered when making the replacement decision.
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Your business plan for your proposed start-up firm envisions first-year revenues of $360,000, fixed costs of $120,000, and variable costs equal to one-third of revenue.
a. What are expected profits based on these expectations? (Omit the "$" sign in your response.) Expected profit .................................$
b. What is the degree of operating leverage based on the estimate of fixed costs and expected profits? (Round your answer to 2 decimal places.) Degree of operating leverage ...................................
c. If sales are 10% below expectation, what will be the decrease in profits? (Round your answer to 2 decimal places. Omit the "%" sign in your response.) Decrease in profits ..........................%
e. Based on the DOL, what is the largest percentage shortfall in sales relative to original expectations that the firm can sustain before profits turn negative? What are break-even sales at this point? (Round "Shortfall" answer to 2 decimal places. Omit the "$ & %" signs in your response.) Shortfall ......................%
Break-even sales .........................$
Based on the information given, the proposed start-up firm's expected revenue for the first year is $360,000. The fixed costs are $120,000, and the variable costs are one-third of the revenue, which is $120,000. To calculate the total costs, we add the fixed and variable costs, which gives us $240,000.
To calculate the profit, we subtract the total costs from the revenue, which gives us $120,000.
If sales are 10% below expectations, then the revenue will decrease by 10%, which is $36,000. The new revenue will be $324,000. To calculate the new profit, we use the same formula as before: revenue minus total costs. The new total costs will remain the same at $240,000. Therefore, the new profit will be $84,000.
To calculate the decrease in profits, we subtract the new profit from the original profit: $120,000 - $84,000 = $36,000. To calculate the percentage decrease in profits, we divide the decrease by the original profit and multiply by 100: ($36,000 / $120,000) x 100 = 30%.
The break-even sales point is the level of sales where the company's revenue equals its total costs. To calculate this, we divide the total costs by the contribution margin, which is the revenue minus variable costs. The contribution margin in this case is $240,000 - $120,000 = $120,000. Therefore, the break-even sales point is $240,000 / $120,000 = $2.00.
In summary, if sales are 10% below expectations, the decrease in profits will be 30%. The break-even sales point is $2.00.
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To avoid running out of time on a test, you should: Group of answer choices Spend time reviewing the entire test before you start to budget your time. Write quickly, even if it’s not so neat. Stick with a difficult question until you get a right answer so that you don’t have to come back to it. Frequently ask your instructor to tell you how much time is left.
To avoid running out of time on a test, you should budget your time effectively.
Spend a few minutes reviewing the entire test before you start to determine how much time you should allocate for each question or section. Write clearly and legibly to avoid confusion and wasting time. If you encounter a difficult question, don't spend too much time on it; instead, move on to the next question and come back to it later if you have time. You should keep track of your time yourself and avoid asking your instructor how much time is left too frequently.
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Traditionally, union workers have been employed in the manufacturing sector. Recently, this trend has been changing, and successful unionizing of workers has increased among:
Traditionally, union workers have been employed in the manufacturing sector, where collective bargaining agreements have been common.
However, in recent years, the trend of unionization has been shifting, and successful union organizing has increased in other sectors as well. One sector where successful union organizing has increased is the service sector. Workers in industries such as healthcare, hospitality, and retail have formed unions to improve their working conditions, wages, and benefits. For example, the Service Employees International Union (SEIU) has successfully organized healthcare workers, janitors, and security guards in various parts of the country.
Another sector where union organizing has increased is the gig economy. Workers in the gig economy, such as ride-share drivers and delivery workers, have formed unions to address issues related to pay, benefits, and working conditions. For example, the Independent Drivers Guild has successfully organized ride-share drivers in New York City to advocate for better wages and benefits.
Overall, the trend of unionization is not limited to the manufacturing sector. Workers in various sectors are recognizing the benefits of collective bargaining and are forming unions to address workplace issues and improve their economic and social well-being.
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When a company decides that it will take too long to establish a sizable presence in a country by using a greenfield venture, it might instead benefit the firm to enter the country by using a(n) Blank______.
When a company decides that establishing a sizable presence in a foreign country through a greenfield venture might take too long, it might opt to enter the market through alternative means. One of these alternatives is a joint venture.
A joint venture involves two or more businesses pooling resources to achieve a specific goal. In this case, the goal is to enter a new market quickly and cost-effectively. By partnering with a local company, the foreign business can leverage its partner's knowledge of the local market, customer preferences, regulations, and other factors that can impact its success.Joint ventures offer several advantages over greenfield ventures. For starters, joint ventures typically take less time to establish and start generating revenue. This is because the partners already have an existing infrastructure that they can use to start operations quickly. Joint ventures also help reduce risk and cost by sharing the financial burden of setting up operations in a foreign country. This can be especially beneficial in markets with high entry barriers, such as complex regulations or high infrastructure costs.Another advantage of joint ventures is that they offer an opportunity to share risks and rewards. This is because both partners have a vested interest in the success of the venture. As such, they will work together to achieve common goals and share profits and losses accordingly.
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If a car dealership leases cars for four years with guaranteed purchase options, guaranteed residual values, and insured financing agreements, the dealership classifies the lease as a(n):
If a car dealership leases cars for four years with guaranteed purchase options, guaranteed residual values, and insured financing agreements, the dealership classifies the lease as a(n): operating lease.
An operating lease is a type of lease where the lessor (car dealership) retains ownership of the asset (car) and the lessee (customer) has the right to use the asset for a specific period. In this case, the dealership provides several guarantees and insured financing agreements, ensuring a secure and well-structured lease for both parties.
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If in one year the spot exchange turns out to be 0.90$/C$, which of the following hedge performs the best?
A: Money market hedge
B: hedging with two futures contracts
C: covered call at 0.70 strike
D: Hedging with one future contract
To determine which hedge performs the best given the spot exchange rate of 0.90$/C$ in one year, we need to compare the different hedges listed and calculate the resulting gains or losses.
A money market hedge involves borrowing or lending in the foreign currency to offset exchange rate risk. Without additional information on the borrowing or lending rates for this currency, we cannot determine whether this hedge performs the best.
Hedging with two futures contracts involves buying or selling two futures contracts to lock in a future exchange rate. Again, without additional information on the specific futures contracts and their prices, we cannot determine whether this hedge performs the best.
A covered call at a 0.70 strike involves selling a call option at a strike price of 0.70$/C$, which provides some protection against a decline in the exchange rate but limits potential gains if the exchange rate increases. If the exchange rate remains below the strike price, this hedge would perform well, but if the exchange rate increases beyond the strike price, this hedge would underperform.
Hedging with one futures contract involves buying or selling one futures contract to lock in a future exchange rate. Similar to hedging with two futures contracts, without additional information on the specific futures contract and its price, we cannot determine whether this hedge performs the best.
Therefore, based on the information provided, we cannot determine which hedge performs the best given the spot exchange rate of 0.90$/C$ in one year.
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A bond with a $1,000 face value pays a 7% coupon, semi-annually, with a maturity of 12 years. If interest rates are 5%, what is the present value of this bond
The present value of this bond is approximately $1,241.58. The present value of a bond with a $1,000 face value, a 7% coupon paid semi-annually, a maturity of 12 years, and interest rates at 5% can be calculated as follows:
Calculate the semi-annual coupon payment: (7% * $1,000) / 2 = $35. Determine the number of periods: 12 years * 2 (semi-annual payments) = 24 periods. Calculate the semi-annual interest rate: 5% / 2 = 2.5%. Calculate the present value of the coupon payments: $35 * [(1 - (1 + 2.5%)^(-24)) / 2.5%] ≈ $581.46
Calculate the present value of the face value: $1,000 / (1 + 2.5%)^24 ≈ $660.12. Add the present values of coupon payments and face value: $581.46 + $660.12 = $1,241.58
The present value of this bond is approximately $1,241.58.
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What type of liability policy requires the injured party to collect benefits from his/her own insurance as if it were first-party coverage, eliminating the process of determining negligence
The type of liability policy that requires the injured party to collect benefits from their own insurance as if it were first-party coverage is called no-fault insurance.
This type of insurance is designed to eliminate the need for the injured party to determine who is at fault for an accident or injury, thereby simplifying the claims process and reducing the burden on the legal system.
Under a no-fault insurance policy, the injured party is entitled to collect benefits from their own insurance company regardless of who was responsible for the accident or injury. This means that the injured party does not have to go through the process of proving negligence in order to receive compensation for their damages.
No-fault insurance is typically mandatory in some states for certain types of insurance, such as automobile insurance. However, not all states require no-fault insurance and the specific rules and regulations surrounding this type of insurance can vary depending on the jurisdiction.
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If some firms in a perfectly competitive industry are earning positive economic profits, then in the long run, the:
If some firms in a perfectly competitive industry are earning positive economic profits, then in the long run, the industry will experience an increase in the number of firms.
This is because other firms will see the positive economic profits being made by these firms and will be attracted to enter the market, increasing the overall supply of the product. As a result, the market price will start to fall as the increased supply puts downward pressure on prices.
This process will continue until the economic profits of all firms in the industry are zero. At this point, firms will have no incentive to enter or exit the market, and the market will be in a long-run equilibrium. In this equilibrium, firms will earn zero economic profits, but will still be able to cover their explicit costs and make a normal rate of return.
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Tom insures a building for $100,000 with a policy that has an 80% coinsurance clause. The replacement value of the building is $187,500. The building suffers fire loss of $50,000. How much will the insurance company pay Tom for the loss
The insurance company will pay Tom $33,500 for the loss.
The replacement value of Tom's building is $187,500, so to satisfy the coinsurance clause, Tom must insure the building for at least 80% of $187,500, which is $150,000. Since Tom has insured the building for $100,000, which is less than the required amount of $150,000, he has underinsured the building.
Now, suppose that the building suffers a fire loss of $50,000. To determine how much the insurance company will pay Tom for the loss, we need to apply the coinsurance formula. The formula is:
Insurance payout = (Amount of insurance carried / Amount of insurance required) x Loss
In this case, the amount of insurance carried by Tom is $100,000, and the amount of insurance required is $150,000. The loss suffered by Tom is $50,000. Therefore, the insurance payout will be:
Insurance payout = ($100,000 / $150,000) x $50,000
Insurance payout = 0.67 x $50,000
Insurance payout = $33,500
It's important to note that since Tom underinsured the building, he will be responsible for paying the remaining $16,500 out of pocket.
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Valley Spa purchased $8,000 in plumbing components from Tubman Company Valley Spa signed a 90-day, 8% promissory note for $8,000. If the note is dishonored, what is the amount due on the note
If the 90-day, 8% promissory note for $8,000 signed by Valley Spa is dishonored, the amount due on the note will depend on the terms of the note and the applicable laws in the jurisdiction where the transaction took place.
Generally, when a promissory note is dishonored, the holder of the note can demand immediate payment of the full amount of the note, including any accrued interest, or may initiate legal action to recover the debt.
Assuming that the note is governed by the Uniform Commercial Code (UCC), which is a set of laws that govern commercial transactions in the United States, the holder of the note would have the right to demand immediate payment of the full amount due on the note, including any accrued interest at the contracted rate of 8%. The amount due on the note would be calculated as follows:
Principal amount of note: $8,000
Interest accrued at 8% for 90 days: $160
Total amount due on the note: $8,160
Therefore, if the promissory note is dishonored, Valley Spa would be liable to pay Tubman Company the full amount of the note, which includes the principal amount of $8,000 plus interest of $160, for a total of $8,160.
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Assume that the interest rate offered on pounds is 5 percent and the pound is expected to depreciate by 1.5 percent. For the international Fisher effect (IFE) to hold between the United Kingdom and the United States, the U.S. interest rate should be:
The U.S. interest rate should be 6.6% for the international Fisher effect to hold between the United Kingdom and the United States.
The international Fisher effect (IFE) suggests that the difference in interest rates between two countries should be equal to the expected change in their exchange rate. Mathematically, it can be expressed as:(1 + r_domestic) = (1 + r_foreign) × (1 + %Δe)
Where r_domestic and r_foreign are the domestic and foreign interest rates, respectively, and %Δe is the expected change in the exchange rate.
Given that the interest rate offered on pounds is 5% and the pound is expected to depreciate by 1.5%, we can use the IFE equation to solve for the U.S. interest rate as follows:
(1 + r_US) = (1 + 0.05) / (1 - 0.015)
r_US = (1.05 / 0.985) - 1
r_US = 0.066 (or 6.6%)
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How would a technological breakthrough that allowed for faster production of smartphones affect the production possibilities curv e
A technological breakthrough that allows for faster production of smartphones would increase the productivity of the manufacturing process.
This would result in a shift outward of the production possibilities curve, indicating an increase in the maximum amount of smartphones that can be produced given the available resources and technology. With the increased efficiency of production, the economy would be able to produce more smartphones in the same amount of time or produce the same amount of smartphones in less time. This would lead to an increase in the supply of smartphones in the market, resulting in a decrease in the price of smartphones if demand remains constant. This would also free up resources to produce other goods and services, allowing for an increase in the production of those goods and services as well.
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If the MPC in an economy is 0.80, government could close a recessionary expenditure gap of $200 billion by cutting taxes by
If the MPC in an economy is 0.80, government could close a recessionary expenditure gap of $200 billion by cutting taxes by $50 billion.
If the MPC (marginal propensity to consume) in an economy is 0.80, the government could close a recessionary expenditure gap of $200 billion by cutting taxes by the following amount:
1. First, we need to determine the spending multiplier, which is calculated as:
Spending Multiplier = 1 / (1 - MPC)
2. In this case, the MPC is 0.80, so we can calculate the spending multiplier as:
Spending Multiplier = 1 / (1 - 0.80) = 1 / 0.20 = 5
3. Now, we can determine the amount of tax cut needed to close the recessionary expenditure gap. We can use the following formula:
Tax Cut = (Recessionary Expenditure Gap) / (Spending Multiplier * MPC)
4. Plugging in the values from the question:
Tax Cut = ($200 billion) / (5 * 0.80) = $200 billion / 4 = $50 billion
So, the government could close a recessionary expenditure gap by cutting taxes by $50 billion.
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If important decisions are made by middle-level and supervisory-level managers and power is delegated throughout the organization, the organization has ______ authority.
When an organization has decentralized authority, decision-making power is distributed throughout the organization rather than being concentrated at the top.
In this type of structure, middle-level and supervisory-level managers have more autonomy and are empowered to make important decisions related to their specific areas of responsibility. This approach is often seen as a way to increase flexibility, responsiveness, and innovation within an organization, as it allows decision-making to be more localized and efficient.
Decentralized authority can also help to foster a culture of collaboration and empowerment, as employees at all levels are given a greater sense of ownership over their work and are encouraged to contribute to the success of the organization.
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Financial analysts forecast Best Buy Company (BBY) growth for the future to be 13 percent. Their recent dividend was $0.69. What is the value of their stock when the required rate of return is 15.13 percent
To calculate the value of Best Buy Company (BBY) stock, we can use the dividend discount model (DDM) formula:
Stock Value = Dividend / (Required Rate of Return - Dividend Growth Rate)
Given that the dividend was $0.69 and the future growth rate forecast is 13 percent, we can calculate the dividend growth rate as follows:
Dividend Growth Rate = Future Growth Rate / 100 = 13% / 100 = 0.13
Now, we can plug in the values to the DDM formula:
Stock Value = $0.69 / (15.13% - 0.13) = $0.69 / 15% = $4.60
Therefore, the value of Best Buy Company (BBY) stock when the required rate of return is 15.13 percent is $4.60.
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In the simple deposit expansion model, if the Fed extends a $100 discount loan to a bank that previously had no excess reserves, deposits in the banking system can potentially increase by
In the simple deposit expansion model, if the Fed extends a $100 discount loan to a bank that previously had no excess reserves, deposits in the banking system can potentially increase by a multiple of the initial loan amount through the money multiplier effect.
Assuming a reserve requirement of 10%, the bank can use the $100 to create $1,000 in new deposits by lending out $90 and keeping $10 as required reserves. These new deposits can then be used by other banks to create additional loans and deposits, further increasing the money supply. Therefore, the potential increase in deposits in the banking system is $1,000.
In the simple deposit expansion model, if the Fed extends a $100 discount loan to a bank that previously had no excess reserves, deposits in the banking system can potentially increase by the following amount:
1. Determine the required reserve ratio (let's assume it is 10%).
2. Calculate the excess reserves by subtracting required reserves from the total reserves (which includes the $100 discount loan). In this case, excess reserves = $100 - ($100 x 10%) = $100 - $10 = $90.
3. Calculate the potential deposit expansion using the money multiplier formula: Money Multiplier = 1 / Required Reserve Ratio. In this example, the money multiplier = 1 / 0.1 = 10.
4. Multiply the excess reserves by the money multiplier to find the potential increase in deposits: $90 x 10 = $900.
So, in the simple deposit expansion model, if the Fed extends a $100 discount loan to a bank that previously had no excess reserves, deposits in the banking system can potentially increase by $900.
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What is the present value of an investment that pays $400 at the end of three years and $700 at the end of 10 years if the discount rate is 5%
The present value of this investment that pays $400 at the end of three years and $700 at the end of 10 years if the discount rate is 5% is $790.98.
The present value of an investment is the current value of future cash flows discounted at a given interest rate. To calculate the present value of this investment, we need to use the present value formula:
PV = CF / (1 + r)^n
Where:
PV = Present value
CF = Cash flow
r = Discount rate
n = Number of periods
Using this formula, we can calculate the present value of each cash flow and then sum them up to get the total present value.
For the first cash flow of $400 at the end of three years, the present value is:
PV1 = 400 / (1 + 0.05)^3
PV1 = $337.09
For the second cash flow of $700 at the end of 10 years, the present value is:
PV2 = 700 / (1 + 0.05)^10
PV2 = $452.89
The total present value of the investment is the sum of these two present values:
PV = PV1 + PV2
PV = $337.09 + $452.89
PV = $790.98
Therefore, the present value of this investment that pays $400 at the end of three years and $700 at the end of 10 years if the discount rate is 5% is $790.98.
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The market overproduces common-resource goods because private decision-makers consider ________ costs but society experiences ________ costs. only internal; only external only internal; internal and external only external; only internal only external; internal and external internal and external; only external
The market overproduces common-resource goods because private decision-makers consider only internal costs, but society experiences internal and external costs.
To explain this further, private decision-makers are individuals or firms that make decisions based on their own interests and benefits. When making decisions, they typically consider only internal costs, which are the expenses directly related to the production and distribution of goods and services.
These costs include materials, labor, and other resources required for the production process. However, society experiences both internal and external costs.
External costs are expenses that are not directly linked to the production process but are incurred by society due to the consumption or production of a good or service. These costs can include environmental pollution, traffic congestion, and other negative impacts on the public.
In the case of common-resource goods, such as clean air or public parks, the market tends to overproduce these goods because private decision-makers do not take into account the external costs that their actions may impose on society.
As a result, the overall production level of common-resource goods becomes higher than what would be socially optimal, leading to negative consequences for society as a whole.
This is why it's essential for governments and other institutions to intervene in such situations and implement policies that address these externalities to achieve a more balanced and sustainable outcome for all stakeholders involved.
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The GM internal memo estimated the cost of the exploding gas tanks to GM as $200,000 per car (c). This estimate was provided in the memo, which means that the analysis was done to determine the cost. It's important to note that this estimate refers to the cost to GM, not the value of human life. The memo did not suggest that GM had learned from the Ford Pinto case or mention the specific cost of $2.40 per car.
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