Scrapper Elevator Company has 20 sales representatives who sell its product throughout the United States and Canada. The number of units sold last month by each representative is listed below. Assume these sales figures to be the population values. 2 3 2 3 3 4 2 4 3 2 2 7 3 4 5 3 3 3 3 5

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Answer 1

The mean ls the average of a distribution obtained by taking the ratio of the sum and the frequency. The mean and standard deviation values of the distribution are 3.30 and 1.26 respectively.

We know,

Mean, μ = ΣX/ nStandard deviation = √variance

To calculate mean and variance :-

X = 2,3,2,3,3,4,2,4,3,2,2,7,3,4,5,3,3,3,3,5

ΣX = sum of X = 66n = sample size = 20

As, Mean = sum of x / sample size

66 / 20 = 3.3

Mean = 3.3

The variance = [Σ(X - μ)²] ÷ (n - 1)

Variance = [Σ(X - μ)²] ÷ (n - 1)

= (30.2) / 19 = 1.589

The standard deviation = √variance

= √1.589

= 1.26

Standard deviation =  1.26

Therefore,

The mean and standard deviation values are 3.3 and 1.26.

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Correct Question - Scrapper Elevator Company has 20 sales representatives who sell its product throughout the United States and Canada. The number of units sold last month by each representative is listed below. Assume these sales figures to be the population values. 2,3,2,3,3,4,2,4,3,2,2,7,3,4,5,3,3,3,3,51. Compute the mean of the population.2. Compute the standard deviation.3. what would be the mean of the sample means?4. what would be the standard deviation of the sample means?


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points eBook Hint Print References Check my work Check My Work button is now enabledItem 4 Item 4 3 points Exercise 2-10 Preparing a trial balance LO P2 The transactions of Spade Company appear below. Kacy Spade, owner, invested $100,750 cash in the company in exchange for common stock. The company purchased office supplies for $1,250 cash. The company purchased $10,050 of office equipment on credit. The company received $15,500 cash as fees for services provided to a customer. The company paid $10,050 cash to settle the payable for the office equipment purchased in transaction c. The company billed a customer $2,700 as fees for services provided. The company paid $1,225 cash for the monthly rent. The company collected $1,125 cash as partial payment for the account receivable created in transaction f. The company paid $10,000 cash in dividends to the owner (sole shareholder). Prepare the Trial Balance.

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Total debits equal the total credits, indicating that the accounting equation is in balance. Therefore, this trial balance is correct.

Trial balance

To prepare a trial balance, we need to list all the accounts with their respective balances. Here are the accounts and their balances for Spade Company:

Cash: $103,100 ($100,750 + $1,250 + $15,500 - $10,050 - $1,225 - $1,125)Accounts Receivable: $1,575 ($2,700 - $1,125)Office Supplies: $1,250Office Equipment: $10,050Accounts Payable: $0 ($10,050 paid in transaction e)Owner's Equity: $90,750 ($100,750 - $10,000)

Total Debits: $116,725

Total Credits: $116,725

The total debits equal the total credits, indicating that the accounting equation is in balance. Therefore, this trial balance is correct.

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The Fed's two main monetary policy targets are ____ the money supply and the inflation rate the money supply and the interest rate. the interest rate and real GDP. the inflation rate and real GDP

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The Fed's two main monetary policy targets are the money supply and the interest rate.

The Federal Reserve (Fed) is responsible for implementing monetary policy in the United States. Its primary objectives are to promote stable prices and maximum employment, and it achieves these goals by targeting two main factors: the money supply and the interest rate. The money supply refers to the total amount of currency and other liquid assets in the economy, while the interest rate represents the cost of borrowing money.

The Fed can influence the money supply by conducting open market operations, changing reserve requirements for banks, and adjusting the discount rate. These actions can either increase or decrease the amount of money circulating in the economy, which in turn can impact economic growth, inflation, and employment levels.

Interest rates play a significant role in monetary policy, as they affect consumer spending, business investment, and overall economic growth. The Fed primarily controls interest rates through the federal funds rate, which is the rate at which banks lend to each other on an overnight basis. By influencing this rate, the Fed can encourage or discourage borrowing, spending, and investing, helping to manage inflation and stimulate economic growth.

In summary, the Fed's two main monetary policy targets, the money supply and the interest rate, play a crucial role in maintaining economic stability and promoting growth in the United States.

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the risks that may affect the revenue and cash collection processes include all of the following, except:

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The risks that may affect the revenue and cash collection processes include:

Credit risk: The risk of customers defaulting on their payments or being unable to fulfill their financial obligations.

Fraud risk: The risk of fraudulent activities, such as counterfeit payments, identity theft, or billing scams.

Operational risk: The risk of errors, inefficiencies, or disruptions in the revenue and cash collection processes. Operational risk such as system failures or process breakdowns.

Compliance risk: The risk of non-compliance with regulatory requirements or industry standards, which may result in penalties or legal consequences.

Economic risk: The risk of economic downturns, market fluctuations, or changes in customer purchasing power that can impact revenue generation and cash collection.

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the risks that may affect the revenue and cash collection processes include all of the following, except _______________

lynnette agrees to buy harry's farm for $200,000 and puts $20,000 down. then lynnette learns she is allergic to hay and repudiates the contract. if harry can sell the farm in a good faith transaction for $190,000 a month later, he may:

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If Lynnette repudiates the contract due to her allergy to hay, it means she is backing out of the agreement and not fulfilling her part of the deal. This breach of contract gives Harry the right to keep Lynnette's $20,000 deposit and sell the farm to someone else.

If Harry sells the farm in a good faith transaction for $190,000 a month later, he may keep the $20,000 deposit from Lynnette and recover the remaining $10,000 from her as damages. This is because Lynnette's breach of contract caused Harry to suffer losses. However, if Harry sells the farm for less than $190,000, he may only recover the actual damages suffered as a result of Lynnette's breach of contract.

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the _____ ratio refers to the ability of the organization to meet its current debt obligation.

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The ratio that refers to an organization's ability to meet its current debt obligation is known as the current ratio.

The current ratio is calculated by dividing the total current assets by the total current liabilities.

If the ratio is less than 1, it indicates that the company may have difficulty in meeting its current debt obligation. On the other hand, if the ratio is greater than 1, it means that the organization has more current assets than current liabilities and is in a better position to pay its debt.

The current ratio is particularly important for companies that have short-term liabilities, such as accounts payable, and need to maintain a certain level of cash to ensure their continued operations. Therefore, it is important for organizations to have a strong current ratio to maintain their financial stability and reputation.

Overall, the current ratio is a useful metric that helps stakeholders assess the short-term liquidity of a company. However, it is important to note that a high current ratio may also indicate that the organization is holding too much inventory or cash, which can affect its long-term profitability.

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suppose there is an increase in the saving rate. this increase in the saving rate must cause an increase in consumption per capita in the long run when. True or false

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The given statement "Suppose there is an increase in the saving rate. This increase in the saving rate must cause an increase in consumption per capita in the long run" is true because an increase in the saving rate can cause an increase in consumption per capita in the long run when certain conditions are met.

When the saving rate increases, it means that people are saving a larger portion of their income instead of spending it on consumption. This leads to more funds being available for investments, which can boost economic growth, productivity, and income in the long run. As the economy grows, and income levels rise, consumption per capita can increase even with a higher saving rate.

However, it is important to note that this positive relationship between saving rate and consumption per capita depends on factors such as effective investment opportunities, stable economic conditions, and a well-functioning financial system. If these conditions are not met, the increase in the saving rate may not necessarily lead to a rise in consumption per capita in the long run.

In summary, an increase in the saving rate can cause an increase in consumption per capita in the long run when there are effective investment opportunities, stable economic conditions, and a well-functioning financial system. Under these circumstances, higher savings can promote economic growth and lead to higher consumption per capita over time.

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It is a poor investment to have a certain amount of money set aside for emergencies. T F

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The statement It is a poor investment to have a certain amount of money set aside for emergencies is false because it might make sense to have a separate account where you can save and preserve these cash if you have an account with a bank or credit union, which is typically thought of as one of the safest locations to put your money.

An emergency fund is a sum of money that can be immediately accessed in the event of an emergency. A line of credit is a lengthy loan that is authorised prior to the actual requirement for the funds. When choosing an investment, safety and risk have no relationship.  The two main goals of an emergency fund are to offer a sense of financial security and to lay money aside for unforeseen financial emergencies.

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Custom Computers, Inc. assembles custom home computer systems. The heat sinks needed are bought for $12 each and are ordered in quantities of 1,410 units. Annual demand is 5,640 heat sinks, the annual inventory holding cost rate is $4 per unit, and the cost to place an order is estimated to be $49.
Calculate the following:
(a) Average inventory level 705 units
(b) The number of orders placed per year 4 orders
(c) The total annual inventory holding cost $2,820.00
(d) The total annual ordering cost $196
(e) The total annual cost $3,016.00

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optimizing their order quantity, they are able to reduce the number of orders and save on ordering costs.

What is the total annual ordering cost for Custom Computers, Inc. when they order 1,410 heat sinks at a time and have an estimated cost of $49 to place an order?

The total annual ordering cost for Custom Computers, Inc. can be calculated by dividing the annual demand (5,640) by the quantity ordered per order (1,410) to find the number of orders placed per year (4). Then, the annual ordering cost is simply the product of the number of orders and the cost to place an order ($49), which comes out to $196. This means that Custom Computers, Inc. spends $196 annually just to order the necessary heat sinks. By optimizing their order quantity, they are able to reduce the number of orders and save on ordering costs.

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TRUE OR FALSE life companies are more heavily invested in corporate bonds and less in municipal bonds than p&c companies because some of their (life) interest income is not taxed.

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life insurance companies are more heavily invested in corporate bonds and less in municipal bonds compared to property and casualty (P&C) companies, primarily because some of their interest income is not taxed so that the above statement is true.

Life insurance companies typically invest more in corporate bonds due to their long-term liabilities and the need for predictable income streams to meet future obligations. Corporate bonds offer higher yields compared to municipal bonds, which makes them more attractive for life insurance companies seeking stable and higher returns. On the other hand, P&C companies have shorter-term liabilities, which can be better matched with the lower yields and shorter durations of municipal bonds.

Additionally, life insurance companies benefit from favorable tax treatment on some of their interest income, reducing the need for them to seek tax-exempt municipal bonds. This further explains their preference for corporate bonds over municipal bonds. In contrast, P&C companies do not enjoy the same tax benefits, making municipal bonds more attractive to them for their tax-exempt status.

In summary, the tax benefits and the nature of the liabilities of life insurance companies drive their investment preference towards corporate bonds and away from municipal bonds, in comparison to P&C companies.

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Village Inc. has average gross receipts of $100 million annually. This year, Village incurred $25 million of net business interest and has adjusted taxable income of $42 million. Village's current deduction for business interest is: Multiple Choice $7.5 million $25 million $12.6 million $0

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To determine Village Inc.'s current deduction for business interest, we need to consider the business interest expense limitation under the Tax Cuts and Jobs Act (TCJA) of 2017.

For corporations with average annual gross receipts exceeding $25 million, the business interest expense deduction is generally limited to the sum of:

1. Business interest income

2. 30% of the adjusted taxable income (ATI) of the corporation

3. The taxpayer's floor plan financing interest expense

However, the CARES Act, passed in 2020, temporarily increased the limit from 30% to 50% of ATI for tax years 2019 and 2020. This temporary provision was extended to tax year 2021 as well.

To calculate Village Inc.'s current deduction for business interest, we need more information about its business interest income and floor plan financing interest expense. Since those details are not provided, we cannot provide an exact deduction amount.

Based on the information given, we can only conclude that the deduction is not zero ($0) because the adjusted taxable income of $42 million is greater than zero. Therefore, the correct answer among the multiple-choice options provided would be:$0

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calculate the cross product assuming that ×=⟨7, 6, 0⟩= v x (u v)=⟨,,⟩

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The cross product results in a new vector that is perpendicular to both original vectors, and its magnitude is related to the area of the parallelogram formed by the two original vectors.

To calculate the cross product of vectors v and u, given that v = ⟨7, 6, 0⟩ and their cross product (v x u) is ⟨,,⟩, we need to find the components of the vector u.

The cross product formula for two vectors is:
(v x u) = ⟨(v_y × u_z - v_z × u_y), (v_z × u_x - v_x × u_z), (v_x × u_y - v_y × u_x)⟩

As we only have the components for vector v (v = ⟨7, 6, 0⟩), we cannot compute the cross product without knowing the components of vector u. Once you provide the components of vector u, I can help you calculate the cross product.

Remember, the cross product results in a new vector that is perpendicular to both original vectors, and its magnitude is related to the area of the parallelogram formed by the two original vectors.

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memorized presentations are the second most common presentation in business.
T/F

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The statement "Memorized presentations are the second most common presentation in business" is False.

Memorized presentations, where the speaker relies on memorizing the content and reciting it without referring to notes or visual aids, are not commonly considered the second most common type of presentation in business. In fact, they are generally less common compared to other presentation styles.

In business settings, presentations often involve the use of visual aids, such as slides, charts, and graphs, to support the speaker's message and enhance audience engagement. These visual aids help convey information effectively and provide a structure for the presentation. Additionally, many presenters rely on speaking notes or outlines to ensure they cover all key points and maintain a cohesive flow throughout their presentation.

Other common types of presentations in business include impromptu presentations, where the speaker speaks spontaneously without prior preparation, and extemporaneous presentations, where the speaker combines prepared content with improvisation to adapt to the audience and address questions. These presentation styles offer more flexibility and adaptability in business contexts.

Therefore, the statement that memorized presentations are the second most common type of presentation in business is not accurate.

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a portfolio consists of 175 shares of stock c that sells for $37 and 140 shares of stock d that sells for $43. what is the portfolio weight of stock c?

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The portfolio weight of stock C is 51.86%. portfolio weight of stock C is the proportion of the total value of the portfolio that is invested in stock C.

To calculate the portfolio weight of stock C, we need to find the total value of the portfolio and the value of the portion invested in stock C.

The total value of the portfolio can be calculated by multiplying the number of shares of stock C by the price per share and adding it to the product of the number of shares of stock D and the price per share of stock D.

Total value of portfolio = (175 shares of stock C * $37 per share) + (140 shares of stock D * $43 per share)

= $6,475 + $6,020

= $12,495

To find the value of the portion of the portfolio invested in stock C, we need to multiply the number of shares of stock C by the price per share.

Value of portion invested in stock C = 175 shares of stock C * $37 per share

= $6,475

Therefore, the portfolio weight of stock C can be calculated as follows:

Portfolio weight of stock C = Value of portion invested in stock C / Total value of portfolio

= $6,475 / $12,495

= 0.5186 or 51.86%

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astra is reviewing the proposed marketing plan to support its new line of athletic shoes. the promotion initiatives include: (1) an addition of 3 new people to the sales force with a cost of $15,000 in annual salary per person, (2) magazine advertising 10 times during a year at $10,000 per placement, (3) 12% salesforce commission on every pair of athletic shoes sold, (4) two trade shows ($5,000 per show), and (5) 80 hours for website modifications at $75 per hour. which one out of these expenditures is a variable cost?

Answers

The correct option is C, Out of the expenditures listed, the variable cost is the 12% salesforce commission on every pair of athletic shoes sold.

Expenditures refer to the money spent or expenses incurred by individuals, organizations, or governments in order to acquire goods, services, or assets. Expenditures play a vital role in various aspects of the economy and personal finance. On an individual level, expenditures encompass everyday expenses such as housing, food, transportation, healthcare, education, entertainment, and more.

These expenditures reflect the choices individuals make regarding their consumption patterns and lifestyle. For businesses, expenditures cover a wide range of costs, including employee salaries, rent, utilities, raw materials, equipment, marketing, research and development, and other operational expenses. Managing expenditures efficiently is crucial for businesses to remain competitive and achieve profitability.

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the concept that stocks attract certain investors due to a firm's dividend policy and the resulting tax impact is called blank______.

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The concept that stocks attract certain investors due to a firm's dividend policy and the resulting tax impact is called "dividend clientele theory."

According to this theory, investors with varying tax considerations and income preferences are drawn to stocks based on the firm's dividend practices. For instance, investors in higher tax brackets may prefer stocks with lower dividend payouts to reduce their tax burden, while investors in lower tax brackets may favor stocks with higher dividends for income generation.

The dividend clientele theory highlights how a firm's dividend policy can shape its investor base and influence stock appeal to different types of investors based on their tax circumstances and desired income streams.

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How are stable cash flows likely to influence a firm's capital structure? Select an answer: by decreasing project capital utilization by increasing equity cost of capital by reducing equity cost of capital stability of cash flows is not tied to WACC

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Stable cash flows are likely to have a significant impact on a firm's capital structure as they provide a level of predictability and certainty in the company's cash flows. As a result, the firm may be able to obtain financing at a lower cost, which can impact its overall capital structure.

One way in which stable cash flows can influence a firm's capital structure is by reducing the cost of equity capital. When a company has a steady stream of cash flows, investors may view the company as less risky, which can result in a lower cost of equity financing. As a result, the company may be able to issue more equity and reduce its reliance on debt financing, thereby impacting its overall capital structure.
Additionally, stable cash flows may enable a firm to reduce its overall cost of capital, which can also impact its capital structure. With a lower cost of capital, the firm may be able to take on additional projects or investments, which can further increase its cash flows and stability. This can result in a positive feedback loop where the firm's stable cash flows enable it to obtain financing at a lower cost, which further strengthens its capital structure.
In summary, stable cash flows can have a significant impact on a firm's capital structure by reducing the cost of equity financing, enabling the firm to issue more equity, and reducing the overall cost of capital. As a result, companies with stable cash flows may be better positioned to obtain financing and pursue growth opportunities.

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The key components of Web 3.0 technology include artificial intelligence, mobile web, and
Multiple Choice
net neutrality.
high-speed backbone network services.
social networking.
immersive Internet.

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The immersive internet introduces technologies like virtual reality (VR) and augmented reality (AR), providing immersive and interactive experiences to users. Hence option D is correct.

Web 3.0, the next evolution of the internet, encompasses various key components that drive its technological advancements. Artificial intelligence (AI) plays a crucial role in Web 3.0 by enabling intelligent automation, personalized experiences, and advanced data analytics.

The mobile web is another essential component, allowing seamless access to internet services through smartphones and other mobile devices. Net neutrality, ensuring equal to online content, is a fundamental principle upheld in Web 3.0.

High-speed backbone network services form the infrastructure backbone, enabling fast and reliable connectivity. Social networking continues to thrive in Web 3.0, facilitating communication, collaboration, and community-building.

Therefore, the immersive internet introduces technologies like virtual reality (VR) and augmented reality (AR), providing immersive and interactive experiences to users. Hence option D is correct.

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Using the same amount of time and resources, Jack can assemble either 10 bikes or 5 computers, whereas Sam can assemble either 5 bikes or 5 computers. Based on the data, which of the following statements is correct?

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Based on the given data, Jack is more efficient at assembling bikes compared to Sam, while Sam is equally efficient at assembling both bikes and computers.

The given data states that Jack can assemble either 10 bikes or 5 computers using the same amount of time and resources. Meanwhile, Sam can assemble either 5 bikes or 5 computers using the same amount of time and resources.

From this information, we can conclude that Jack is more efficient at assembling bikes than Sam. Jack can assemble 10 bikes, whereas Sam can only assemble 5 bikes within the same time frame. Therefore, Jack demonstrates a higher productivity and efficiency in assembling bikes compared to Sam.

On the other hand, Sam is equally efficient at assembling both bikes and computers. Sam can assemble 5 bikes and 5 computers, indicating that the time and resources required for assembling each item are the same for Sam. This suggests that Sam possesses similar productivity and efficiency levels in assembling both bikes and computers.

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Manufacturing and medical companies have a tendency to try to create which of the following specific culture types?
a. Creativity b. Service c. Safety d. Diversity e. Communal

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The correct option is a. Creativity.

Manufacturing and medical companies often strive to create a culture of creativity. This culture emphasizes innovation, problem-solving, and continuous improvement. By fostering a creative culture, these companies encourage employees to think outside the box, generate new ideas, and find novel solutions to challenges.

Creativity is highly valued in these industries as it can lead to advancements in technology, processes, and products, ultimately contributing to their competitive edge and growth. Companies in these sectors understand the importance of staying ahead of the curve and adapting to changes in the market, and a culture of creativity enables them to do so effectively.

In a creative culture, employees are encouraged to explore new possibilities, take calculated risks, and challenge conventional thinking. Such companies often provide resources and platforms for brainstorming, collaboration, and experimentation. They may also foster an environment that supports open communication, feedback, and recognition of innovative ideas.

By prioritizing creativity, manufacturing and medical companies aim to stay at the forefront of their respective fields and drive innovation and progress in their operations and offerings.

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mac inc. has a dividend per share of $8, a book value per share of $50, and a market price per share of $65. mac's dividend yield ratio is ______.

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Mac inc. has a dividend per share of $8, a book value per share of $50, and a market price per share of $65. Mac Inc.'s dividend yield ratio is approximately 12.31%.

In the case of Mac Inc., the dividend per share is given as $8, which represents the amount of dividend paid out for each share of stock owned by shareholders. The market price per share is stated as $65, which is the current trading price of one share of Mac Inc.'s stock in the market.

To calculate the dividend yield ratio, we divide the dividend per share by the market price per share and then multiply the result by 100 to express it as a percentage.

In this case:

Dividend Yield Ratio = ($8 / $65) * 100 ≈ 12.31%

This means that Mac Inc.'s dividend yield ratio is approximately 12.31%. It implies that for each share of Mac Inc. stock, investors can expect to receive dividends that represent around 12.31% of the market price of the share. It serves as an indicator of the dividend income potential relative to the investment in the company's stock.

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Which of the following best describes how contractionary monetary policy affects the aggregate demand curve in the aggregate demand–aggregate supply model?
a. Contractionary monetary policy directly pulls money out of the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
b. Contractionary monetary policy directly puts money into the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
c. Contractionary monetary policy directly puts money into the loanable funds market. This raises the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
d. Contractionary monetary policy directly puts money into the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the left.
e. Contractionary monetary policy directly pulls money out of the loanable funds market. This raises the interest rate, which provides a lesser incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the left.

Answers

Contractionary monetary policy, in the context of the aggregate demand–aggregate supply model, affects the aggregate demand curve by reducing the availability of money in the loanable funds market. This leads to an increase in interest rates, which in turn decreases the incentive for firms to invest. Since investment is a component of aggregate demand, this contractionary policy shifts the aggregate demand curve to the left.

How does contractionary monetary policy impact the loanable funds market and interest rates in the aggregate demand–aggregate supply model?

In the aggregate demand–aggregate supply model, contractionary monetary policy has a direct impact on the loanable funds market. By withdrawing money from the market, the policy reduces the supply of available funds, leading to an increase in interest rates. This higher cost of borrowing diminishes the incentive for firms to invest in capital projects, resulting in a decrease in investment. As investment is a crucial component of aggregate demand, this contractionary policy causes a leftward shift in the aggregate demand curve.

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The difference b/t rentable square footage and usable square footage is known as a. equity b. gross square footage c. load d. net square footage

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D. Net square footage The difference between rentable square footage and usable square footage is known as net square footage.

The difference between rentable square footage and usable square footage is known as net square footage.

Rentable square footage refers to the total area within a building that can be rented to tenants, including common areas such as hallways, restrooms, and lobbies. It is the total space for which the tenant pays rent.

Usable square footage, on the other hand, refers to the actual space that a tenant can occupy and use exclusively. It excludes any common areas and includes only the area that the tenant can utilize for their specific purposes.

The net square footage is the difference between the rentable square footage and the usable square footage. It represents the actual space available for the tenant's exclusive use, after accounting for common areas and other shared spaces.

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physical controls to safeguard assets do not include a. cashier department supervisors. b. vaults. c. employee identification badges. d. cash registers.

Answers

Physical controls to safeguard assets do not include cashier department supervisors, cash registers, or employee identification badges. Option A,C,D

Physical controls are an essential component of any organization's security system, designed to protect its assets from theft or damage.

These controls can include a wide range of measures, from locks on doors and windows to security cameras and alarms. However, physical controls to safeguard assets do not include certain elements, including cashier department supervisors, cash registers, and employee identification badges.

Cashier department supervisors are responsible for overseeing cash-handling procedures in a retail or service environment. While they play an important role in maintaining accountability for cash transactions, they are not considered physical controls themselves.

Instead, they are part of the organization's overall management structure, responsible for ensuring that cash-handling policies and procedures are being followed.

Vaults are an important physical control used to safeguard assets such as cash, jewelry, and other valuables. These secure containers provide protection against theft, fire, and other risks.

However, they are not the only physical control that an organization can use to protect its assets. Other measures, such as security cameras, motion detectors, and alarm systems, can also be effective in deterring theft and alerting authorities in the event of a break-in.

Employee identification badges are used to identify employees and grant access to restricted areas within an organization.

While they can help to control access to sensitive areas, they are not considered physical controls in and of themselves.

Instead, they are part of a larger access control system that includes physical barriers, such as locked doors and security gates, as well as electronic controls, such as keycard readers and biometric scanners.

Instead, these controls may include measures such as vaults, security cameras, motion detectors, and alarm systems. By implementing a range of physical controls, organizations can better protect their assets from theft, damage, and other risks. So Option A,C ,D. is correct

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The correct answer is (a) cashier department supervisors. Physical controls refer to the measures implemented to safeguard a company's assets physically.

They are designed to prevent unauthorized access to assets and reduce the risk of theft, damage, or loss. Cashier department supervisors are part of the company's internal control structure and are responsible for managing cash flow, tracking sales, and ensuring the accuracy of transactions. However, they are not considered a physical control since they are not a physical barrier or device used to protect assets. Examples of physical controls include vaults, safes, locked doors, security cameras, employee identification badges, cash registers, and alarm systems.

By implementing physical controls, a company can deter potential theft and protect its assets from unauthorized access or misuse.

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a real estate developer has parceled land between a river and river road, as shown below. the land has been divided by segments perpendicular to the road. what is the river frontage for each of the three lots?

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The river frontage for each of the three lots will vary depending on the specific dimensions of the parcels and the number of segments dividing the land perpendicular to the road.

To determine the river frontage for each of the three lots, we need specific information about the dimensions and segment placements on the land. Without these details, it is not possible to provide an exact answer.

However, in general, the river frontage for each lot would be determined by the length of the segment that borders the river. If the land has been divided into three equal-sized lots, each lot would likely have an equal share of the river frontage.

For example, if the total river frontage is 300 feet and the land has been divided into three equal segments, each lot would have a river frontage of approximately 100 feet.

The main words in this explanation are "river frontage," "parceled land," and "segments perpendicular to the road." The river frontage of each lot is determined by the length of the segment that borders the river, and the division of land into segments perpendicular to the road allows for equal or varying distribution of the river frontage among the lots, depending on their dimensions and placement.

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You have deposited $19,668 in a special account that has a guaranteed rate of return. If you withdraw $4,000 at the end of each year for 6 years, you will completely exhaust the balance in the account. The guaranteed rate of return is closest to: (Ignore income taxes.) Click here to view Exhibit 12B-1 and Exhibit 12B-2, to determine the appropriate discount factor(s) using the tables provided. Multiple Choice A) 6% B) 7% C) 5% D) 8%

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In banking and accounting, the balance is the amount of money owed on an account.

The balance is the sum owing on an account in banking and accounting. The term "balance" in bookkeeping refers to the difference between the total of debit entries and the total of credit entries made into an account over the course of a certain financial period. The account shows a debit balance when total debits exceed total credits.

In today's fast-paced world, maintaining a balanced existence is more crucial than ever for your personal health and wellbeing.

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What are the assets does your assigned establishment have that the other's don't have?

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In accounting, the terms current assets, fixed assets, tangible assets, intangible assets, operational assets, and non-operating assets often refer to six different groups. Display your company's profitability and financial standing. assemble precise profit and loss statements.

Boost customer loyalty and supportive views towards your company. guaranteeing stockholders and luring investors. You might respond something like this if someone asks you to describe why you would be a useful asset: Unlike most people in comparable roles, I thrive on going above and beyond. I'm sure I could add a lot of distinctive traits and potential for growth to your business.

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Ben's tax information is as follows:
AGI for 2020 = $101,000
Withholding for 2020 = $5,600
Total tax for 2020 = $10,400
Total tax for 2019 = $11,750
How much per quarter must Ben pay in estimated taxes to avoid a penalty?

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Ben must pay estimated taxes in quarterly installments to avoid a penalty. The specific amount per quarter depends on various factors, including his total tax liability for the previous year and his current year's income.

To avoid an underpayment penalty, taxpayers are generally required to pay at least 90% of their current year's tax liability or 100% of their previous year's tax liability (whichever is smaller) in estimated tax payments throughout the year.

In Ben's case, his total tax liability for 2020 was $10,400. If he chooses to base his estimated tax payments on his previous year's tax liability, he would need to pay at least 100% of the $11,750 total tax from 2019 to avoid a penalty.

To determine the quarterly amount, Ben can divide the required total tax payment by four, as estimated tax payments are typically made in equal installments each quarter. However, it's important to note that estimated tax calculations can be more complex and may involve considering other factors, such as deductions, credits, and changes in income.

Based on the information provided, Ben would need to pay at least $2,937.50 per quarter ($11,750 divided by four) to meet the minimum required payment and avoid an underpayment penalty. It is advisable for Ben to consult with a tax professional or use IRS Form 1040-ES to calculate his estimated tax payments accurately.

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The gains from trade creation is likely to be larger for a country if:
A. its import demand curve is relatively elastic.
B. it mainly imports primary products.
C. the country’s government sufficiently subsidizes the production of its exportable goods. D. the supply of the imported good by the foreigners is relatively inelastic.

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The gains from trade creation are likely to be larger for a country if its import demand curve is relatively elastic. This means that the country is more responsive to changes in price, and therefore more likely to increase its demand for the imported good when prices decrease due to trade.

This creates a larger market for the foreign producer and can lead to increased trade and gains from specialization. Additionally, if the supply of the imported good by foreigners is relatively inelastic, the gains from trade creation may be limited as the foreign producer has less incentive to decrease prices in order to increase demand.
The gains from trade creation are likely to be larger for a country if:
A. its import demand curve is relatively elastic.
When a country's import demand curve is relatively elastic, it means that the quantity demanded responds significantly to changes in price. As a result, when there are lower prices due to trade, the country will import more goods, leading to larger gains from trade creation.

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what is the one type of résumé that all job seekers should have in today's market? group of answer choices a print-based traditional résumé an infographic résumé a video résumé a plain-text résumé

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A print-based traditional résumé.In today's job market, all job seekers should have a print-based traditional résumé. Despite the rise of digital formats and alternative résumé styles.

A traditional résumé in a printable format remains a universally accepted and expected document in the hiring process. It provides a comprehensive overview of an individual's qualifications, skills, and work experience in a professional and structured manner.

While other résumé formats like infographic, video, or plain-text résumés can be valuable additions, a print-based traditional résumé ensures compatibility and accessibility for employers across different industries and preferences.

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profit sharing refers to any procedure by which an employer pays employees: true or false

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True, profit sharing refers to any procedure by which an employer pays employees.

Profit sharing is a compensation arrangement where an employer distributes a portion of the company's profits to its employees. It is a form of variable pay that links employee compensation to the financial performance of the organization. Under a profit-sharing plan, employees receive a share of the company's profits in addition to their regular wages or salaries.

The purpose of profit sharing is to incentivize employees by giving them a direct stake in the company's financial success. It aligns their interests with those of the organization, encouraging them to work harder and contribute to the company's profitability. Profit sharing can take various forms, such as cash bonuses, stock options, retirement plan contributions, or profit-sharing trusts.

By implementing profit-sharing programs, employers aim to motivate employees, foster a sense of ownership, and reward their contributions to the company's growth. It can also help attract and retain talent, as employees see the potential for higher earnings based on the company's performance. However, it's important to note that profit sharing arrangements can vary in their structure and eligibility criteria, depending on the specific policies and agreements established by the employer.

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