uppose that the reserve requirement in an economy is 0.35 and the Federal Reserve deposits $550 into commercial banks. What is the maximum possible change in the money supply

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Answer 1

The maximum possible change in the money supply is $1,573.

To begin, reserve requirements refer to the percentage of deposits that a commercial bank is required to hold in reserves. These reserves act as a buffer against unforeseen withdrawals, and they cannot be used to lend or invest. If the reserve requirement is 0.35, it means that for every dollar deposited into a commercial bank, 35 cents must be held in reserve.

Now, let's assume that the Federal Reserve deposits $550 into commercial banks. This deposit increases the reserves that the commercial banks hold. However, the banks can also use some of these reserves to lend or invest, thereby increasing the money supply.

To calculate the maximum possible change in the money supply, we use the money multiplier formula, which is expressed as follows:

Money multiplier = 1 / Reserve requirement

In this case, the reserve requirement is 0.35, so the money multiplier is 1/0.35 = 2.86.

To calculate the maximum possible change in the money supply, we multiply the money multiplier by the initial deposit made by the Federal Reserve:

Maximum change in money supply = Money multiplier x Initial deposit

Maximum change in money supply = 2.86 x $550 = $1,573

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Related Questions

1.)Use the attached financial statements for Heifer Sports to calculate Leverage ratio for 2012. Give your answer to two decimal places.

2.) Use the attached financial statements for Heifer Sports to calculate Inventory turnover ratio for 2012. Give your answer to two decimal places.

3.) Use the attached financial statements for Heifer Sports to calculate Interest coverage ratio for 2012. Give your answer to two decimal places.

4.) Use the attached financial statements for Heifer Sports to calculate Return on equity for 2012. Give your answer to two decimal places. Give your answer as a percent and to the nearest 0.01% (e.g. type 3.25 if your answer is three and a quarter percent).

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The relevant financial figures from Heifer Sports' financial statements for 2012. Once you have those figures, plug them into the formulas and calculate the ratios to two decimal places. For ROE, multiply the result by 100 to express it as a percentage, rounding to the nearest 0.01%.

Unfortunately, I am unable to view any attached documents or files as I am a text-based AI. However, I can help you understand the formulas for the financial ratios you need to calculate.
1. Leverage Ratio: This is the Debt-to-Equity ratio. To calculate this, use the formula:
  Leverage Ratio = Total Debt / Total Equity
2. Inventory Turnover Ratio: This ratio measures how efficiently a company manages its inventory. To calculate this, use the formula:
  Inventory Turnover Ratio = Cost of Goods Sold (COGS) / Average Inventory
3. Interest Coverage Ratio: This ratio assesses a company's ability to meet its interest payments on outstanding debt. To calculate this, use the formula:
  Interest Coverage Ratio = Earnings Before Interest and Taxes (EBIT) / Interest Expense
4. Return on Equity (ROE): This ratio measures a company's profitability in relation to the amount of equity invested in the business. To calculate this, use the formula:
  ROE = Net Income / Total Equity
To apply these formulas, you will need to find the relevant financial figures from Heifer Sports' financial statements for 2012. Once you have those figures, plug them into the formulas and calculate the ratios to two decimal places. For ROE, multiply the result by 100 to express it as a percentage, rounding to the nearest 0.01%.

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Despite the huge increase in American exports of manufactures and the importation of primarily luxury goods in 1880-1910, the American market for American products was still largely self-sufficient. Group of answer choices True False

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False. Despite the significant increase in American exports of manufactured goods and the importation of luxury goods from 1880 to 1910, the American market for American products was not entirely self-sufficient.

While the country did experience a surge in exports during this period, the United States remained heavily reliant on foreign imports to meet its growing demand for consumer goods. Additionally, the country continued to rely on foreign sources for certain raw materials, such as rubber, tin, and other minerals. Furthermore, the expansion of the American economy during this period was largely fueled by the influx of foreign capital and investment, particularly from European investors. This influx of foreign capital helped to finance the development of new industries and infrastructure, further driving the growth of the American economy. Overall, while the United States did experience a significant increase in exports during the late 19th and early 20th centuries, the American market was still heavily reliant on foreign imports and investment, and was not entirely self-sufficient.

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A federal covered investment adviser employs the services of a third-party promoter to solicit business for the firm. The Investment Advisers Act of 1940 would require the solicitor to deliver A) a copy of the investment adviser's brochure B) a copy of the solicitor's brochure C) a copy of the investment adviser's Form ADV Part 1 D) a copy of the solicitor's script

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The Investment Advisers Act of 1940 would require the solicitor to deliver a copy of the investment adviser's brochure and a copy of the investment adviser's Form ADV Part 1. Therefore, the correct option is A and C.

The Investment Advisers Act of 1940:

As per the Investment Advisers Act of 1940, if a federal covered investment adviser employs the services of a third-party promoter to solicit business for the firm, the solicitor would be required to deliver a copy of the investment adviser's brochure and a copy of the investment adviser's Form ADV Part 1 to the potential clients.

The solicitor's brochure or script is not required to be delivered to the clients. Therefore, the correct option is A and C.  

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Springer Coal Mine recently discovered that the mine was contaminating the local drinking water. Cleaning up the mine and surrounding areas would probably bankrupt the company, causing the loss of hundreds of jobs, but doing nothing would endanger the health of the community. What kind of decision must be made at Springer

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The decision that must be made at Springer Coal Mine is a difficult ethical one.

On one hand, the company must consider the potential loss of jobs that would result from cleaning up the contamination. On the other hand, they must also consider the danger posed to the community by the contaminated water. Ultimately, the decision must prioritize the safety and well-being of the community over job security. It is important to find a solution that mitigates the harm caused by the contamination while also supporting the jobless workers who may be affected by the cleanup efforts.

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An organization that coordinates economic activity to deliver value to customers using resources outside the traditional boundaries of the organization is known as a

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The organization you are referring to is known as a network organization. This type of organization is characterized by its ability to coordinate economic activity and deliver value to customers using resources outside of its traditional boundaries.

Network organizations leverage their partnerships and alliances with other organizations to achieve their goals and objectives. These partnerships can include suppliers, customers, and even competitors, who work together to create value and improve efficiency. The network organization model is becoming increasingly popular in today's global economy as it allows organizations to access resources and expertise that they may not possess internally. By working with external partners, network organizations can remain agile, flexible, and responsive to the ever-changing business environment.

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The recent recession that began in December 2007 resulted in declining incomes as some people lost their jobs and others were forced to work fewer hours or have their wages reduced. How did this affect the market for fast food restaurants

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The recent recession that began in December 2007 significantly impacted the market for fast food restaurants. While some may have assumed that fast food restaurants would see an increase in business due to their lower prices, this was not always the case. As people faced declining incomes due to job losses, reduced hours, and wage cuts, many sought more affordable dining options to maintain their budgets. Consequently, fast food restaurants experienced a surge in demand as they provided cost-effective meals compared to more expensive sit-down eateries.

However, the recession also forced fast food chains to adapt to changing consumer preferences, as many customers became more conscious of the nutritional value and quality of the food they consumed. Fast food restaurants responded by diversifying their menus, offering healthier choices and more value-based deals to attract and retain customers.

Furthermore, competition intensified among fast food establishments as they vied for the attention of budget-conscious consumers. This led to increased marketing efforts, price wars, and various promotional strategies to entice customers. Overall, the recession reshaped the fast food industry as businesses adapted to cater to the evolving needs and preferences of consumers impacted by economic challenges.

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If fixed cost per week is $600, and selling price per unit is $7.50, with a variable cost per unit of $3.50, the number of units that must be sold to generate a pretax profit of $480 per week is ______.

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If fixed cost per week is $600, and selling price per unit is $7.50, with a variable cost per unit of $3.50, the number of units that must be sold to generate a pretax profit of $480 per week is 270 units .

To calculate the number of units that must be sold to generate a pretax profit of $480 per week, we need to use the contribution margin approach.

The contribution margin is the selling price per unit minus the variable cost per unit, which in this case is $7.50 - $3.50 = $4.00.

To generate a pretax profit of $480 per week, we need to cover the fixed cost of $600 and generate a profit of $480, which gives us a total target profit of $1,080 ($600 + $480).

Using the contribution margin approach, we can calculate the number of units needed to reach the target profit by dividing the target profit by the contribution margin:

$1,080 ÷ $4.00 = 270 units

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The profits of Dunkin' Donuts are down by a quarter. The management believes this is because of the high cost of the raw materials being used. Matt, the operations manager, should use the ________ model so that total inventory costs are minimized.

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Matt, the operations manager, should use the Economic Order Quantity (EOQ) model to minimize total inventory costs. The EOQ model is a widely used inventory management technique that helps organizations determine the optimal amount of inventory to order at one time.

This model takes into account the costs of ordering, holding, and storing inventory, as well as the demand for the product and the cost of the raw materials. By using the EOQ model, Matt can calculate the ideal order quantity for raw materials that will minimize the total inventory costs for Dunkin' Donuts. This will help to reduce the impact of high raw material costs on the profits of the company. The EOQ model will also ensure that the company does not hold too much inventory, which can lead to increased holding costs and a decrease in profits. The EOQ model is an effective inventory management technique that can help Dunkin' Donuts minimize total inventory costs, including the cost of raw materials.

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An entertainment channel releases the video clips of a movie, which is yet to be released, without the permission of the production team of the movie. In this scenario, the use of movie clips _____.

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In this scenario, the use of movie clips would be considered illegal and a violation of copyright law. The entertainment channel would be infringing on the exclusive rights of the production team, which holds the copyright for the movie.

The production team could take legal action against the entertainment channel for unauthorized use of their copyrighted material.


In this scenario, the use of movie clips can be considered as unauthorized, potentially infringing on the copyright of the production team.
Step 1: The entertainment channel releases video clips of an unreleased movie.
Step 2: The production team has not given permission for the release of these clips.
Step 3: The use of the movie clips in this situation may be deemed unauthorized.
Step 4: This unauthorized use could lead to copyright infringement issues for the entertainment channel.

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SHOW WORK. I'M TRYING TO LEARN. You purchased a credit default swap with notional value of $200 million at a cost of 2% a year for 5 years. What is your maximum losses? At the end of year 3, the swap’s reference asset is worth $0. How much money did you make? What is the percentage return?

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The maximum loss is $20 million, the money you made is $180 million, and the percentage return is 900%.

Let's break it down step by step.
1. You purchased a credit default swap with a notional value of $200 million. This means that the underlying reference asset has a value of $200 million.
2. The cost of the credit default swap is 2% per year for 5 years. To calculate the total cost of the swap, we can multiply the annual cost by the number of years:
Total cost = 2% x 5 years = 10% of the notional value
3. To calculate the maximum loss, we can multiply the notional value by the total cost percentage:
Maximum loss = 10% x $200 million = $20 million
4. At the end of year 3, the swap's reference asset is worth $0. Since you have a credit default swap, you will receive the notional value of the reference asset, which is $200 million.
5. To calculate the amount of money you made, we can subtract the maximum loss from the notional value received:
Amount made = $200 million - $20 million = $180 million
6. To calculate the percentage return, we can divide the amount made by the maximum loss and multiply by 100:
Percentage return = ($180 million / $20 million) x 100 = 900%
So, your maximum loss is $20 million, the money you made is $180 million, and the percentage return is 900%.

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An individual may NOT act as an agent for more than one broker-dealer A) unless the broker-dealers are exchange members B) unless the broker-dealers are unrelated C) under any circumstances D) unless the Administrator, by rule or order, authorizes such employment

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An individual may NOT act as an agent for more than one broker-dealer unless the Administrator, by rule or order, authorizes such employment. The correct answer is D.

This means that an individual may only represent one broker-dealer unless granted permission by the Administrator. This rule is in place to ensure that agents do not have conflicting interests or represent conflicting information to clients.

However, there may be exceptions to this rule if the broker-dealers are exchange members or if they are unrelated. In any case, it is important for individuals to follow the rules and regulations set forth by the Administrator to maintain a professional and ethical work environment.

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Assume that Tom has told the group, "My daughter just graduated from an MBA program, and I want her to get some real-world experience. I would like to bring her in as a partner. She has given me $10,000 from her savings as an investment in the project, and I’ve asked her to review our marketing strategy." From the perspectives of Tom, Linda, and Zach, develop the following arguments (1) whether Tom’s daughter should or should not be considered a partner, (2) how much of the profits she should receive if she is considered a partner, and (3) how her contribution will benefit or hurt your position in the business.

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From Tom's perspective, he sees his daughter's MBA degree as a valuable asset to the business and believes that she deserves to be considered a partner.

He also sees her investment as a vote of confidence in the project. From Linda's perspective, she may have concerns about nepotism and the potential for conflicts of interest if Tom's daughter is brought in as a partner. However, if she is qualified and brings valuable skills to the table, Linda may see her as a valuable addition to the team. Zach may have concerns about the distribution of profits and how much equity Tom's daughter should receive as a partner. He may argue that her investment does not necessarily equate to equal ownership in the business.

Ultimately, the decision to bring Tom's daughter in as a partner should be based on her qualifications and contributions to the business, not just her relation to Tom. If she is a valuable asset, she should receive a fair share of the profits based on her ownership stake in the company. Her contribution could benefit the business by bringing in fresh ideas and expertise, but it could also potentially hurt if there are conflicts of interest or if she does not live up to expectations.

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. Economists love auctions because a. They maximize consumer surplus b. They minimize producer surplus c. They set the price for the item, avoiding costly negotiations d. They open the door to costly negotiations, with room for manipulation

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Economists love auctions because they set the price for the item, avoiding costly negotiations.

This is because auctions allow for the market to determine the value of the item, rather than relying on negotiations between buyers and sellers. Additionally, auctions can maximize consumer surplus by allowing buyers to bid up to the point where they are still willing to pay, while minimizing producer surplus by ensuring that the item is sold at the highest price that buyers are willing to pay. However, there is room for manipulation in auctions, as some bidders may collude or use other tactics to drive up the price of the item. Overall, while auctions have their advantages, they are not without their drawbacks, and economists must carefully consider the potential risks and benefits before recommending them as a pricing mechanism.

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Which asset allocation is MOST appropriate for a married client that has 2 children that will start attending college in 4 years, if the client must use income from the portfolio, as well as part of the portfolio capital base, to pay for college tuition expenses

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For a married client with two children who will start college in four years and requires both portfolio income and capital base for tuition expenses, a balanced asset allocation is recommended. This approach combines growth-oriented investments and conservative income-generating assets.

Given the client's financial goals of funding college tuition expenses for their children in four years, it is important to strike a balance between growth and income.

A suitable asset allocation strategy would involve allocating a portion of the portfolio towards growth-oriented investments such as stocks or equity funds to potentially generate capital appreciation over time. This growth component can help offset future college expenses.

Simultaneously, a portion of the portfolio should be allocated towards more conservative income-generating assets such as bonds, fixed-income securities, or dividend-paying stocks. This income component can provide a steady stream of cash flow to cover current tuition expenses while preserving the capital base.

The specific allocation percentages will depend on the client's risk tolerance, time horizon, and overall financial situation. Consulting with a financial advisor can help determine the most appropriate asset allocation that aligns with the client's goals and circumstances.

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The most appropriate asset allocation for a married client with two children who will start attending college in four years and who must use income from the portfolio as well as part of the portfolio capital base to pay for college tuition expenses will depend on several factors, including the client's risk tolerance, time horizon, and investment goals.

However, in general, a moderately conservative asset allocation may be most appropriate for this situation.

This allocation would typically consist of a mix of stocks and bonds, with a greater emphasis on bonds to provide income and stability to the portfolio.

The allocation could be structured to provide income from interest payments on bonds, as well as from dividends on stocks.

In addition, the portfolio could be designed to generate some capital appreciation to help offset the impact of inflation on the portfolio.

It's important to note that asset allocation is not a one-size-fits-all solution, and the client's individual circumstances should be carefully considered.

The client should work with a financial advisor to determine the most appropriate allocation based on their unique financial situation, risk tolerance, and investment objectives.

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In the current assets section of the balance sheet, receivables are usually listed in order a.alphabetically. b.of due date. c.that they can be turned into cash. d.of size.

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In the current assets section of the balance sheet, receivables are usually listed in order c. that they can be turned into cash.

This approach is called the liquidity order, and it helps businesses understand their financial position by displaying assets based on how quickly they can be converted into cash. Receivables, which include accounts receivable and other short-term monetary claims, are an essential part of a company's current assets as they represent funds owed to the business by customers or other entities.

Listing receivables based on their liquidity provides a clear picture of the company's financial health and allows stakeholders to assess the efficiency of its cash conversion cycle. It is important for businesses to monitor their receivables and ensure timely collection, as delays in converting receivables into cash can negatively impact the company's cash flow and overall financial stability.

In summary, the most common method for listing receivables on the balance sheet is by their liquidity, as it helps businesses understand and manage their cash conversion process effectively. This approach is more useful than listing them alphabetically, by due date, or by size, as it prioritizes the assets based on their ability to provide cash flow for the company. Therefore, the correct answer is option c.

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Consumers who buy everything in sight are called ________. tightwads spendthrifts justifiers balancers

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Consumers who buy everything in sight are called spendthrifts.

Spendthrifts are individuals who spend money extravagantly and irresponsibly, often making impulsive purchases without considering the long-term consequences. They are the opposite of tightwads, who are cautious and frugal when it comes to spending money. Justifiers and balancers, on the other hand, represent more moderate approaches to consumption.

Justifiers tend to make purchases based on rational explanations, finding reasons to justify their spending. They might buy a product because it is on sale, or because they believe it will benefit them in the long run. Balancers, as the name suggests, strike a balance between saving and spending. They carefully consider their financial goals and create budgets to allocate their resources appropriately.

It is important for consumers to understand their spending habits and adopt responsible approaches to managing their finances. Being a spendthrift can lead to financial instability and debt, while being a tightwad may prevent one from enjoying the benefits of their hard-earned money. Justifiers and balancers offer more sustainable spending strategies that contribute to long-term financial well-being.

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a 1.28 quarterly payment paid by dattam inc to its shareholders in the normal course of business becomes a liability of the company on the

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A 1.28 quarterly payment paid by Dattam Inc to its shareholders in the normal course of business becomes a liability of the company on the date of declaration.

This means that once the board of directors of the company declares the dividend, it becomes a legal obligation for the company to pay out the amount to its shareholders. Until then, the dividend remains an anticipated payment and is not recorded as a liability on the company's financial statements. The company's accounting team will record the dividend payment as a liability on the balance sheet until it is paid out to the shareholders. It is important for the company to carefully manage its liabilities, including dividend payments, to ensure that it has the financial resources to meet its obligations and maintain the confidence of its shareholders.

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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

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The statement is incorrect. An increase in the saving rate does not necessarily cause an increase in consumption per capita in the long run.

The relationship between saving and consumption is complex and depends on a range of factors, including interest rates, investment opportunities, and government policies.

In some cases, an increase in saving may lead to a decrease in consumption, particularly in the short term, as people may delay spending until they have accumulated more savings. However, in the long run, the impact of saving on consumption is less clear and depends on the broader economic context.

For example, if increased saving leads to higher investment and productivity growth, it may ultimately lead to higher levels of consumption. Overall, the relationship between saving and consumption is complex and depends on a range of factors.

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Marlow Company produces hand tools. A production budget for the next four months is as follows: March units, April , May , and June . Marlow Company's ending finished goods inventory policy is % of the following month's sales. Marlow plans to sell units in May. What is budgeted ending inventory for March

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The percentage of May sales that Marlow Company aims to maintain as ending inventory is not provided in the question.

Based on the production budget provided, Marlow Company plans to produce units in March. However, to determine the budgeted ending inventory for March, we need to consider the ending finished goods inventory policy, which is % of the following month's sales.
Since Marlow Company plans to sell units in May, we need to calculate % of May sales to determine the budgeted ending inventory for March. Let's assume that the company aims to maintain a % of the following month's sales as ending inventory. If Marlow Company plans to sell units in May, then the budgeted ending inventory for March would be:
Budgeted ending inventory for March = % of May sales x units produced in March
Budgeted ending inventory for March = % x units
However, the percentage of May sales that Marlow Company aims to maintain as ending inventory is not provided in the question. Therefore, we cannot calculate the budgeted ending inventory for March. To determine the budgeted ending inventory for March, we need additional information on the company's ending finished goods inventory policy.

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Residual income (RI) is: Group of answer choices Contribution margin of an investment center, less the imputed interest on the invested capital used by the center

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Residual income (RI) is a financial performance metric that measures the profitability of an investment center, which is a business unit or division of a company that generates revenue and incurs expenses. RI is calculated as the contribution margin of an investment center, less the imputed interest on the invested capital used by the center.

The contribution margin is the amount of revenue that exceeds the variable costs of producing and selling a product or service. It represents the portion of sales that is available to cover fixed costs and generate profit. The imputed interest is the cost of capital that the investment center uses to finance its assets and operations. It reflects the opportunity cost of not investing that capital elsewhere, such as in a different investment center or in a financial market.
By subtracting the imputed interest from the contribution margin, RI reveals how much value the investment center has created for the company, beyond what would be expected from its cost of capital. If the RI is positive, it means that the investment center has earned more than its required rate of return, and therefore has contributed to the company's overall financial performance. If the RI is negative, it means that the investment center has not earned enough to cover its cost of capital, and therefore has detracted from the company's overall financial performance.
RI is a useful measure of the economic profit or residual income generated by an investment center, because it takes into account both the income statement and the balance sheet of the center. It recognizes that the investment center has to earn not only enough revenue to cover its expenses, but also enough profit to compensate for the capital invested in it. RI can help managers evaluate the performance of investment centers in terms of their ability to create value for the company, and to make better decisions about allocating resources among them.

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Question Content AreaDepartment K had 3,000 units 45% completed in process at the beginning of the period; 17,000 units completed during the period; and 1,200 units 40% completed at the end of the period. What was the number of equivalent units of production for the period for conversion if the first-in, first-out method is used to cost inventories

Answers

The number of equivalent units of production for the period for conversion using the FIFO method is 18,830.

To calculate the number of equivalent units of production for the period for conversion using the first-in, first-out (FIFO) method, we need to first determine the units of production that were completed during the period. This includes the units that were completed from the beginning inventory, as well as the units that were started and completed during the period.

For Department K, we had 3,000 units that were 45% completed at the beginning of the period, which is equivalent to 1,350 units of work done (3,000 x 45%).

We also completed 17,000 units during the period. Finally, we had 1,200 units that were 40% completed at the end of the period, which is equivalent to 480 units of work done (1,200 x 40%).

To calculate the equivalent units of production for the period for conversion using the FIFO method, we add the units completed during the period (17,000) to the equivalent units of work done for the beginning inventory (1,350) and the equivalent units of work done for the ending inventory (480).

This gives us a total of 18,830 equivalent units of production for the period for conversion using the FIFO method.

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One important difference between the international economy of today and the economy of 100 years ago is

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One important difference between the international economy of today and the economy of 100 years ago is the degree of interconnectedness and interdependence among nations.

Today, globalization has led to a much more integrated global economy, with countries relying on each other for trade, investment, and production. This interconnectedness has been facilitated by advances in technology, transportation, and communication, which have made it easier and faster to move goods, services, and information across borders.

In contrast, 100 years ago, the global economy was much more fragmented and less interconnected. Trade barriers, limited transportation options, and communication challenges made it difficult for countries to engage in international trade and investment. As a result, many countries relied primarily on domestic production and consumption.

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A particular stock pays an annual dividend of $2 per share and the annual dividend yield is 2.5 percent. The price of a share of this stock is

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The price of a share of a stock can be calculated using the dividend discount model, which is based on the assumption that the current price of a stock is equal to the sum of its future cash flows discounted to present value.

In this case, the annual dividend yield of 2.5 percent means that the annual dividend payment is 2.5 percent of the current stock price.

Therefore, the current stock price can be calculated as follows:

Dividend per share / Dividend yield = Current stock price

$2 / 0.025 = $80

This means that the price of a share of this stock is $80. However, it's important to note that the price of a stock can fluctuate based on a variety of factors, such as market conditions, company performance, and investor sentiment.

Additionally, past performance is not necessarily indicative of future results, so investors should conduct thorough research and analysis before making any investment decisions.

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In the context of earned value management, the ____ value is the authorized budget assigned to scheduled work.

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In the context of earned value management, the Planned Value (PV) is the authorized budget assigned to scheduled work.

Planned Value represents the portion of the total budget that is planned to have been spent on the project activities up to a specific point in time, based on the schedule of work planned for completion. It is also referred to as Budgeted Cost of Work Scheduled (BCWS). The PV is a key metric in earned value management, as it provides a baseline against which actual costs and work progress can be compared to measure project performance.

In earned value management (EVM), Planned Value (PV) is one of the three key metrics used to measure project performance. The other two are Actual Cost (AC) and Earned Value (EV).

Planned Value is the estimated value of the work that should have been completed up to a certain point in time, based on the project plan and schedule. It is calculated by multiplying the budgeted cost of each activity by the percentage of the activity that was scheduled to be completed at that point in time. For example, if a project has a total budget of $100,000 and an activity with a budget of $

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Exchange Rate Effects on Borrowing. Explain how the appreciation of the Japanese yen against the U.S. dollar would affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project.

Answers

The appreciation of the Japanese yen against the U.S. dollar would negatively affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project.


When the Japanese yen appreciates against the U.S. dollar, it means that one yen can buy more dollars. This has several implications for a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project:

1. The cost of borrowing in yen becomes more expensive. Since the yen has appreciated, the firm now needs more dollars to repay the borrowed yen. This increases the effective interest rate on the loan for the U.S. firm.

2. The U.S. project's revenue, which is in dollars, is worth less in yen terms. The firm will receive fewer yen when converting the project's revenue back into the borrowed currency for repayment, thus reducing the return on the project.

To summarize, the appreciation of the Japanese yen against the U.S. dollar would negatively affect the return to a U.S. firm that borrowed Japanese yen and used the proceeds for a U.S. project. The firm would face higher costs for repaying the yen loan and reduced returns when converting the project's revenue back into yen.

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Sarah just bought a new high end luxury car for $90,000. When she drove the car off the lot, she experienced a high level of anxiety about whether she has made the right purchase decision. Sarah experienced:

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Sarah experienced buyer's remorse, which is a common feeling of anxiety or regret that can occur after making a major purchase, especially for high-end luxury items like a car.

It's normal to question whether the decision was the right one and whether the item was worth the cost. However, with time and enjoyment of the car, Sarah may find that her anxiety fades and she can fully appreciate her new purchase.

Sarah just bought a new high-end luxury car for $90,000 and experienced a high level of anxiety about whether she made the right purchase decision. Sarah experienced post-purchase dissonance, which is a feeling of regret or doubt that may arise after making a significant purchase. This is common when the buyer is unsure if they made the best decision, especially in the case of expensive items like luxury cars.

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A company reported a beginning retained earnings balance of $40,000. During the period, $6,625 of cash dividends were declared and paid. Expenses were $10,000 greater than net revenue for the period. What is the ending retained earnings reported on the balance sheet

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The ending retained earnings reported on the balance sheet is $23,375. This means that after paying dividends and accounting for expenses, the company's retained earnings decreased by $16,625.

To find the ending retained earnings reported on the balance sheet, we need to use the formula:

Ending Retained Earnings = Beginning Retained Earnings + Net Income/Loss - Dividends

In this case, we know that the beginning retained earnings balance is $40,000 and $6,625 of cash dividends were declared and paid during the period. However, we need to calculate the net income/loss for the period by subtracting expenses from net revenue.

Net Income/Loss = Net Revenue - Expenses

Since expenses were $10,000 greater than net revenue, the net income/loss for the period is -$10,000.

Now we can plug in the numbers:

Ending Retained Earnings = $40,000 - $10,000 - $6,625
Ending Retained Earnings = $23,375

Therefore, the ending retained earnings reported on the balance sheet is $23,375. This means that after paying dividends and accounting for expenses, the company's retained earnings decreased by $16,625.

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A property has a first mortgage of $180,000, a second mortgage of $25,000, and a third mortgage of $10,000. The borrower defaults, and the property is sold for $210,000. The holder of the third mortgage receives ______, and the holder of the second mortgage receives ________.

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In this scenario, the mortgages are paid off in order of their priority. The first mortgage holder gets paid first, then the second mortgage holder, and finally, the third mortgage holder.

The total amount of mortgages is $180,000 + $25,000 + $10,000 = $215,000. However, since the property sold for only $210,000, there is not enough money to pay off all the mortgages.

The first mortgage holder will receive the full amount of their loan, which is $180,000.

After the first mortgage holder is paid, there is only $30,000 left to pay off the second and third mortgages.

The second mortgage holder will receive as much as possible out of the remaining $30,000, up to the amount of their loan. This means that the second mortgage holder will receive $25,000, leaving only $5,000 to pay off the third mortgage.

The third mortgage holder will receive the remaining $5,000. Therefore, the holder of the third mortgage receives $5,000, and the holder of the second mortgage receives $25,000.

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In a model with only labor and capital as inputs, in the short run the amount of ______________ is fixed, while in the long run the amount of ______________ is variable.

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In a model with only labor and capital as inputs, in the short run, the amount of capital is fixed while in long run the amount of labor is variable.

This is because capital is considered a fixed factor of production that cannot be easily adjusted in the short run. In other words, firms cannot quickly increase or decrease their capital stock to respond to changes in demand or production. On the other hand, the amount of labor is variable in the short run. This means that firms can adjust their labor inputs in response to changes in demand or production. For example, they can hire more workers or reduce their work hours.

In the long run, however, both capital and labor are variable inputs. This means that firms have enough time to adjust both factors of production to respond to changes in demand or production. For example, they can invest in new equipment or expand their production facilities, and they can also hire more workers or reduce their labor force. In conclusion, the amount of labor and capital as inputs determines the short-run and long-run production functions of a firm. In the short run, capital is fixed while labor is variable, and in the long run, both inputs are variable.

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Find the future value of an ordinary annuity of $7,000 paid quarterly for 2 years, if the interest rate is 8%, compounded quarterly. (Round your answer to the nearest cent.)

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The future value of the ordinary annuity of $7,000 paid quarterly for 2 years at an 8% interest rate compounded quarterly is approximately $59,830.95, rounded to the nearest cent.


1. Ordinary annuity: In this case, $7,000 is paid quarterly for 2 years.
2. Interest rate: 8% compounded quarterly means the nominal annual interest rate is 8%, so the periodic interest rate (i) is 8%/4 = 2% or 0.02 as a decimal.
3. Number of payments (n): Since the annuity is paid quarterly for 2 years, there will be 2*4 = 8 payments in total.
4. Future Value (FV) formula for an ordinary annuity: FV = P * ((1+i)^n - 1) / i, where P is the annuity payment.

Now, let's calculate the future value:
FV = $7,000 * ((1+0.02)^8 - 1) / 0.02
FV = $7,000 * (1.171659 - 1) / 0.02
FV = $7,000 * 0.171659 / 0.02
FV = $59,830.95
So, the future value of the ordinary annuity is approximately $59,830.95, rounded to the nearest cent.

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