Identify the type of economic system in norway. Justify youranswer.

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Answer 1

Norway has a mixed economy, which means it is a combination of a free-market economy and a welfare state. The government plays a significant role in regulating and supporting the economy, particularly in areas such as healthcare, education, and social welfare.

However, businesses are still allowed to operate independently and make their own decisions, and there is a high level of economic freedom. This system has led to a strong and stable economy with high levels of income equality, low unemployment rates, and a high standard of living for its citizens. Overall, the mixed economic system in Norway has proven to be successful in balancing economic growth with social welfare.

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Related Questions

Explain the role played by price elasticity of demand in thekinked demand curve model of oligopoly?

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The kinked demand curve model of oligopoly is a model that explains the behavior of firms in an oligopolistic market. In this model, firms assume that their rivals will match any price increase they make, but will not match any price decrease.

This creates a kink in the demand curve, where the demand is relatively elastic at the current price level, but becomes relatively inelastic if the firm raises the price.

The role played by price elasticity of demand in the kinked demand curve model is that it determines the behavior of the firm in response to changes in the market. If the demand for the firm's product is relatively elastic, the firm will not raise the price as it would lead to a significant decrease in demand and revenue. On the other hand, if the demand is relatively inelastic, the firm may raise the price as the decrease in demand and revenue would be minimal.

Therefore, the price elasticity of demand plays a crucial role in determining the pricing strategy of firms in oligopolistic markets under the kinked demand curve model. Understanding the elasticity of demand helps firms to make informed decisions about price adjustments and to avoid significant losses in revenue.

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Kelly owns shares of Atlas Mines preferred stock which she says provides her with a 12.7 percent rate of return. The stock is currently priced at $44.16 a share.
What is the amount of the dividend per share?

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The amount of the dividend per share is $5.60.

Dividend per share = Current price of stock x Rate of return

Dividend per share = $44.16 x 0.127

Dividend per share = $5.60

Stock, also known as equity or share, is a type of financial instrument that represents ownership in a company. When a company goes public, it issues shares of its stock, which are then sold to investors in the open market. Owning stock in a company gives the shareholder certain rights, such as voting rights at shareholder meetings and the ability to receive dividends if the company pays them.

The value of a stock is determined by various factors, including the company's financial performance, industry trends, and overall market conditions. Stock prices can be volatile and fluctuate based on these factors, as well as news and events that affect the company or the broader market.

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Of the three major leadership theories- The LPC theory the path-goal theory, and Vroom's decision tree approach - which is the most comprehensive? Which is the narrowest? Which has the most practical value?

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Of the three major leadership theories, the LPC theory, the path-goal theory, and Vroom's decision tree approach, the most comprehensive theory is the path-goal theory. This theory takes into account the various leadership styles and how they can be adapted to suit different situations.

On the other hand, the narrowest theory among the three is Vroom's decision tree approach. This theory focuses primarily on how leaders can make effective decisions by considering the possible outcomes and the level of participation of their followers. In terms of practical value, the path-goal theory is considered the most practical. It provides practical guidelines for leaders on how to motivate and support their followers to achieve organizational goals. The theory emphasizes the importance of the leader's role in providing support and removing obstacles that hinder goal attainment. Overall, while all three theories have their strengths, the path-goal theory is often seen as the most practical and applicable in real-world leadership situations.

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What are the economical, legal and ethical risks of expanding mybusiness into Portugal?

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Expanding business into Portugal comes with a range of economical, legal and ethical risks that you need to consider. One of the major economical risks is the country's high tax rates and bureaucracy, which can make it difficult to navigate through the legal system and operate efficiently.

From a legal perspective, it is important to be aware of the different regulations and laws that govern businesses in Portugal. This includes employment laws, tax regulations, and environmental regulations, among others. Failing to comply with these regulations could result in legal action or fines that could negatively impact your business.
In terms of ethical risks, it is important to consider the cultural differences between Portugal and your home country. Different countries have different ethical standards, and it is important to be aware of these differences to avoid cultural misunderstandings or ethical violations. Additionally, the country's economy has been recovering from a recession, which may impact the demand for your products or services.
Overall, expanding your business into Portugal requires careful consideration of the economical, legal, and ethical risks involved. Conducting thorough research and seeking the advice of local experts can help you make informed decisions and mitigate these risks.

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Suppose in 2017, the United Kingdom economy was at full employment. Nominal GDP was £2,665 billion, the real interest rate was 4 percent per year, the inflation rate was 3 percent a year, and the price level was 125. Calculate the nominal interest rate. In the long run, if the real interest rate remains the same but the inflation rate increases to 5 percent a year, how does the nominal interest rate change? n the pri An The nominal interest rate is percent a year. In the long run, if the real interest rate remains the same but the inflation rate increases to 5 percent a year, then the nominal interest rate Seg percent a year remains unchanged at decreases to increases to Q:

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In the long run, with the real interest rate remaining the same and the inflation rate increasing to 5%, the nominal interest rate increases to 9% per year.

In 2017, the United Kingdom's economy had the following key figures: nominal GDP of £2,665 billion, real interest rate of 4% per year, inflation rate of 3% per year, and price level of 125. To calculate the nominal interest rate, you can use the Fisher equation:

Nominal Interest Rate = Real Interest Rate + Inflation Rate

Nominal Interest Rate = 4% + 3% = 7%

So, the nominal interest rate in 2017 was 7% per year. In the long run, if the real interest rate remains the same (4%) but the inflation rate increases to 5% per year, the new nominal interest rate can be calculated as follows:

New Nominal Interest Rate = Real Interest Rate + New Inflation Rate

New Nominal Interest Rate = 4% + 5% = 9%

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if the efficient markets hypothesis is correct, then group of answer choices the number of shares of stock offered for sale exceeds the number of shares of stock that people want to buy. the stock market is informationally efficient. stock prices never follow a random walk. at the market price, the number of people who think the stock is overvalued is greater than the number of people who think it is undervalued.

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If the efficient markets hypothesis is correct, then the stock market is informationally efficient. This means that all available information is already reflected in the stock prices, making it difficult to consistently achieve higher returns than the overall market by using the same information.

If the efficient markets hypothesis is correct, then the stock market is informationally efficient, which means that all available information is already incorporated into stock prices. This implies that stock prices follow a random walk and that it is impossible to consistently beat the market by trying to predict future stock price movements. Therefore, it is unlikely that the number of people who think a stock is overvalued exceeds the number of people who think it is undervalued, as any such mispricing would be quickly corrected by the market.

Additionally, in an efficient market, the number of shares of stock offered for sale should roughly equal the number of shares of stock that people want to buy, as any excess supply or demand would also be corrected by the market.

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Alex decided to stop watching squirrels and open a squirrel pet store. She took $100,000 out of her saving, that was earning 20% interest each year, to buy a store location. Over the course of the year, she spent $4,000 on ski masks, $5,000 on nets, and $1,000 on coffee. She made $40,000 in total revenue. She paid herself $5,000. Calculate economic profit. Round to 2 decimal points. Do NOT include $ . - %

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To calculate economic profit, we need to subtract all of Alex's expenses (including the opportunity cost of not earning interest on her savings) from her total revenue.

An economic profit is the difference between the revenue received from sales and the explicit costs of producing its goods and services, as well as any opportunity costs.

Opportunity cost of using savings: $100,000 * 20% = $20,000

Expenses: $4,000 + $5,000 + $1,000 + $5,000 (paid to herself) + $20,000 (opportunity cost) = $35,000

Total revenue: $40,000

Economic profit: $40,000 - $35,000 = $5,000

Therefore, Alex's economic profit for the year was $5,000.

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SOLVE QUESTION (E)Suppose the economy of Canada is governed by the following consumption function, investment function, and fixed values of government expenditure and taxes C =300 +0.6(Y – T), I=700 - 80r, G=500, T=5

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To solve question (E), we need to determine the equilibrium level of income (Y) in the Canadian economy.

The equilibrium level of income is the level at which aggregate demand (total spending) equals aggregate supply (total output).

We can start by writing the equation for aggregate demand (AD), which is the sum of consumption (C), investment (I), government expenditure (G), and net exports (NX). Since we are given that NX is not specified, we can assume it is zero for simplicity. Therefore, AD is:

AD = C + I + G
Substituting the given consumption and investment functions, and the fixed values of G and T, we get:
AD = (300 + 0.6(Y - 5)) + (700 - 80r) + 500

Simplifying and rearranging terms, we get:

AD = 1500 + 0.6Y - 80
To find the equilibrium level of income, we need to set AD equal to the level of output (Y). That is:

Y = AD

Substituting AD from the equation above, we get:
Y = 1500 + 0.6Y - 80r

Simplifying and rearranging terms, we get:
0.4Y = 80r + 1500

Dividing both sides by 0.4, we get:
Y = 200r + 3750

This is the equation for the aggregate supply (AS) curve, which shows the level of output that firms are willing to produce at each level of the interest rate (r). The slope of the AS curve is positive, indicating that as the interest rate increases, firms are willing to produce more output.

To find the equilibrium level of income, we need to find the point where the AS curve intersects the AD curve. This occurs when:

Y = AD
Y = 1500 + 0.6Y - 80r

Substituting Y from the AS equation above, we get:
200r + 3750 = 1500 + 0.6(200r + 3750) - 80r

Simplifying and solving for r, we get:
r = 8.125

Substituting r back into the AS equation, we get:
Y = 200(8.125) + 3750
Y = 5900

Therefore, the equilibrium level of income in the Canadian economy is $5900.

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demario, a router, tried to organize a union in his nonunion western clothing shop. a year and a half ago a vote rejected unionization. now he has secured authorization cards signed by 100 of the 1000 workers. what else does he need to do before having another union election

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Demario would need to keep up his organising and support-gathering efforts, check that the permission cards are legitimate, submit a petition to the NLRB, and, if the petition is accepted, hold a secret ballot election.

In order for Demario to have another union election, he would need to follow a few steps. Firstly, he would need to continue to organize and gather support from more workers in the nonunion western clothing shop. He would also need to ensure that the authorization cards he has collected are valid and from eligible workers.

Once he has enough support and valid authorization cards, Demario would need to file a petition with the National Labor Relations Board (NLRB) to request another election. The NLRB would then review the petition and determine if there is enough support to hold an election.

If the NLRB approves the petition, a secret ballot election would be held at the workplace to determine if the workers want to unionize. It's important to note that the election would only be valid if at least 50% of the eligible workers participate.

In summary, Demario would need to continue to organize and gather support, ensure the authorization cards are valid, file a petition with the NLRB, and hold a secret ballot election if the petition is approved.

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Which of these headlines could move a currency pair?
U.S. Stocks rally on Fed's Surprise reduction of Interest Rate.

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The headline "Fed's Surprise Reduction of Interest Rate" could potentially move a currency pair, as it may impact the demand for the US dollar.

Considering that it may affect expectations for the US economy and interest rates, the headline "U.S. Stocks Rally on Fed's Surprise Reduction of Interest Rate" has the potential to influence a currency pair, especially the US dollar.

Investors may sell US dollars if the Federal Reserve suddenly lowers interest rates, which would indicate worries about the state of the economy. A surge in US equities may also, depending on general market mood and other geopolitical events, enhance demand for US assets and raise the value of the US dollar.

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The marginal revenue curve of a monopoly crosses its marginal cost curve at $30 per unit and an output of 2 million units. The price that consumers are willing to pay for this output is $40 per unit. If it produces this output, the firm's average total cost is $43 per unit, and its average fixed cost is $8 per unit. What is the profit-maximizing (loss-minimizing) output? What are the firm's economic profits (or economic losses)?

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Total cost = (average total cost x quantity) = ($43 x 2 million) = $86 million. Therefore, the firm's economic losses are $6 million ($80 million - $86 million).

The profit-maximizing output for a monopoly occurs where the marginal revenue (MR) curve intersects the marginal cost (MC) curve. In this case, the intersection occurs at $30 per unit and an output of 2 million units.

Given that consumers are willing to pay $40 per unit, the monopoly can charge this price. The average total cost (ATC) of producing this output is $43 per unit, and the average fixed cost (AFC) is $8 per unit. To find the average variable cost (AVC), subtract the AFC from the ATC:

AVC = ATC - AFC
AVC = $43 - $8
AVC = $35 per unit

To calculate the economic profit (or economic loss), we can use the formula:

Economic Profit = (Price - ATC) × Quantity
Economic Profit = ($40 - $43) × 2,000,000
Economic Profit = (-$3) × 2,000,000
Economic Profit = -$6,000,000

The profit-maximizing (loss-minimizing) output is 2 million units, and the firm will experience an economic loss of $6,000,000 at this output level.

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What definitely doesn't shift the AD curve?

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Changes to the potential output or long-run aggregate supply (LRAS) do not shift the aggregate demand (AD) curve in the short run.

The AD curve represents the relationship between the overall price level and the quantity of output demanded by households, businesses, and governments in the economy.

The factors that can shift the AD curve include changes in consumer spending, investment spending, government spending, exports, and imports. These changes can arise from various factors such as changes in interest rates, tax policies, government regulations, international trade policies, etc.

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(ch7) Results of cultural diffusion among early civilizations included...

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The results of cultural diffusion among early civilizations were numerous and significant. Cultural diffusion refers to the spread of ideas, beliefs, and practices from one culture to another, often through trade, migration, or conquest.

One of the most significant results of cultural diffusion among early civilizations was the development of new technologies and innovations. As ideas and practices spread, they were adapted and improved upon by different cultures, leading to the creation of new tools, techniques, and systems of organization.

Cultural diffusion also led to the exchange of goods and resources between different civilizations, allowing each to benefit from the strengths and expertise of others. This trade often led to the development of complex commercial networks and the rise of cities as centers of trade and commerce.

In addition to economic benefits, cultural diffusion also led to the exchange of ideas and beliefs, which helped to shape the development of art, literature, and philosophy. As different cultures interacted, they were exposed to new ways of thinking and new perspectives on the world, leading to the development of rich and diverse cultural traditions.

However, cultural diffusion was not always a positive process. In some cases, it led to the spread of disease, conflict, and political instability. It could also lead to the domination of one culture over another, leading to the loss of cultural diversity and the suppression of local traditions.

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an increase in the price of bread produced domestically will be reflected in a. the consumer price index but not in the gdp deflator. b. neither the gdp deflator nor the consumer price index. c. both the gdp deflator and the consumer price index. d. the gdp deflator but not in the consumer price index.

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Hence, an increase in the bread's price produced domestically would be reflected in both the GDP deflator and the CPI.

How does GDP deflator work?

Eliminate VIEW ALL. The GDP deflator, also called the implicit price deflator, serves as a measure of inflation. It is the difference among the value of goods and services produced by an economy at the going rate in a given year and at the going cost in the base year.

How do the GDP deflator and inflation rate compare?

This means that the nominal gross domestic product divided by real GDP, multiplied by 100, is used to calculate the GDP deflator. Given that inflation provides a percentage increase in an item's overall price across an economy, one can use the GDP deflator, which is a measure of price level, to compute the inflation rate.

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a restaurant chain sponsors a charity that provides support to the parents of children being treated for cancer. how would the use of company funds fo

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A restaurant chain sponsors a charity that provides support to the parents of children being treated for cancer, and you would like to know how the use of company funds contributes to this cause. The restaurant chain allocates a portion of its company funds to support the charity in various ways.

First, it can directly donate money to the charity, allowing the organization to fund programs and services that offer emotional, financial, and practical support to parents during a challenging time. Second, the restaurant chain can use company funds to promote the charity and raise awareness about its mission. This could involve creating marketing materials, hosting events, and engaging with customers through social media and other platforms to encourage donations and participation.


Third, the company may choose to invest in special promotions or products that support the charity. For example, they could create a limited-time menu item and donate a portion of the proceeds to the organization. This not only generates funds for the cause but also increases public awareness and engagement.By using company funds to support the charity, the restaurant chain demonstrates its commitment to corporate social responsibility and plays a valuable role in helping parents of children with cancer cope during a difficult time.

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What are Intended to reduce employment discrimination or to correct underutilization of qualified members of protected groups and organizations relevant labor market?

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The terms mentioned in the question refer to affirmative action policies that are implemented in organizations and labor markets to promote diversity and inclusivity.

These policies are designed to address historical and ongoing discrimination against certain protected groups such as women, people of color, and individuals with disabilities.

The purpose of affirmative action is to ensure that qualified individuals from these groups are given equal employment opportunities and are not excluded or underutilized due to discrimination or bias. These policies can include initiatives such as targeted recruitment, mentoring programs, and diversity training.

However, affirmative action policies can be controversial as some argue that they can result in reverse discrimination against non-protected groups. Despite this controversy, affirmative action remains a crucial tool for promoting equality in the workplace and addressing systemic discrimination.

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43. The audit time budget is an example of: A. A supporting schedule. B. An administrative working paper. C. A lead schedule. D. A corroborative working paper.

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The audit time budget is an example of "a lead schedule". Option c is answer.

A lead schedule is a type of working paper used by auditors to summarize key financial information, including account balances, transaction details, and audit procedures. The audit time budget is a type of lead schedule that outlines the time allocated for each stage of the audit process, including planning, fieldwork, and reporting.

The audit time budget is an important tool for managing the audit process, ensuring that each stage is completed on time and within budget. It also helps the auditor to identify areas where additional resources may be required and to make adjustments as needed to ensure a successful and efficient audit.

Option c is answer.

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Which of these dates, when arranged in chronological order, occurs last?
A. dividend payment date
B. ex-dividend date
C. record date
D. dividend declaration date
E. None of the above options

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The day the corporation declares that it will pay a dividend is known as the "dividend-declaration date."

The declaration date is the day the board of directors of a corporation announces the next dividend payment. This statement includes information about the dividend's amount, ex-dividend date, and payment date. An alternative term for the declaration date is the "announcement-date."

Most investors consider the declaration date to be the least important of all the dividend date  which include the ex-dividend date, the payment date, and the record date. Due to the fact that it is merely a communication of information rather than a date when any impact would occur, it is seen as being of the least importance.

For instance, the record date is the date by which a shareholder must be registered with the company. The ex-dividend date is the last day on which an investor must hold shares in order to be eligible for a dividend. A dividend becomes a declared dividend once it has been approved. The corporation is now legally obligated to pay it.

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1. What are the four basic assumptions of perfect competition? Explain in words what they imply for a perfectly competitive firm. Are these assumptions too broad for the companies that we see on an everyday basis? 2. A single firm in a perfectly competitive market is relatively small compared to the rest of the market. What does this mean? How "small" is "small"? What are your thoughts on this assumption and is this assumption realistic? 3. Why will profits and losses for firms in a perfectly competitive industry vanish in the long run? Is this part of the model realistic? Provide counter examples of companies/businesses who might be able to generate consistent profits.

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1. The four basic assumptions of perfect competition are: Many buyers and sellers, Homogeneous products, Perfect information, Free entry and exit. 2. The exact size of a "small" firm will vary depending on the industry and market. 3. Profits and losses for firms in a perfectly competitive industry will vanish in the long run because there is free entry and exit.

1. The four basic assumptions of perfect competition are:
- Many buyers and sellers
- Homogeneous products
- Perfect information
- Free entry and exit

These assumptions imply that a perfectly competitive firm is a price taker, meaning they have no control over the market price of their product. They must accept the prevailing market price and produce at the lowest possible cost to maximize their profits. The assumptions may be too broad for companies we see on an everyday basis, as most industries have some degree of market power and product differentiation.

2. The assumption that a single firm in a perfectly competitive market is relatively small compared to the rest of the market means that the firm's output is small enough that it does not affect the market price. The exact size of a "small" firm will vary depending on the industry and market. This assumption may not always be realistic, as some industries may have dominant players that can influence market prices.

3. Profits and losses for firms in a perfectly competitive industry will vanish in the long run because there is free entry and exit, meaning that new firms will enter the market when there are profits to be made, driving down prices and eliminating profits. Similarly, when there are losses, firms will exit the market, reducing supply and driving up prices. This part of the model is generally realistic, as we can observe this phenomenon in many real-world industries. However, there may be exceptions, such as companies with strong brand loyalty or patents that allow them to maintain consistent profits despite competition.

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A chattel mortgage is an instrument that gives lenders title to movable personal property in the event of default.a. Trueb. False

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Hi there! The statement "A chattel mortgage is an instrument that gives lenders title to movable personal property in the event of default" is a. True.

A chattel mortgage is a type of loan agreement in which the borrower grants the lender a security interest in their movable personal property, such as vehicles, machinery, or equipment. The borrower retains possession and use of the property, but the lender has the right to take ownership and sell it if the borrower defaults on the loan. This arrangement provides the lender with security for the loan, reducing their risk and enabling them to offer more favorable terms to the borrower.

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suppose that in the economy the level of capital is 500 units, the depreciation rate is 4%, and the level of investment is 20 units. in this case:

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In this case, the economy has a level of capital of 500 units, which means that there are 500 units of physical assets (such as buildings, equipment, and infrastructure) that can be used to produce goods and services.

However, there is also a depreciation rate of 4%, which means that each year, 4% of the value of these assets is lost due to wear and tear, obsolescence, and other factors.

If the level of investment is 20 units, this means that businesses and individuals are adding 20 units of new capital to the economy each year. However, this investment may not be enough to fully offset the depreciation of existing capital. For example, if the value of the existing capital is $1000, the depreciation rate is 4%, and the level of investment is $20, then the amount of depreciation in one year would be $40 (4% of $1000), while the amount of new investment would be only $20. This would result in a net loss of $20 in the value of the capital stock.

Overall, the relationship between the level of capital, the depreciation rate, and the level of investment is important for understanding how an economy grows and develops over time. If the investment is high enough to offset depreciation, the economy can continue to expand and improve its productivity. However, if the investment is too low, the economy may experience a decline in its physical capital stock, which can lead to lower levels of output, income, and standard of living.

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Suppose that Cleveland Co. engages in international business, with transactions denominated in four different foreign currencies: the euro, the Canadian dollar, the Australian dollar, and the Mexican peso. The company wishes to measure its cash flows in a single currency, the dollar, over the next quarter. The following table shows the total cash inflows and outflows for each currency, along with the expected exchange rate for that currency. For each row in the table, enter the net inflow or outflow in that currency for the MNC. Then, enter the dollar value of that inflow or outflow in the last column of the table. Note: Remember to enter a negative sign if a value is negative. Total Net Inflow or Total Inflow (Millions) Outflow Outflow (Millions) Expected Exchange Rate Net Inflow or Outflow, In Dollars (Millions) Currency (Millions) Euro 22 euros 16 euros euros $1.50 $ Canadian Dollar $C20 $C10 C$ $0.70 $ Australian Dollar $A10 $A20 A$ $0.50 $ Mexican peso 20 pesos 30 pesos peso $0.10 Grade Step 1 TOTAL SCORE: 0/2 (to complete this step and unlock the next step)

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The total net inflow for the quarter is $8 million ($9M + $10M - $10M - $1M), indicating a positive cash flow for Cleveland Co. in its international business transactions.

Cleveland Co. is engaging in international business with transactions in four foreign currencies: euro, Canadian dollar, Australian dollar, and Mexican peso. To measure its cash flows in a single currency, the company wishes to convert all inflows and outflows to dollars over the next quarter.

Using the exchange rates provided, we can calculate the net inflow or outflow for each currency and its dollar value.

For the euro, the net inflow is 6 euros, which equals $9 million (6 x 1.50). For the Canadian dollar, the net inflow is $10 million ($C20 - $C10), and for the Australian dollar, the net outflow is $10 million ($A10 - $A20). Finally, for the Mexican peso, the net outflow is 10 pesos, which equals $1 million (10 x 0.10).

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When Acme Dynamite produces 200 units of output, its variable cost is $3,000, and its fixed cost is $500. It sells each unit of output for $30. When Acme Dynamite produces 200 units of output, its profit is A. $2,000 B. $6,000 C. S2,500 D. $3,000 bute

Answers

The profit when producing 200 units is C)$2,500

To calculate the profit, we first need to find the total revenue and total variable cost.

Total revenue = Selling price per unit x number of units produced

Total revenue = $30 x 200 = $6,000

Total variable cost = Variable cost per unit x number of units produced

Total variable cost = $3,000

Total fixed cost = $500

Total cost = Total variable cost + Total fixed cost

Total cost = $3,000 + $500 = $3,500

Profit = Total revenue - Total cost

Profit = $6,000 - $3,500 = $2,500

Therefore, the profit when producing 200 units is C)$2,500.

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Various product-rating organizations such as government agencies and TV "consumer programs" are called

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Various product-rating organizations such as government agencies and TV "consumer programs" are called public sources.

A rating agency is a business that looks at a company's or government agency's ability to pay their debts in full, including principal and interest. The rating doled out to a given obligation shows an organization's degree of certainty that the borrower will respect its obligation commitments as concurred.

Customers' purchasing decisions can be influenced by online product reviews. Real-world customer feedback can provide insight into how a product or service performs in real life. Businesses may be able to develop marketing strategies that are more effective thanks to customer reviews left online.

Public sources :

Government departments, business departments at public libraries, and so on are examples of these, and they are frequently free and frequently provide a lot of useful information.

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Give an example of the most recent fiscal policy action, if any,by the US Government agency such as the Federal Reserve's Monetarypolicy action.

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The most recent fiscal policy action taken by the US government agency is the passage of the American Rescue Plan Act in March 2021. This act provided $1.9 trillion in economic relief, including direct payments to individuals, extended unemployment benefits, aid to small businesses, funding for vaccines and COVID-19 testing, and support for state and local governments.

The Federal Reserve's most recent monetary policy action was in June 2021, where they maintained their target interest rate range of 0-0.25% and continued their asset purchase program to support the economy during the ongoing COVID-19 pandemic.  A recent example of a fiscal policy action taken by the US government is the American Rescue Plan Act, signed into law in March 2021. This $1.9 trillion economic relief package aimed to combat the negative impacts of the COVID-19 pandemic by providing direct payments to individuals, extending unemployment benefits, and allocating funds for small businesses, schools, and vaccine distribution. The Federal Reserve's monetary policy actions are separate from fiscal policy, as they involve adjusting interest rates and controlling the money supply to influence the economy.

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A difficult and relatively infrequent type of policy analysis that systematically examines conflicts and concerns about policy alternatives from the standpoint of values and rights is referred to as ______.

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A difficult and relatively infrequent type of policy analysis that systematically examines conflicts and concerns about policy alternatives from the standpoint of values and rights is referred to as policy analysis.

Policy analysis is a methodical and organised manner to assess issues, alternative policies, or the efficiency of government initiatives. In order to use policy analysis to find workable solutions to your problems, you must first compare potential options to ascertain.

Which is the most sensible, economical, and efficient option. By conducting a policy analysis, you may be certain that you followed a rigorous process to choose the policy choice that might be the best fit for your situation. Decisions and outcomes in public administration are influenced by social, economic, and political considerations. For people working in public administration to create, adopt, and put into practise policies that have the most advantageous outcomes, they must be familiar with the notion of policy analysis.

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Review the case: Production and Cost in the Fast-Food Industryand then describe how managers in 2021 and beyond might leveragetechnology to increase profitability in this industry.

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Managers in 2021 and beyond can leverage technology to increase profitability in the fast-food industry. For example, they can use automation to streamline the production process and reduce manual labor costs.

Additionally, they can use mobile ordering platforms to reduce wait times and increase customer satisfaction. They can also leverage AI-powered analytics to identify customer preferences and target promotions that are tailored to their needs.

Moreover, they can use digital marketing campaigns to reach more potential customers and use customer data to optimize their pricing.

Lastly, they can use robotics to reduce food waste and improve efficiency in the kitchen. By leveraging technology, managers can find ways to increase profitability and stay competitive in the fast-food industry.

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which statement best describes how the cash flow statement differs from the income statement? the income statement records sales and expenses when they happen, not when cash is actually exchanged. the cash flow statement records cash inflows and outflows when they actually occur. the income statement records income, as it comes in, while the cash flow statement records cash from sales. the income statement keeps track of cash when sales are made. the cash flow statement keeps track of cash after sales are made. the cash flow statement also includes the current market value of assets.

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The statement that best describes how the cash flow statement differs from the income statement is: "The cash flow statement records cash inflows and outflows when they actually occur."

While the income statement records revenues and expenses when they are incurred, regardless of whether cash has actually been exchanged, the cash flow statement focuses solely on the movement of cash in and out of the business during a specific period of time. It does not include non-cash items such as depreciation or current market values of assets.

What is cash flow statement?

A cash flow statement is a financial statement that provides information on how much cash and cash equivalents a company generates and uses over a specific period. It shows the inflows and outflows of cash resulting from the company's operating, investing, and financing activities. The cash flow statement is an important tool for investors and analysts to evaluate a company's financial health and cash management.

What is an income statement ?

An income statement, also known as a profit and loss statement, is a financial statement that summarizes a company's revenues, expenses, gains, and losses over a specific period of time, such as a quarter or a year. The statement shows the company's net profit or loss by subtracting its expenses and losses from its revenues and gains. The income statement helps investors and analysts evaluate a company's profitability and its ability to generate income.

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Complete question is: "The cash flow statement records cash inflows and outflows when they actually occur." statement best describes how the cash flow statement differs from the income statement.

Problem #3 Thinking about TAM (university) as an educational institution, give at least one example of vertical integration that is currently taking place or one that TAM (university) could take advantage of. Be specific in your answer.

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An example of vertical integration that TAM University could take advantage of is by expanding their operations to include not only higher education but also primary and secondary education levels. This would involve establishing a network of schools that feed into TAM University, creating a seamless educational experience for students.

Step 1: Establish primary and secondary schools, TAM University can start by opening primary and secondary schools, either through the acquisition of existing institutions or by creating new ones from scratch. These schools should follow a curriculum aligned with the university's goals and standards.

Step 2: Create a seamless educational pathway, By having a consistent curriculum across all levels of education, TAM University ensures that students are adequately prepared for their university experience. This integration allows for a smoother transition and better academic performance.

Step 3: Enhance collaboration between different educational levels, Vertical integration enables better collaboration between the university and primary/secondary schools. This collaboration can include teacher training programs, joint research projects, and shared resources, leading to improved overall educational quality.

Step 4: Strengthen the university's brand and reputation, By extending its educational offerings, TAM University can strengthen its brand and reputation. Parents and students will perceive it as a comprehensive, high-quality educational institution, attracting more applicants and further enhancing its status in the academic world.

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Using the _____ would be least expensive for the borrower when determining the total amount to be paid to the lender.a. simple interest methodb. add-on interest methodc. discount methodd. sum-of-the-digits methode. average loan balance method

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Using the a) simple interest method would be least expensive for the borrower when determining the total amount to be paid to the lender.

This method calculates interest on the principal amount alone, rather than including the interest that has already accumulated. As a result, the borrower pays less overall compared to other methods such as add-on interest, discount method, sum-of-the-digits method, and average loan balance method.

The add-on interest method involves adding the total interest to the principal and then dividing the sum by the number of payments. The discount method involves subtracting the interest from the principal and then paying back the loan in equal installments. The sum-of-the-digits method allocates interest charges based on a fraction, with the denominator equal to the sum of the digits in the number of payments. Finally, the average loan balance method calculates interest on the remaining balance of the loan, which decreases over time.

In summary, the simple interest method is the least expensive for the borrower because it only charges interest on the initial principal amount, resulting in lower overall payments.

Therefore, the correct answer is a. simple interest method.

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