in an open economy, the source for the demand for loanable funds is question 21 options: national saving. national saving net capital outflow. domestic investment. domestic investment net capital outflow.

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Answer 1

The national saving net capital outflow. In an open economy, national saving and net capital outflow determine the source of demand for loanable funds.

National saving refers to the total income of an economy that is not consumed and is instead saved. Net capital outflow refers to the difference between the amount of capital leaving and entering an economy. Together, national saving and net capital outflow determine the amount of funds available for investment in an economy and thus the demand for loanable funds.

In an open economy, loanable funds are demanded for two primary purposes: 1) domestic investment, which refers to the spending on capital goods within the country, and 2) net capital outflow, which represents the difference between domestic residents' purchases of foreign assets and foreign residents' purchases of domestic assets. These two factors combine to form the overall demand for loanable funds in an open economy.

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Related Questions

given that income is $500 and Px = $20 and Py = $5 what is the market rate of substitution between goods X and Y?
a. 100
b. -4
c. -20
d. 25

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To find the market rate of substitution between goods X and Y, given that income is $500, Px = $20, and Py = $5, we need to calculate the ratio of the prices of the two goods. The market rate of substitution between goods X and Y is -4.

Step 1: Write down the prices of goods X and Y
Px = $20
Py = $5
Step 2: Calculate the ratio of the prices
Market rate of substitution = (Px / Py)
Step 3: Substitute the values into the formula
Market rate of substitution = ($20 / $5)
Step 4: Calculate the result
Market rate of substitution = 4
However, the market rate of substitution is usually expressed as a negative number to indicate that you're giving up one good in exchange for the other. Therefore, the correct answer is:
b. -4

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After six years of success in terms of some benchmarks, MillerCoors, the joint venture between Molson Coors and SABMiller, is having trouble. Why is it struggling after such a promising beginning?b. It was unable to create economies of scale.c. It has not increased market shares for two of its important products.d. It has not been able to get products to market in a timely manner.a. It has not been able to substantially reduce costs.

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After six years of success, it appears that the most likely reason for the joint venture between Molson Coors and SABMiller, MillerCoors', current struggles after such a promising beginning is that it has not been able to substantially reduce costs. Thus, the correct answer is option a.

While the joint venture initially showed promise and success in some benchmarks, the inability to create economies of scale and increase market shares for important products may also be contributing factors. However, the option stating that MillerCoors has not been able to get products to market in a timely manner does not seem to be directly related to the issue of the company's current struggles. Thus, the most likely cause is that the venture has not been able to substantially reduce costs. Option a is correct.

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Macaulay’s duration is less than the modified duration except for:a . Zero-coupon bonds.b. Premium bonds.c. Bonds selling at par value.d. None of the above.

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Macaulay's duration measures the weighted average time until a bond's cash flows are received, while modified duration measures the price sensitivity of a bond with respect to changes in interest rates. The correct answer is a. Zero-coupon bonds

For zero-coupon bonds, there are no coupon payments, and the bond's entire cash flow is received at maturity.

In this case, Macaulay's duration is equal to the bond's time to maturity. Since there are no cash flows before maturity, the modified duration is also equal to the time to maturity. Thus, for zero-coupon bonds, Macaulay's duration is the same as the modified duration. In all other cases (premium bonds, bonds selling at par value), Macaulay's duration is less than the modified duration.

The correct answer is a. Zero-coupon bonds.

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The next dividend payment by Hoffman, Inc. , will be $2. 65 per share. The dividends are anticipated to maintain a growth rate of 4. 5 percent forever. If the stock currently sells for $43. 15 per share, what is the required return

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The required return is 10.62% for Hoffman, Inc. 

The Gordon Growth Model, also known as the dividend discount model, is a method used to calculate the intrinsic value of a stock based on its expected future dividends. The model assumes that the stock's price is equal to the present value of all its future dividends, discounted at the required rate of return.

We can use the Gordon Growth Model to solve for the required return:

$P_0 = D_1/(r - g)$

where:

P0 = current stock price = $43.15

D1 = next year's dividend = $2.65

g = constant growth rate = 4.5%

r = required return

Plugging in the values:

$43.15 = $2.65/(r - 0.045)$

$43.15(r - 0.045) = $2.65$

$43.15r - $1.94 = $2.65$

$43.15r = $4.59$

$r = 10.62%$

Therefore, the required return is 10.62%.

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Assume that hot dog and hot dog buns are complementary goods. If the price of hot dogs falls, all else constant, then this will cause
a.) a decrease in the demand for hot dogs.
b.)an increase in the quantity demanded for hot dogs.
c.) a decrease in the demand for hot dog buns.
d.) an increase in the demand for hot dogs.
an increase in the demand for hot dogs.

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asked about the effect of a decrease in the price of hot dogs, assuming hot dogs and hot dog buns are complementary goods. When the price of hot dogs falls, all else constant, this will cause:

b.) an increase in the quantity demanded for hot dogs.

Complementary goods are products that are often used together. If the price of one complementary good decreases, it leads to an increase in the quantity demanded for that good, as more people are likely to buy it at the lower price. This, in turn, can potentially increase the demand for the other complementary good (in this case, hot dog buns), as people will need the other product to go along with their purchase.

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The HR Professional can make updates to all of the Member's KSBs upon request from the Member without any other approvals. (True or False)

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False. As an HR professional, it is essential to maintain a balance between the needs of the members and the organization's requirements.

While an HR professional can assist with updating a member's Knowledge, Skills, and Abilities (KSBs), it is important to ensure that any changes align with the organization's goals and adhere to any relevant policies or procedures.

In many cases, approvals from higher-level management or supervisors might be required to ensure the updates are appropriate and beneficial to both the member and the organization. This is to maintain the integrity of the performance management process, as well as to guarantee that the members' KSBs remain relevant to their job roles and responsibilities.

In summary, while HR professionals play a vital role in supporting members with their KSBs, they should not make updates without considering the potential implications and obtaining necessary approvals from the relevant stakeholders. This ensures a consistent and structured approach to performance management and overall organizational success.

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2. The seller of an DEF Jan 50 call is covered by all of the following EXCEPT:
A long 100 shares of DEF stock
B long an escrow receipt for 100 shares of DEF stock
C long 1 DEF Feb 40 Call
D long $5,000 of cash in the account

Answers

The seller of a DEF Jan 50 call is covered by A, B, and D, but not C. Which is A long 100 shares of DEF stock B long an escrow receipt for 100 shares of DEF stock and D.


Reasons:

A) If the seller of the call is long 100 shares of DEF stock, they can use those shares to fulfill their obligation if the option is exercised.
B) If the seller of the call is long an escrow receipt for 100 shares of DEF stock, they have already set aside the shares needed to fulfill their obligation if the option is exercised.
C) If the seller of the call is long 1 DEF Feb 40 call, this does not provide coverage for the Jan 50 call they sold. These are two separate options with different strike prices and expiration dates.
D) If the seller of the call is long $5,000 of cash in the account, they can use this cash to purchase the shares needed to fulfill their obligation if the option is exercised.

A, B, andD provide some form of coverage for the seller of the call option, while having cash in the account does not specifically cover the obligations of the call option.

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why is the term direct costing a misnomer?

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The term direct costing is a misnomer because it implies that only direct costs are allocated to the product or service being produced.

However, this is not always the case. In reality, many indirect costs, such as administrative expenses, marketing expenses, and even some manufacturing costs, are also allocated to products or services.

Furthermore, the costs allocated are often based on estimates and assumptions, and not always on actual costs. Therefore, direct costing is a misnomer because it implies that only direct costs are allocated to the product or service being produced, when in reality it is often much more than that.

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• if you had five minutes with tim cook, what advice would you offer?

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If I had five minutes with Tim Cook, I would advise him to continue focusing on innovation, prioritizing customer experience, and promoting sustainability in Apple's products and operations.

If I had five minutes with Tim Cook, I would advise him to continue prioritizing sustainability and environmental initiatives within Apple's operations and products. As a leader of one of the world's largest tech companies, he has the power to make a significant impact on the planet. I would also encourage him to invest in diverse talent and prioritize inclusivity within the company culture. Finally, I would suggest that Apple continue to push the boundaries of innovation while remaining mindful of ethical considerations and social responsibility.

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When would an agent who breaches his or her agreement be liable for a breach of implied warranty? Multiple Choice When the principal is undisclosed. When the principal is partially disclosed. When the principal is disclosed. When the principal is disclosed or partially disclosed. When the principal is partially undisclosed. Next >

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An agent who breaches his or her agreement be liable for a breach of implied warranty.When the principal is disclosed or partially disclosed.

In an agency relationship, the agent is responsible for performing their duties in accordance with the agreement and in good faith. If the agent breaches this duty, they may be liable for a breach of implied warranty to the principal. This applies regardless of whether the principal is disclosed or partially disclosed.An implied warranty is an unwritten promise made by the agent to the principal in which the agent warrants that he or she will act with reasonable care, skill, and diligence when performing the agreed-upon task. This warranty is based on the agency relationship, which requires that an agent act in the best interest of the principal.

When an agent breaches his or her agreement, it means that the agent fails to perform his or her duty to the principal. In such a case, the principal can hold the agent liable for any damages resulting from the breach. The liability for a breach of implied warranty arises regardless of whether the principal is disclosed, partially disclosed, or undisclosed.

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It has been said that quality management is really a "people" system, more than a technical system. If this is true...what conditions must first be in place for a firm to be successful with quality management?

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To be successful with quality management, which is considered more of a "people" system than a technical system, a firm must have the following conditions in place:

1. Clear communication of goals and expectations: Employees should understand the quality standards expected of them and how their work contributes to the organization's overall success.

2. Employee involvement and empowerment: In a successful quality management system, employees are involved in decision-making processes and are given the authority to make changes to improve the quality of products or services.

3. Training and development: Employees must receive adequate training to develop the skills necessary for maintaining and improving quality standards.

4. Supportive leadership: Leaders should provide guidance, support, and resources for employees to succeed in their quality management efforts.

5. Recognition and rewards: Employees should be acknowledged and rewarded for their contributions to the organization's quality management initiatives.

6. Continuous improvement: A firm should be committed to continually evaluating and improving its processes, products, and services to ensure that it is always meeting or exceeding customer expectations.

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Place the components of a homeostatic control system in order, from first to last. A. Homeostatic challenge. B. sensor. C. integrator. D. effector. E. response.

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The correct order of the components of a homeostatic control system, from first to last, is:

A. Homeostatic challenge
B. Sensor
C. Integrator
D. Effector
E. Response


In this process, the homeostatic challenge is the first step, which causes the sensor to detect changes in the internal or external environment.

The sensor then sends this information to the integrator, which compares it to the set point for the system.

The integrator then sends a signal to the effector, which produces a response that counteracts the initial challenge and brings the system back to its set point.

The final step is the response, which is the action taken by the effector to restore homeostasis.

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assume that belgium, one of the european countries that uses the euro as its currency, would prefer that its currency depreciate against the u.s. dollar. can it apply central bank intervention to achieve this objective?

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Yes, Belgium can apply central bank intervention to try to achieve a depreciation of its currency against the U.S. dollar. Central bank intervention involves buying or selling currency in the foreign exchange market in order to influence the exchange rate.

While central bank intervention can influence exchange rates in the short term, its effectiveness in achieving a long-term depreciation of the currency is limited. This is because currency values are determined by a variety of factors, including economic fundamentals and market sentiment, and central bank intervention alone cannot override these underlying factors.

Additionally, deliberate currency manipulation can lead to unintended consequences, such as inflation or trade tensions with other countries. Therefore, most central banks prefer to use monetary policy tools, such as adjusting interest rates, to achieve their economic objectives rather than relying solely on currency intervention.

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Suppose a chemical company is in a perfectly competitive industry and has a short run total cost curve ofTC =
9 +592 +10 +10and a short run marginal cost of SMC = q2 + 10q + 10. At the price of 49, how much will be produced?

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At the price of $49, the output level that will be produced by the firm to maximizes profit is 19 units.

It is given that the output produced by a chemical company in a perfectly competitive industry with a short run total cost curve (TC) of TC = q^2 + 10q + 100 and a short run marginal cost (SMC) of SMC = 2q + 10.

To determine the output at a price of $49, follow these steps:

1: In a perfectly competitive market, the firm will produce at the level where its marginal cost (MC) equals the market price (P). So, set the SMC equal to the given price:

2q + 10 = 49

2: Solve the equation for q (output level):

2q = 49 - 10

2q = 39

q = 19.5

Since output must be a whole number, the company will produce either 19 or 20 units. To find the most profitable output level, we need to compare the profit at both output levels.

3: Calculate total cost (TC) and total revenue (TR) at both output levels:

For q = 19:

TC = 19^2 + 10*19 + 100 = 661

TR = P*q = 49*19 = 931

Profit = TR - TC = 931 - 661 = 270

For q = 20:

TC = 20^2 + 10*20 + 100 = 900

TR = P*q = 49*20 = 980

Profit = TR - TC = 980 - 900 = 80

The output level that maximizes profit is 19 units, as the profit at that level ($270) is greater than the profit at 20 units ($80). Therefore, the chemical company will produce 19 units of output at the price of $49.

Note: The question is incomplete. The complete question probably is: Suppose a chemical company is in a perfectly competitive industry and has a short run total cost curve of TC = q^2 + 10q + 100, and a short run marginal cost of SMC = 2q + 10. At the price of $49, how much output will be produced by the firm.

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compute the present value of a perpetuity that pays $10,329 annually given a required rate of return of 8 percent per annum.

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To compute the present value of a perpetuity that pays $10,329 annually given a required rate of return of 8 percent per annum, we can use the formula:

Present Value = Annual Payment / Required Rate of Return
Substituting the values given in the question, we get:
Present Value = $10,329 / 0.08
Solving this equation, we get:
Present Value = $129,112.50


Therefore, the present value of the perpetuity is $129,112.50.
To compute the present value of a perpetuity that pays $10,329 annually with a required rate of return of 8 percent per annum, you can use the perpetuity formula:

Present Value = Annual Payment / Required Rate of Return
In this case:
Present Value = $10,329 / 0.08
Present Value = $129,112.50.

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A project's critical path is ABDE. The project activity information (in weeks) are as follows. Assume the project finish time follows a normal distribution. Activity A B C D E F Expected FT 8 7 5 6 3 4 Variance 4 5 2 6 2 2 If the project deadline is set to be 26 weeks, then what is the z-value to determine the probability that the project will be finished before the given deadline? Numbers only. Keep 3-decimal if not exact, either round up or down is ok.______

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The z-value to determine the probability that the project will be finished before the given deadline is 0.63.

To determine the z-value, we need to calculate the project's expected finish time (EFT) and its standard deviation (SD).

The EFT of the critical path is the sum of the expected times of the activities on the critical path,

which is:
EFT = 8 + 7 + 6 + 3 = 24 weeks

The SD of the critical path is the square root of the sum of the variances of the activities on the critical path, which is:

SD = sqrt(4 + 5 + 6 + 2) = 3.16 weeks

To find the z-value,

we use the formula:
z = (deadline - EFT) / SD
Substituting the values,

we get:
z = (26 - 24) / 3.16 = 0.63

Therefore, the z-value to determine the probability that the project will be finished before the given deadline is 0.63.

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if there are 100 identical firms in this market, what level of output will be supplied to the market when the price is $100?

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The total quantity supplied by all firms will equal the quantity demanded by consumers at that price.

If there are 100 identical firms in the market, the level of output supplied will depend on the market equilibrium. When the price is $100, each firm will evaluate their production costs and determine if it is profitable to produce at that price. If their production costs are below $100, they will supply output to the market.

If their production costs are above $100, they will not supply output to the market as it would not be profitable for them. Assuming all 100 firms have similar production costs, the level of output supplied to the market will be equal to the market demand at a price of $100. If the market demand is high, then the level of output supplied will also be high. If the market demand is low, then the level of output supplied will also be low. The market equilibrium will determine the level of output supplied by these 100 identical firms.

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you deposit $819 in a savings account and one year later you have $825. at the same time, the cpi increases from 229.96 to 241.77. The nominal interest rate is % and the real interest rate is %.
Enter whole numbers.
Bill’s nominal income in 1990 was $1009 per month. The CPI had a value of 141 in 1990 and had a value of 193 in 2017. What is Bill’s real income in 1990, measured in base year dollars? Enter a number rounded to two decimal places with no dollar sign.
Bill’s nominal income in 1990 was $1322 per month. The CPI had a value of 155 in 1990 and had a value of 228 in 2017. What is Bill’s real income in 1990, measured in 2017 dollars? Enter a number rounded to two decimal places with no dollar sign.

Answers

The nominal interest rate is 0.73% and the real interest rate is -6%.

In 2017 dollars, his real income is $1,046.26.

To find the nominal and real interest rates, first calculate the nominal interest rate using the formula: (final amount - initial amount) / initial amount * 100. Then, adjust for inflation using the formula: real interest rate = [(1 + nominal interest rate) / (1 + inflation rate)] - 1.


1. Calculate the nominal interest rate: (825 - 819) / 819 * 100 = 0.73%.
2. Calculate the inflation rate: (241.77 - 229.96) / 229.96 * 100 = 5.13%.
3. Calculate the real interest rate: [(1 + 0.0073) / (1 + 0.0513)] - 1 = -0.060, or -6%.

For Bill's real income in 1990, use the formula: real income = nominal income / (CPI_base year / CPI_year).


1. Convert 1990 CPI to 2017 base year: 155 / 228 = 0.6798.
2. Calculate real income: $1,322 / 0.6798 = $1,046.26.

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While the average compensation at eGS is close to $ 99,000 nearly $22,000 of that consists of benefit costs T or F

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True. While the average compensation at eGS is close to $99,000, nearly $22,000 of that consists of benefit costs.
True, based on the information provided, the average compensation at eGS is close to $99,000, and nearly $22,000 of that consists of benefit costs.

Compensation refers to the total amount of money and benefits that an employee receives in exchange for their work. It includes not only the employee's salary or hourly wage, but also bonuses, commissions, stock options, retirement plans, and health insurance. The average compensation varies widely depending on the industry, the job position, and the location. According to data from the Bureau of Labor Statistics, the average weekly earnings for all workers in the United States was $1,050 as of the first quarter of 2021. However, the average weekly earnings for workers in management, professional, and related occupations was $1,528. In addition to salary, many companies offer other forms of compensation, such as bonuses or profit-sharing plans. The size and type of benefits offered can also vary widely. For example, some companies offer generous retirement plans or health insurance, while others may offer less comprehensive benefits.

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Smitty, driving while intoxicated, causes a car accident that results in the death of Tiffany. Smitty is arrested and charged with a felony. A felony is a crime punishable by death or imprisonment for a. any period of time. b. more than one year. c. more than six months. d. more than ten days.

Answers

A felony is a crime punishable by death or imprisonment for more than one year. Thus, Option B is correct.

In the United States, crimes are divided into two main categories: misdemeanors and felonies. Misdemeanors are less serious crimes that are punishable by up to one year in jail, while felonies are more serious crimes that are punishable by more than one year in prison. In this case, Smitty is charged with a felony because he caused a death while driving under the influence of alcohol, which is a serious crime.

If Smitty is found guilty of the felony charge, he could face a significant amount of time in prison. The length of his sentence will depend on a variety of factors, including the specific circumstances of the crime, Smitty's criminal history, and the discretion of the judge. Regardless of the length of his sentence, Smitty's actions have had a profound and tragic impact on Tiffany's family and loved ones.

Option B holds true.

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If we add together all the gains from specialization and division of labor through international trade and then subtract all the losses, the net result would be a. Zero: the gains and losses would cancel out. b. Positive: a net gain for the world and each country, c. Negative: a net loss for the world and each country. d. Impossible to tell the net result could be zero, positive, or negative.

Answers

The net result of gains and losses from specialization and division of labor through international trade is positive, leading to benefits for the world and each participating country. The correct answer is option b.


When countries engage in international trade, they can specialize in the production of goods and services in which they have a comparative advantage. Specialization and division of labor lead to more efficient production, as resources are allocated where they can be used most effectively. This results in an overall increase in productivity and output for all participating countries.



In addition, international trade allows countries to access a wider variety of goods and services at lower prices, benefiting consumers. Trade also promotes economic growth, job creation, and technological advancements through the exchange of ideas and innovation.


While it's true that some industries or workers might experience losses due to increased competition or shifts in production, the overall gains from trade generally outweigh these losses. Policies and initiatives, such as worker retraining programs and social safety nets, can be implemented to mitigate the negative impacts on those affected. The correct answer is option b.

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Advantages of budgeting include ______.
O providing lead time to solve potential problems
O providing benchmarks for evaluating performance
O forcing managers to think about and plan for the future
O promoting cooperation and coordination among different areas within the organization

Answers

The advantages of budgeting are numerous and include providing lead time to solve potential problems.Option A


One of the primary advantages of budgeting is that it provides a roadmap for an organization to follow. By establishing clear goals and targets, budgeting helps organizations to focus their efforts and prioritize their resources. This, in turn, can lead to more effective decision-making and better overall performance.

Another advantage of budgeting is that it provides a framework for evaluating performance. By comparing actual results to budgeted expectations, managers can identify areas where they are falling short and take corrective action. This can help to ensure that the organization is operating at its highest level of efficiency and effectiveness.

Budgeting also helps to promote cooperation and coordination among different areas within the organization. By establishing a clear set of goals and targets, budgeting encourages different departments to work together towards a common goal. This can help to break down silos within the organization and promote a more collaborative and cohesive working environment.

Finally, budgeting forces managers to think about and plan for the future. By anticipating future challenges and opportunities, managers can develop strategies and plans to help the organization succeed in the long term. This can help to ensure that the organization remains competitive and sustainable over time.

In summary, budgeting provides numerous advantages for organizations, including providing lead time to solve potential problems, providing benchmarks for evaluating performance, forcing managers to think about and plan for the future, and promoting cooperation and coordination among different areas within the organization.

By establishing a clear set of goals and targets, budgeting helps organizations to focus their efforts and prioritize their resources, which can lead to better overall performance and more effective decision-making. Option A is correct.

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An industry consists of four firms with annual sales of $3,000, $5,000, $4,000, and $6,000. What is the industry's HHI? Multiple Choice 1,659 2,654. 10,000.

Answers

Industry's HHI is 2,654. The coorect answer is option B.

The Herfindahl-Hirschman Index (HHI) is a commonly used measure of market concentration. It is calculated as the sum of the squared market shares of all firms in an industry, where market shares are defined as the ratio of each firm's sales to the total sales of all firms in the industry. Mathematically, the HHI formula is:

[tex]$$HHI = \sum_{i=1}^n s_i^2 \times 10000$$[/tex]

where[tex]$n$[/tex] is the number of firms in the industry and [tex]$s_i$[/tex] is the market share of firm [tex]$i$[/tex].

In this particular industry, there are four firms with annual sales of $3,000, $5,000, $4,000, and $6,000. Therefore, the total sales of the industry are $3,000 + $5,000 + $4,000 + $6,000 = $18,000. The market shares of the four firms are:

[tex]$$s_1 = \frac{3000}{18000} = 0.1667,$$[/tex]

[tex]$$s_2 = \frac{5000}{18000} = 0.2778,$$[/tex]

[tex]$$s_3 = \frac{4000}{18000} = 0.2222,$$[/tex]

[tex]$$s_4 = \frac{6000}{18000} = 0.3333.$$[/tex]

Using these market shares in the HHI formula, we get:

[tex]$$HHI = (0.1667^2 + 0.2778^2 + 0.2222^2 + 0.3333^2) \times 10000 = 2654$$[/tex]

Therefore, the HHI of this industry is 2654. This value falls below the threshold of 2500, which indicates a moderately concentrated market.

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You own 200 shares of Shapard Resources preferred stock, which currently sells for $39 per share and pays annual dividends of $3.75 per share. a. What is your expected return? b. If you require a return of 11 percent, given the current price, should you sell or buy more stock? a. Your expected return is percent.

Answers

About Shapard Resources preferred stock, the stock may not meet your return requirement, and you may want to consider selling the stock or looking for alternative investments that provide: a return closer to or higher than 11 percent.

a. To calculate your expected return, first find the dividend yield, which is the annual dividend divided by the current share price. In this case, the annual dividend is $3.75 per share, and the current share price is $39 per share.

Dividend Yield = (Annual Dividend / Current Share Price) * 100


Dividend Yield = ($3.75 / $39) * 100


Dividend Yield ≈ 9.62 percent

So, your expected return on Shapard Resources preferred stock is approximately 9.62 percent.

b. If you require a return of 11 percent, you should compare this required return to the expected return calculated above. In this case, the expected return (9.62 percent) is lower than the required return (11 percent).

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Complete question:

You own 200 shares of Shapard Resources preferred stock, which currently sells for $39 per share and pays annual dividends of $3.75 per share.

a. What is your expected return?

b. If you require a return of 11 percent, given the current price, should you sell or buy more stock?

a. Your expected return ___ is percent.

Walton Corporation sells products for $33 each that have variable costs of $14 per unit. Walton's annual fixed cost is $429,400 Required Use the per-unit contribution margin approach to determine the break-even point in units and dollars. Break-even point in units Break-even point in dollars

Answers

Sure, let's solve this problem using the per-unit contribution margin approach.

First, let's calculate the contribution margin per unit. We know that the unit selling price is $33 and the unit variable cost is $14, so the contribution margin per unit is:

$33 - $14 = $19

Next, we can use the contribution margin per unit to calculate the break-even point in units:

Break-even point in units = Fixed costs ÷ Contribution margin per unit
Break-even point in units = $429,400 ÷ $19
Break-even point in units = 22,600 units

So, Walton Corporation needs to sell 22,600 units to break even.

To calculate the break-even point in dollars, we can simply multiply the break-even point in units by the unit selling price:

Break-even point in dollars = Break-even point in units x Unit selling price
Break-even point in dollars = 22,600 units x $33
Break-even point in dollars = $745,800

Therefore, Walton Corporation needs to sell 22,600 units or generate $745,800 in sales to break even.

\ Table 7-16 uantity uantity emanded Supplied ice 12.00 36 $10.00 30 8.00 24 6.00 18 4.00 12 12 2.00 15 $0.00 18 Refer to Table 7-16. Both the demand curve and the supply curve are straight lines. If the price is $4 but only 6 units are bought and sold, producer surplus will be $16 $18 $24 $26

Answers

Based on Table 7-16 and the given information, let's calculate the producer surplus when the price is $4 but only 6 units are bought and sold.

Step 1: Identify the equilibrium price and quantity.
In this case, the equilibrium price is $4, and the equilibrium quantity is 12 units.

Step 2: Determine the supply quantity at the given price of $4.
According to the table, at a price of $4, the quantity supplied is 12 units.

Step 3: Since only 6 units are bought and sold, we need to find the price at which the quantity supplied is 6.
Based on the given information, we can estimate that at a price of $2, the quantity supplied is around 6 units.

Step 4: Calculate the producer surplus.
Producer surplus is the area between the supply curve and the price level up to the quantity bought and sold. In this case, it is the area of the triangle with a base of 6 units (12 units - 6 units) and a height of $2 ($4 - $2).

Producer Surplus = (Base x Height) / 2
Producer Surplus = (6 x $2) / 2
Producer Surplus = $12 / 2
Producer Surplus = $6

However, none of the provided options ($16, $18, $24, or $26) match the calculated producer surplus of $6. Please check the table or the question for any discrepancies.

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you borrowed $2,500 at 9.2 percent compounded annually. your payments are $500 at the end of each year. how many years will you make payments on the loan?

Answers

The number of years it will take for you to make payments on the $2,500 loan at an interest rate of 9.2% is 8 years.

To calculate the number of years you will make payments on the loan, you need to use the formula for the future value of an annuity.

FV = Pmt x [(1 + r)^n - 1] / r

Where FV is the future value of the annuity (the total amount you will pay back), Pmt is the payment amount ($500), r is the interest rate per period (9.2% per year), and n is the number of periods (the number of years you will make payments).

Since the loan is compounded annually, we will use years as the unit of time.

We know that the loan amount is $2,500, so we can use that as the present value (PV) of the annuity.

PV = $2,500

Using the formula, we can solve for n:

$2,500 = $500 x [(1 + 0.092)^n - 1] / 0.092

Simplifying this equation, we get:

5 = (1.092^n - 1) / 0.092

Multiplying both sides by 0.092, we get:

0.46 = 1.092^n - 1

Adding 1 to both sides, we get:

1.46 = 1.092^n

Taking the natural logarithm of both sides, we get:

ln(1.46) = n x ln(1.092)

Dividing both sides by ln(1.092), we get:

n = ln(1.46) / ln(1.092)

Using a calculator, we get:

n = 7.64

Rounding up to the nearest whole number, we get:

n = 8

Therefore, you will make payments on the loan for 8 years.

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The basic cost flow model is: Multiple Choice
EB + TO = TI + BB.
BB + TO – TI = EB.
EB = BB – TI + TO.
EB − BB = TO – TI.

Answers

Option B) The basic cost flow model is a framework used by businesses to understand and track the flow of costs through their operations.  "BB + TO - TI = EB"

It consists of four main components: beginning inventory (BI), purchases (P), cost of goods sold (COGS), and ending inventory (EI). The formula for this model is EB + TO = TI + BB, where EB represents the ending inventory balance, TO represents total operating cost, TI represents total inventory, and BB represents the beginning inventory balance. Another way to write this formula is BB + TO - TI = EB.

This formula shows that ending inventory is equal to beginning inventory plus total operating cost minus total inventory. To calculate the cost of goods sold,

we can use the formula: COGS = BB + P - EI. This model is useful for businesses in managing their inventory and ensuring they are profitable.

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johnson incorporated just registered and issued its bonds, which will be sold in the bond market for the first time. johnson incorporated’s bonds would be referred to as

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Johnson Incorporated's bonds would be referred to as "newly issued" or "initial offering" bonds in the bond market.

This means that the bonds are being sold for the first time and have not yet been traded on any secondary markets. As a result, their market value and potential risks are not yet established, and investors must rely on the issuer's creditworthiness and financial standing to determine whether to invest in them.

It is important for Johnson Incorporated to set a competitive interest rate on their bonds to attract potential investors and successfully raise capital. The bond market is an important source of financing for corporations, governments, and other entities, and plays a critical role in the global economy.

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Lotteries L1 and L2 have the same expected value. L2 has a smaller variance and you are risk averse. What can you say about your CE? a. Your CE for L1 is higher than your CE for 12. b. Your CE for L1 is lower than your CE for L2. c. Your CE for the two lotteries are the same as they give the same expected value. d. Not enough information to say anything

Answers

the correct answer is (a) Your CE for L1 is higher than your CE for L2.

Since Lotteries L1 and L2 have the same expected value, the risk-averse individual would prefer the lottery with the smaller variance, which is L2.

This is because a smaller variance indicates that the possible outcomes are more tightly clustered around the expected value, resulting in a more predictable outcome

The certainty equivalent (CE) represents the guaranteed amount of money that the individual would be indifferent to receiving instead of playing the lottery. As a risk-averse individual, the CE for L2 would be higher than the CE for L1, because L2 is less risky than L1.

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