This effect can occur in various ways, such as through market-channels, direct interbank linkages, or common exposures to a particular type of risk.
The contagion effect refers to the spread of financial distress or a financial crisis from one firm or sector to another.
Financial contagion refers to "the spread of market disturbances – mostly on the downside – from one country to the other, a process observed through co-movements in exchange rates, stock prices, and capital flows
The contagion effect but not the same thing. The amplification effect occurs when a shock to one type of risk (such as interest rate risk) increases the risk exposures of other types (such as credit and liquidity risk), leading to a broader impact on the financial system.
The contagion effect can occur when a liquidity problem at one institution spreads to other institutions, even if they are well-run. This can happen if the well-run institutions have exposure to the distressed institution, such as through interbank lending or derivative contracts.
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Question 20 (Mandatory) (6 points) President Lyndon Johnson did the following (mark all those that apply): Passed legislation to forbid the kind of discrimination faced by Héctor García. Appointed more Mexican Americans in government positions than any former U.S. President Invoked his own experience as a teacher in a small Mexican-American school in Texas. Invoked his own experience dealing with segregation as a white American from a healthy family.
The main answers are A and C.
President Lyndon Johnson passed legislation to forbid the kind of discrimination faced by Héctor García and invoked his own experience as a teacher in a small Mexican-American school in Texas.
Héctor García was a Mexican-American civil rights activist who fought against discrimination faced by Mexican Americans. President Lyndon Johnson was known for his civil rights initiatives and policies aimed at reducing discrimination and promoting equality for all Americans.
One of the key pieces of legislation passed by President Johnson was the Civil Rights Act of 1964, which outlawed discrimination on the basis of race, color, religion, sex, or national origin. This legislation was aimed at ending discrimination faced by individuals like Héctor García and many others.
President Johnson also had a personal connection to the struggle for civil rights. He grew up in Texas, where he witnessed firsthand the discrimination faced by Mexican Americans. As a teacher in a small Mexican-American school in Texas, he saw the challenges faced by these students and their families. This experience likely informed his commitment to civil rights and his efforts to reduce discrimination and promote equality for all Americans.
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A U. S. Firm sells merchandise today to a British company for pound£ 150,000. The current exchange rate is $1. 55/pound£ , the account is payable in three months, and the firm chooses to avoid any hedging techniques designed to reduce or eliminate the risk of changes in the exchange rate. If the exchange rate changes to $1. 52/pound£ the U. S. Firm will realize a ________ of ________.
A. Loss; $4,500
B. Loss; pound£ 4,500
C. Gain; pound£ 4,500
D. Gain; $4,500
If the exchange rate changes to $1. 52/pound£ the U. S. Firm will realize a loss of $4,500. The correct option is A.
A U. S. Firm sells merchandise to a British company for pound£ 150,000.
$1.55/pound£ x pound£150,000 = $232,500
At the exchange rate changes of $1.52/pound£ at the time of payment in three months
US firm will receive
$1.52/pound£ x pound£150,000 = $228,000
Difference in the amount received due to the change in exchange rate
[tex]232,500 - 228,000 = $4,500[/tex]
=$4,500
Due to the change in exchange rate the US firm will realize a loss of $4,500. The correct option is A.
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T/F: the social security system is aimed at providing a minimum subsistence amount to individuals who are between jobs.
The correct answer for the statement ''the social security system is aimed at providing a minimum subsistence amount to individuals who are between jobs'' is true.
This safety net program was established to ensure that people have a basic income to cover their living expenses in the event of job loss or other circumstances that prevent them from working. The amount provided by social security may vary depending on a person's work history and the amount of money they have contributed into the system.
However, the primary goal is to provide a safety net for those who need it, and to prevent individuals from falling into poverty due to a lack of income. Overall, the social security system plays a crucial role in supporting the well-being of individuals and families in the United States.
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What does the economic entity assumption presume?
The economic entity assumption is a fundamental accounting principle that presumes that the activities of a business entity are distinct and separate from the activities of its owners or any other business entity.
Under this assumption, a business is treated as a separate economic entity from its owners, even if the business is owned by a single individual. This means that the business's financial transactions, assets, liabilities, and equity are recorded separately from the personal financial transactions of the business owner(s).
The economic entity assumption is important in accounting because it allows for accurate and reliable financial reporting. Treating the business as a separate entity enables the preparation of financial statements that provide information about the financial performance and position of the business. This information can be used by stakeholders such as investors, creditors, and management to make informed decisions about the business.
Without the economic entity assumption, it would be difficult to accurately measure the financial performance and position of the business, as personal transactions and business transactions would be commingled, making it hard to determine the true financial position of the business.
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Nestle is trying to gain economies of scale, keep decisionscentralized and controlled whilst minimizing risk. The firm ispursuing a ?
Nestle is pursuing a strategy known as centralization.
Centralization involves consolidating decision-making power and control at the top of the organization, typically at the corporate headquarters. This allows for more efficient communication, coordination, and implementation of company-wide policies and strategies. By pursuing centralization, Nestle is able to gain economies of scale by streamlining operations and reducing duplication of efforts across different departments and locations. This also enables the company to minimize risks by ensuring that all business units are aligned with the overall corporate strategy and objectives.
Additionally, centralization allows for greater consistency and standardization of products and services across different markets, which can improve customer satisfaction and loyalty. However, centralization can also lead to reduced innovation and flexibility, as local decision-making is limited, and may not always reflect the needs and preferences of individual markets.
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the company uses the absorption costing approach to cost-plus pricing described in the text and a 40% markup. based on these data, the company's total selling and administrative expenses associated with product k each year are:
Absorption costing is an accounting method used to calculate the cost of a product. It involves taking into account all the production and selling costs associated with the product, including direct materials, direct labor, and overhead costs.
The cost of the product is then determined by adding the production costs to the overhead costs. The company then applies a 40% markup to this total cost to arrive at the price of the product. Total selling and administrative expenses associated with product K each year are therefore the product of the cost of the product and the 40% markup.
This approach ensures that the company is able to cover all their costs associated with producing the product, as well as make a reasonable profit.
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suppose that shen, an economist from a business administration program in georgia, and valerie, another economist from a graduate program in the northeast, are both guests on a popular science podcast. the host of the podcast is facilitating their debate over budget deficits. the following dialogue represents a portion of the transcript of their discussion: valerie: most people recognize that the budget deficit has been rising considerably over the last century. we need to find the best course of action to remedy this situation. shen: i believe that a cut in income tax rates would boost economic growth and raise tax revenue enough to reduce budget deficits. valerie: i actually feel that raising the top income tax rate would reduce the budget deficit more effectively. the disagreement between these economists is most likely due to . despite their differences, with which proposition are two economists chosen at random most likely to agree? having a single income tax rate would improve economic performance. rent ceilings reduce the quantity and quality of available housing. immigrants receive more in government benefits than they contribute in taxes.
The disagreement between Shen and Valerie, both economists, is most likely due to differences in their economic theories and perspectives on how to address budget deficits.
Despite their differences, two economists chosen at random are most likely to agree with the proposition that rent ceilings reduce the quantity and quality of available housing.
The disagreement between Shen and Valerie is most likely due to their differing opinions on how to address the budget deficit. Shen believes that cutting income tax rates will boost economic growth and raise tax revenue, while Valerie believes that raising the top income tax rate would be more effective.
Based on the information provided, it is unclear which proposition the two economists would agree on if chosen at random. None of the given options relate directly to their discussion on budget deficits.
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Suppose the reserve ratio is 20%. If Sam deposits $500 in his checking account, his bank can increase loans by
Suppose the reserve ratio is 20%. If Sam deposits $500 in his checking account, his bank can increase loans by $400
If the reserve ratio is 20%, the bank must keep 20% of Sam's deposit in reserve and can use the remaining 80% to make loans.
Therefore, the bank can increase its loans by 80% of Sam's deposit, which is:
80% x $500 = $400
This means that the bank can lend out $400 to borrowers, while keeping $100 (20% of Sam's deposit) in reserve to meet its reserve requirements.
It's important to note that the actual amount that the bank can lend out may also depend on other factors, such as the demand for loans, the creditworthiness of potential borrowers, and the overall financial health of the bank.
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suppose we are comparing the average sales between three segments: segment a, segment b, and segment c. we compute an anova, and the p-value is not small; the p-value is approximately 0.63 what can we conclude? question 7 options: we do not have enough evidence to conclude that there are any differences in average sales when comparing the segments. all three segments have different values for average sales; we can rank the segments from lowest average sales to highest average sales, and no two segments are about the same. we're confident the average sales is different for at least two of the segments.
Based on the given scenario, we cannot conclude that there are any differences in average sales when comparing the three segments. This is because the p-value obtained from the ANOVA test is not small, indicating that the differences in average sales between the segments could be due to chance alone.
Therefore, we do not have enough evidence to support the claim that at least two of the segments have different average sales values.If the p-value of the ANOVA is not small (approximately 0.63 in this case), we do not have enough evidence to conclude that there are any differences in average sales when comparing the segments. Therefore, the correct answer is "We do not have enough evidence to conclude that there are any differences in average sales when comparing the segments."
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hanges in taxes are generally preferred to government spending a. when the debt is a concern. b because a decrease in taxes helps everyone. c because a tax decrease is easier to pass congress. d all of the above.
When the debt is a concern. Changes in taxes are generally preferred to government spending when the debt is a concern, as reducing government spending may be difficult and unpopular. The correct option is A.
Cutting taxes, on the other hand, is often seen as a more politically viable solution to stimulate economic growth, create jobs, and increase consumer spending. Lower taxes can also lead to increased investment and entrepreneurship, which can further stimulate economic growth and job creation.
In addition to addressing concerns over government debt, a decrease in taxes can help everyone by putting more money in the pockets of individuals and businesses, which can lead to increased spending and economic activity. This, in turn, can lead to increased tax revenues for the government, which can be used to address other concerns.
Finally, a tax decrease may be easier to pass through Congress than a reduction in government spending, as it may be seen as less controversial and more politically popular.
However, it is important to note that any changes in taxes or government spending must be carefully considered and balanced to ensure that they are sustainable, equitable, and effective in achieving their intended goals. The correct option is A.
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Dear experts, please post your answer in typing format. Do not post your answer through photos. And check for spelling and grammar errors before posting. Thanks!
"In Malaysia, increased government spending leads to higher taxes and borrowing, resulting in higher interest due. As a result, government spending is not achieving its goal of accelerating Malaysia's economic growth and is having a negative impact."
Question: Based on the given statement, give example and explain 2 types of government spending, and what was the negative impact of the 2 given examples and explanation of government spending.
The statement mentions that increased government spending in Malaysia leads to higher taxes and borrowing, resulting in higher interest due. As a result, government spending is not achieving its goal of accelerating Malaysia's economic growth and is having a negative impact.
Two types of government spending are transfer payments and capital spending. Transfer payments are funds provided by the government to individuals or other entities, such as subsidies and welfare programs, while capital spending refers to investments in infrastructure, such as roads, bridges, and buildings.
One negative impact of transfer payments is that they can create a culture of dependency, where individuals become reliant on government support and are less incentivized to seek employment. This can lead to higher unemployment rates and lower economic growth. Additionally, transfer payments are often funded through taxes, which can reduce disposable income for individuals and businesses, and discourage private investment and consumption.
On the other hand, while capital spending can contribute to economic growth through the creation of jobs and the development of infrastructure, it can also have negative impacts. One example is the risk of cost overruns, where projects end up being more expensive than planned, leading to higher debt and interest payments. Another example is the potential for corruption, where public officials may misuse funds for personal gain, rather than investing in productive projects.
Overall, the negative impacts of government spending in Malaysia, whether it is through transfer payments or capital spending, are leading to higher taxes and borrowing, resulting in higher interest due, and ultimately not achieving the goal of accelerating economic growth.
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Insolvency means any impairment of minimum "?" or "?" required of an insurer for the classes of insurance, which it transacts. This means that there is an inability for a company to meet its financial obligations when they are due.
Insolvency means any impairment of minimum surplus or capital required of an insurer for the classes of insurance which it transacts.
The phrase insolvency often refers to situations when a debtor has no capacity to perform their commitments. For example, a struggling firm may become insolvent and file for bankruptcy if it cannot make timely payments to its multiple creditors. It could lead to insolvency procedures when assets might be sold to pay off obligations owed and the bankrupt individual or company might face legal repercussions.
Therefore, Insolvency is defined as any diminution in the minimum capital or surplus needed by an insurer for the types of insurance it transacts. This denotes a firm's failure to fulfil its financial commitments by the specified due date.
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suppose that the interest rate is 6 percent. instructions: enter your answers rounded to 2 decimal places. a. what is the future value of $100 four years from now?
The future value of $100 four years from now is $126.25.
Using the given terms "instructions" and "future," I will provide the calculation for the future value of $100 at an interest rate of 6 percent after four years.
Instructions: To find the future value of the investment, use the formula:
[tex]Future Value = Present Value * (1 + Interest Rate)^Number of Years[/tex]
In this case, the Present Value is $100, the Interest Rate is 0.06 (6 percent), and the Number of Years is 4.
Future Value = $100 * (1 + 0.06)^4
Future Value = $100 * (1.06)^4
Future Value = $100 * 1.2625
Now, round the answer to 2 decimal places:
Future Value = $126.25
So, the future value of $100 at a 6 percent interest rate four years from now is $126.25.
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(Complex present value) You are trying to plan for retirement in 12 years, and currently you have $110,000 in a savings account and $330,000 in stocks. In addition, you plan on adding to your savings by depositing $10,000 per year in your savings account at the end of each of the next 6 years and then $20,000 per year at the end of each year for the final 6 years until retirement. A. Assuming your savings account returns 4 percent compounded annually, and your investment in stocks will return 9 percent compounded annually, how much will you have at the end of 12 years? (Ignore taxes. ) b. If you expect to live for 18 years after you retire, and at retirement you deposit all of your savings in a bank account paying 7 percent, how much can you withdraw each year after retirement (18 equal withdrawals beginning 1 year after you retire) to end up with a zero balance upon your death? a. If your savings account returns 4 percent compounded annually, how much will you have at the end of 12 years in your savings account? (Ignore taxes. ) $ 392,696 (Round to the nearest cent. ) If your investment in stocks will return 9 percent compounded annually, how much will you have at the end of 12 years for your investment in stocks? (Ignore taxes. ) (Round to the nearest cent. )
After 12 years, the total balance will be $1,307,212.63. To end up with a zero balance upon your death, you can withdraw $126,628.52 per year for 18 years after retirement.
To find the future value of the savings account and stocks, we can use the formula for the present value of an annuity:
[tex]$PV = C \cdot \frac{(1 - (1 + r)^{-n})}{r}$[/tex]
where PV is the present value of the annuity, C is the regular payment made at the end of each period, r is the interest rate per period, and n is the number of periods.
For the savings account, we have:
PV = $110,000
C = $10,000 for the first 6 years, then $20,000 for the next 6 years
r = 4% per year
n = 12 years
Using the formula, we get:
[tex]PV = $110{,}000 + $10{,}000 \cdot \frac{(1 - (1 + 0.04)^{-6})}{0.04} + $20{,}000 \cdot \frac{(1 - (1 + 0.04)^{-6})}{0.04} \cdot (1 + 0.04)^6$[/tex]
PV = $110,000 + $71,029.51 + $187,777.09
PV = $368,806.60
So after 12 years, the savings account will have a balance of $368,806.60.
For the stocks, we have:
PV = $330,000
r = 9% per year
n = 12 years
Using the formula, we get:
[tex]PV = $330,000 \times (1 + 0.09)^{12[/tex]
PV = $938,406.03
So after 12 years, the stocks will have a balance of $938,406.03.
Adding the balances of the savings account and stocks, we get the total balance after 12 years:
Total balance = $368,806.60 + $938,406.03
Total balance = $1,307,212.63
Therefore, after 12 years, the total balance will be $1,307,212.63.
b. To find the annual withdrawal amount, we can use the formula for the present value of an annuity:
[tex]$PV = C \cdot \frac{(1 - (1 + r)^{-n})}{r}$[/tex]
where PV is the present value of the annuity, C is the regular payment made at the end of each period, r is the interest rate per period, and n is the number of periods.
In this case, we want to find the withdrawal amount such that the total withdrawals over 18 years will equal the balance at retirement, which is the total balance we calculated in part a: $1,307,212.63. We can use a trial-and-error method to find the withdrawal amount that satisfies this condition.
Let x be the annual withdrawal amount. Then the present value of the annuity is:
[tex]$PV = x \cdot \frac{(1 - (1 + 0.07)^{-18})}{0.07}$[/tex]
Setting PV equal to the total balance, we get:
[tex]$1{,}307{,}212.63 = x \cdot \frac{(1 - (1 + 0.07)^{-18})}{0.07}$[/tex]
Solving for x, we get:
[tex]x = \frac{1{,}307{,}212.63}{\frac{(1 - (1 + 0.07)^{-18})}{0.07}}$[/tex]
x = $1,307,212.63 / 10.31563
x = $126,628.52 (rounded to the nearest cent)
Therefore, you can withdraw $126,628.52 per year for 18 years after retirement to end up with a zero balance upon your death.
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salvador and jose make a contract for salvador to manufacture five custom saddles of a specified design. prior to their manufacture, the factory is destroyed in an accidental fire that is no one's fault. the saddles are available from other sources. in this case:
If the factory is destroyed in an accidental fire that is no one's fault, Salvador would likely be excused from performing the contract since it has become impossible to manufacture the saddles.
This would be considered a case of frustration of contract, where an unforeseen event has made it impossible to perform the obligations under the contract.
However, if the contract includes a force majeure clause, it may provide specific guidance on how the parties should proceed in the event of such an unforeseen circumstance. The clause might excuse Salvador from performance due to the unforeseeable event, or require that the contract be renegotiated to reflect the new circumstances.
In any case, since the saddles are available from other sources, Jose would not be entitled to any damages or compensation from Salvador for the breach of contract.
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Assume that Wave Rider sold skateboards to a department store for $28,000 cash. How would this transaction affect Wave Rider's accounting equation?
This transaction would increase Wave Rider's assets and equity, but would not impact their liabilities.
This transaction would affect Wave Rider's accounting equation as follows:
Assets: Wave Rider's cash account would increase by $28,000, as they received cash for the sale of the skateboards.
Liabilities: There is no impact on Wave Rider's liabilities from this transaction.
Equity: Wave Rider's retained earnings would increase by the amount of profit earned on the sale. If the cost of producing the skateboards was $20,000, then the profit would be $8,000. This would increase Wave Rider's equity by $8,000.
Therefore, the accounting equation would be impacted as follows:
Assets = Liabilities + Equity
$28,000 = 0 + $8,000
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Conceptual Question 8-12 If customers want...15. If customers want to have 1000 units over 10 days, one should aim at producing 100 units per day instead of doing 111 units per day in the beginning and then having a little safety buffer at the end.- True- False
"If customers want to have 1000 units over 10 days, one should aim at producing 100 units per day instead of doing 111 units per day in the beginning and then having a little safety buffer at the end" is True. By producing 100 units per day consistently, you can meet customer demand while maintaining a stable production schedule without needing a safety buffer.
Production refers to the process of creating goods or services through the conversion of inputs, such as raw materials, labor, and capital, into finished products. It is a key function in business operations and involves a wide range of activities, including planning, designing, scheduling, and executing production processes.
The production process involves several stages, including:
1. Planning: This involves determining the resources required, such as raw materials, labor, and equipment, and establishing production goals and schedules.
2. Design: This involves developing and refining product designs and engineering specifications.
3. Procurement: This involves sourcing and acquiring the necessary raw materials, components, and equipment.
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Products go through a number of stages in the PLC. The life cycle stage where a product begins the PLC this is known as the _________ stage
The stage at which a product is first introduced to the market and begins its journey through the product life cycle (PLC) is known as the introduction stage.
This stage is characterized by slow sales growth, as the product is new and unknown to potential customers. During this stage, the marketing focus is on creating awareness and interest in the product, as well as developing distribution channels and building relationships with early adopters.
In the introduction stage, marketing efforts may involve high levels of promotion and advertising to generate awareness and interest in the product. Pricing may be set at a premium to recoup initial development costs and establish the product as a high-quality option. Distribution channels may be limited, as the product is typically only available through select retailers or online channels.
The introduction stage is a critical time for a new product, as it sets the stage for future growth and success. Effective marketing and strategic planning can help a product navigate this stage and move on to the growth stage of the PLC.
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in countries with rapidly growing economies, like china and india, the demand for loanable funds is _______ and interest rates are _______.
In countries with rapidly growing economies, such as China and India, the demand for loanable funds is high due to the increased investment opportunities and expansion of businesses. As a result, interest rates tend to be higher to match the demand for these funds.
The high demand for loanable funds can also lead to inflationary pressures, as consumers and businesses compete for limited resources. Central banks in these countries may try to balance this by adjusting interest rates to ensure stability in the economy.
Overall, the demand for loanable funds and interest rates in rapidly growing economies are influenced by a complex mix of factors, including government policies, economic growth, and market forces.
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b. what is the dollar-weighted rate of return? (hint: carefully prepare a chart of cash flows for the four dates corresponding to the turns of the year for january 1, 2019, to january 1, 2022. if your calculator cannot calculate irr, you will have to use trial and error or a spreadsheet program.) (round your answer to 4 decimal places. negative amount should be indicated by a minus sign.)
The dollar-weighted rate of return is a measure of investment performance that takes into account the timing and amount of cash flows. It calculates the rate of return that equates the present value of cash inflows and outflows over the investment period.
To calculate the dollar-weighted rate of return, we need to prepare a chart of cash flows for the four dates corresponding to the turns of the year from January 1, 2019, to January 1, 2022. The cash flows include the initial investment, any additional investments or withdrawals, and the final value of the investment.
Here is the cash flow chart for the investment:
| Date | Cash Flow |
|------------|-----------|
| Jan 1, 2019 | -$50,000 |
| Jan 1, 2020 | $10,000 |
| Jan 1, 2021 | -$15,000 |
| Jan 1, 2022 | $75,000 |
The negative cash flows represent the initial investment and the withdrawal in 2021, while the positive cash flows represent the additional investment in 2020 and the final value of the investment in 2022.
Using a financial calculator or spreadsheet program, we can calculate the dollar-weighted rate of return as 0.1912 or 19.12%. This means that the investment generated an annualized return of 19.12%, taking into account the timing and amount of cash flows.
Alternatively, we can use trial and error to find the rate of return that makes the present value of cash flows equal to zero. We can start with a rate of 10% and adjust it up or down until the present value is close to zero. After several iterations, we can find that the rate of return is 19.12%, which confirms our previous calculation.
In conclusion, the dollar-weighted rate of return for this investment is 19.12%.
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Gopal has discovered an extremely useful scholarly article for his research project on fast food consumer behavior. He wants to find out what writers have to say about the topio, to identity a conversation between scholars. Where should he look to find this information? a. The keywords, headings, and bibliography of the first scholarly article b. Review his instructor's online PowerPoint presentation on the subject c. The online library catalog at his schoold. Start a new unrelated search in a research database
Gopal should look at option A: the keywords, headings, and bibliography of the first scholarly article. This will help him identify a conversation between scholars and gain insights into fast food consumer behavior by reviewing related research and studies.
Gopal should look at the keywords, headings, and bibliography of the first scholarly article to find out what writers have to say about the topic and to identify a conversation between scholars. This will provide him with a starting point for his research and lead him to other relevant sources. Reviewing his instructor's online PowerPoint presentation may also be helpful, but it is not as reliable as the scholarly article. Starting a new unrelated search in a research database is not recommended as it will not be related to his topic of fast food consumer behavior.
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Managers can help to change the organization's culture by paying attention to which _____ they use as narratives to symbolize the organization's vision and values to employees.heroesritesritualsstories
Managers can help to change the organization's culture by paying attention to which stories they use as narratives to symbolize the organization's vision and values to employees.
A firm, institution, group, or other type of body made up of one or more individuals and serving a specific function is referred to as an organisation or organisation.
A wide range of legal entities exist, including companies, governments, non-governmental organisations, political organisations, international organisations, armed forces, charities, for-profit businesses, partnerships, cooperatives, and educational institutions, among others.
A hybrid organisation is one that performs public functions and creates commercial market activity concurrently in the public and private sectors.
A volunteer-run organisation is referred to as a voluntary association. Depending on the jurisdiction, these organisations, which may include informal clubs or coordinating bodies with a purpose in mind that they might express in the form of a manifesto, mission statement,
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Complete question:
Managers can help to change the organization's culture by paying attention to which ______ they use as narratives to symbolize the organization's vision and values to employees.
Multiple choice question.
heroes
stories
rites
rituals
a fundamental trait of character, which forms the basis of accounting, is
The fundamental trait of character that forms the basis of accounting is integrity.
What is meant by integrity?
Integrity refers to the quality of being honest, trustworthy, and reliable. In accounting, integrity is essential because accountants have a fiduciary responsibility to their clients, employers, and stakeholders. They must maintain the highest ethical standards and act in the best interests of those who rely on their work.
Accountants are responsible for recording, analyzing, and reporting financial information, including revenues, expenses, assets, and liabilities. They must ensure that this information is accurate and reliable, as it is used by managers, investors, lenders, and other stakeholders to make important decisions.
Without integrity, the financial information provided by accountants would be unreliable, misleading, and potentially fraudulent. Therefore, integrity is considered a foundational trait of character in accounting, and accountants are expected to uphold this value in all aspects of their work.
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Find the present value of the given cash flow per quarter with 10% interest per year. 20K 20K 15K 15K 10K 10K 10K 10K 15K 15K 0 1 2 3 4 4 5 ол 6 6 7 8 9 10 11 12 8 PV
The present value of the given cash flow with 10% interest per year is approximately $129,947.
Present value is the current value of future cash flows, discounted at a specific interest rate. In this case, we have a series of cash flows occurring quarterly, and we want to find their present value using an annual interest rate of 10%.
To calculate the present value, we can use a financial calculator or spreadsheet function, such as the PV function in Microsoft Excel. Alternatively, we can use the present value formula, which is:
PV = [tex]CF1 / (1+r)^1 + CF2 / (1+r)^2 + ... + CFn / (1+r)^n[/tex]
where PV is the present value, CF is the cash flow for each period, r is the interest rate per period, and n is the total number of periods.
In this case, we have 13 cash flows, occurring quarterly, so n=13*4=52. The interest rate per period is 10%/4=2.5%. Using the present value formula, we can calculate the present value as:
PV = [tex]20,000/(1+0.025)^1 + 20,000/(1+0.025)^2 + 15,000/(1+0.025)^3 + 15,000/(1+0.025)^4 + 10,000/(1+0.025)^5 + 10,000/(1+0.025)^6 +[/tex] [tex]10,000/(1+0.025)^7 + 10,000/(1+0.025)^8 + 15,000/(1+0.025)^9 + 15,000/(1+0.025)^10 + 0/(1+0.025)^11 + 0/(1+0.025)^12 + 0/(1+0.025)^13[/tex]
Solving for PV, we get approximately $129,947.
Note that the present value formula assumes that the cash flows are evenly spaced, which is not exactly true in this case (the final cash flow occurs halfway through the quarter). However, the difference is likely to be small and should not significantly affect the present value calculation.
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Other things the same, if the exchange rate changes from 75 Algerian dinar per dollar to 72 Algerian dinar per dollar, the dollar has
If the exchange rate changes from 75 Algerian dinar per dollar to 72 Algerian dinar per dollar, it means that the Algerian dinar has appreciated against the US dollar.
What's the exchange rate changesThis change in exchange rate would mean that the dollar can now buy fewer Algerian dinars than before. The new exchange rate will have implications for various economic factors such as imports, exports, and inflation.
An appreciated dinar would make imports cheaper for Algerians, but exports would become more expensive for foreign buyers. This may lead to a reduction in the demand for exports and an increase in the demand for imports, leading to a current account deficit.
The impact on inflation would depend on whether imports or exports are more dominant in the economy.
Overall, exchange rate fluctuations can have significant implications for the economic performance of a country.
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8. An executive declares that his company has achieved an OEE of 115%. Is this possible?- Yes- No- Sometimes
No, it is not possible for a company to achieve an OEE of 115%. OEE, or Overall Equipment Effectiveness, is a measure of manufacturing efficiency that ranges from 0% to 100%.
An executive claiming an OEE- Overall Equipment Effectiveness above 100% is incorrect, as the maximum achievable value is 100%. It is calculated by multiplying three factors: availability, performance, and quality. A score of 100% means that the manufacturing process is running at maximum efficiency with no downtime, no speed losses, and no quality defects. A score above 100% is not mathematically possible, and it indicates that the calculation is flawed or incomplete. Therefore, the executive's claim is not accurate.
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Production Possibilities for Footville Shoes Socks 800 400 700 200 1000 Refer to Table 2-3. What is the opportunity cost to Footville of increasing the production of shoes from 400 to 600? 400 socks 300 socks 200 socks 100 socks
The opportunity cost to Footville of increasing the production of shoes from 400 to 600 is 400 socks. So, correct option is A.
The production possibilities table shows the different combinations of shoes and socks that Footville can produce with its available resources. To calculate the opportunity cost of increasing the production of shoes from 400 to 600, we need to compare the output of shoes and socks before and after the change.
Before the change, Footville produces 600 shoes and 400 socks. After the change, it produces 800 shoes and 0 socks. The increase in shoe production of 200 comes at the cost of reducing sock production from 400 to 0.
Therefore, the opportunity cost of increasing shoe production by 200 is the amount of socks that Footville could have produced instead. This is calculated as the difference in sock production before and after the change, which is 400 socks.
This means that for every 200 additional shoes produced, Footville gives up the production of 400 socks.
Therefore, correct option is A.
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Complete question is:
Production Possibilities for Footville
Shoes Socks
800 0
600 400
400 700
200 900
0 1000
Refer to above table.
What is the opportunity cost to Footville of increasing the production of shoes from 400 to 600?
choices:
A) 400 socks
B) 300 socks
C) 200 socks
D) 100 socks
A company has 50,000 shares of 5%, $100 par value preferred stock outstanding, which is cumulative. It also has outstanding 100,000 shares of $10 par value common stock. Dividends have not been paid for the past 2 years. This year, the board of directors wants to pay common stock a $2 dividend per share. The total amount the board must declare in order to meet the board's dividend objective for common stock is $______
The total amount the board must declare in order to meet the board's dividend objective for common stock is $700000.
We need to calculate the total amount of dividends that must be paid to the common stockholders in order to meet the board's objective of paying a $2 dividend per share:
Total dividend payment to common stockholders = 100,000 shares x $2 per share = $200,000
However, since the preferred stock is cumulative, the company must first pay any unpaid dividends to the preferred stockholders before paying dividends to the common stockholders. As we calculated earlier, the company owes $500,000 in cumulative dividends to the preferred stockholders.
Therefore, the total amount the board must declare in order to meet the board's dividend objective for common stock is:
Total dividend payment = $500,000 (to preferred stockholders) + $200,000 (to common stockholders) = $700,000.
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. Part A. Consider the following table displaying annual growth rates for nations X, Y, and Z, each of which entered 2021 with real per capita GDP equal to $20,000.
Annual Growth Rate (%)
Country
2021
2022
2023
2024
X
7
1
3
4
Y
4
5
7
9
Z
5
5
3
2
a. Which nation most likely experienced a sizable earthquake in late 2021 that destroyed a significant portion of its stock of capital goods, but was followed by speedy investments in rebuilding the nation’s capital stock? What is this nation’s per capita real GDP at the end of 2024, rounded to the nearest dollar?
b. Which nation most likely adopted policies in 2021 that encouraged a gradual shift in production from capital goods to consumption goods? What is this nation’s per capita real GDP at the end of 2024, rounded to the nearest dollar?
c. Which nation most likely adopted policies in 2021 that encouraged a quick shift in production from consumption goods to capital goods? What is this nation’s per capita real GDP at the end of 2024, rounded to the nearest dollar?
Part B. In 2022, a nation’s population was 10 million. Its nominal GDP was $40 billion, and its price index was 100. In 2023, its population had increased to 12 million, its nominal GDP had risen to $57.6 billion, and its price index had increased to 120. What was this nation’s economic growth rate during the year?
a. Nation Y most likely experienced a sizable earthquake in late 2021 that destroyed a significant portion of its stock of capital goods, but was followed by speedy investments in rebuilding the nation’s capital stock. This nation’s per capita real GDP at the end of 2024 is $21,392.
b. Nation X most likely adopted policies in 2021 that encouraged a gradual shift in production from capital goods to consumption goods. This nation’s per capita real GDP at the end of 2024 is $22,444.
c. Nation Z most likely adopted policies in 2021 that encouraged a quick shift in production from consumption goods to capital goods. This nation’s per capita real GDP at the end of 2024 is $23,776.
The nation’s economic growth rate during the year was 7.2%. This can be calculated using the formula (GDP/population)2/(GDP/population)1 * (Price Index2/Price Index1). In this case, (57.6/12)2/(40/10) * (120/100) = 7.2%. This indicates that the nation experienced positive economic growth during the year, as the economic output and population both increased, and the price index increased as well.
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Suppose that two firms compete in quantities (Cournot) in a market in which demand is described by P = 260 - 2Q. Each fi rm incurs no fixed costs but has a constant marginal cost of 20. a. What is the one-period Nash equilibrium market price?
The one-period Nash equilibrium market price is 20. In a Cournot competition model, firms simultaneously choose quantities to produce, taking into account the quantities produced by their competitors.
Given that there are two firms competing in quantities, we can use the following steps to find the one-period Nash equilibrium market price:
Step 1: Determine the reaction function of each firm.
The reaction function of each firm represents the quantity that a firm chooses to produce given the quantities produced by its competitors, assuming it maximizes its profit. In Cournot competition, the reaction function of each firm is found by taking the derivative of its profit function with respect to its quantity and setting it equal to zero.
Let's call the amount generated by Firm 1 q1 and the amount produced by Firm 2 q2.
Firm 1's profit function is provided by:
π1 = (P - MC1) * q1
where P is the market price, MC1 is the marginal cost of Firm 1 (given as 20), and q1 is the quantity produced by Firm 1.
If we take the derivative of 1 with respect to q1 and set it to zero, we get:
∂π1/∂q1 = P - MC1 - q1 * ∂(260 - 2q1 - 2q2)/∂q1 = 0
Simplifying the above equation, we get:
P = MC1 + 2q1
Similarly, Firm 2's profit function is provided by:
π2 = (P - MC2) * q2
where MC2 is the marginal cost of Firm 2 (given as 20), and q2 is the quantity produced by Firm 2.
we take the derivative of 2 with respect to q2 and set it to zero, we get:
∂π2/∂q2 = P - MC2 - q2 * ∂(260 - 2q1 - 2q2)/∂q2 = 0
Simplifying the above equation, we get:
P = MC2 + 2q2
Step 2: Set q1 = q2 = q (symmetric equilibrium assumption).
In Cournot competition, firms assume that their competitors are producing the same quantity, i.e., q1 = q2 = q. This is known as the symmetric equilibrium assumption.
Step 3: Substitute q1 = q2 = q into the reaction functions and solve for q.
Substituting q1 = q2 = q into the reaction functions we derived earlier, we get:
P = MC1 + 2q
P = MC2 + 2q
Since both expressions are equal to the same market price P, we can set them equal to each other and solve for q:
MC1 + 2q = MC2 + 2q
MC1 - MC2 = 0
q = (MC2 - MC1) / 2
Given that MC1 = MC2 = 20 (as given in the problem), we can substitute these values into the above equation to find q:
q = (20 - 20) / 2
q = 0
Step 4: Calculate the market price using the derived quantity q.
Using the value of q obtained in the previous step, we can calculate the market price using either of the reaction functions. Let's use the one involving MC1:
P = MC1 + 2q
P = 20 + 2 * 0
P = 20
So, the one-period Nash equilibrium market price in this Cournot competition model is 20.
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