What are the 4 basic assumptions that underline GAAP?

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Answer 1

The four basic assumptions that underlie GAAP are an economic entity, going concern, monetary unit, and periodicity.

1. Going Concern Assumption: This assumption states that an entity will continue to operate for the foreseeable future, and will not be forced to liquidate its assets or cease operations due to financial problems. In other words, it is assumed that the business will continue to operate and generate revenue in the future.

2. Monetary Unit Assumption: This assumption states that financial transactions should be measured in a common unit of currency, such as dollars or euros. This allows for the comparability of financial information between companies, and over time.

3. Time Period Assumption: This assumption states that the economic activities of a business can be divided into time periods, such as months, quarters, or years. Financial statements are prepared for specific time periods, which allows for analysis of financial performance over time.

4. Historical Cost Assumption: This assumption states that assets should be recorded at their original purchase price, rather than their current market value. This is intended to provide a reliable and objective measure of the value of assets and to prevent the manipulation of financial statements by management.

These assumptions provide a framework for the preparation of financial statements and help to ensure that financial information is relevant, reliable, and comparable.

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Related Questions

In order to be useful, market share data needs to be analyzed along with _______. (Check all that apply.)

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In order to be useful, market share data needs to be analyzed along with several other factors. These factors include consumer behavior, industry trends, product positioning, and competitive landscape.

Consumer behavior is an important factor to consider when analyzing market share data. This includes understanding consumer preferences, buying habits, and the factors that influence their purchasing decisions. This information can help businesses identify opportunities for growth and make strategic decisions to improve their market position.Industry trends also play a crucial role in analyzing market share data. By keeping abreast of the latest trends, businesses can anticipate changes in the market and adjust their strategies accordingly.

This includes understanding changes in technology, demographics, and regulatory environments that could impact their market share.Product positioning is another important consideration when analyzing market share data. By understanding how their products are positioned in the market, businesses can identify opportunities to differentiate themselves from competitors and attract new customers.Finally, competitive landscape analysis is essential for understanding market share data.

This involves analyzing the strengths and weaknesses of competitors, identifying their market position, and developing strategies to compete effectively.In summary, market share data is only useful when it is analyzed alongside other key factors such as consumer behavior, industry trends, product positioning, and competitive landscape. By considering these factors, businesses can make informed decisions to improve their market position and grow their business.

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The December 13, 2005, press release of the Federal Open Market Committee (FOMC) stated that it "decided today to raise its target for the federal funds rate by 25 basis points to 4¼ percent." The press release also stated: "In a related action, the Board of Governors unanimously approved a 25-basis point increase in the discount rate to 5¼ percent." (Note: A basis point is one one-hundredth of a percentage point. So, there are 100 basis points in 1 percentage point.)
a. Using a graph of the federal funds market, show the equilibrium federal funds rate and the discount rate before the policy action of December 13, 2005, when the federal funds rate was 4% and the discount rate was 5%.
b. Use your graph from part (a) to explain how the Fed would raise the federal funds rate by 25 basis points (¼%). Show in your graph the 25-basis-point increase in the discount rate. What policy action would the Fed use to bring about this increase in the target federal funds rate?

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a. The equilibrium federal funds rate and the discount rate before the policy action of December 13, 2005, were 4% and 5%, respectively.

b. The Fed would raise the federal funds rate by 25 basis points by implementing an open market operation that would decrease the supply of reserves in the federal funds market. This would cause the federal funds rate to increase to the new equilibrium rate of 4.25%.

The Fed would also increase the discount rate by 25 basis points to 5.25%, which would increase the cost of borrowing reserves from the Fed's discount window.

This policy action would encourage banks to borrow less from the Fed and rely more on interbank lending in the federal funds market, which would increase the federal funds rate.

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For U.S. companies considering expansion into your target nation's market, what is your recommendation for using a global standardization, localization, transnational, or international approach to launch new products and why?

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When considering expansion into a new market, it is important for U.S. companies to understand the cultural, economic, and regulatory differences of the target nation.

Each approach - global standardization, localization, transnational, and international - has its advantages and disadvantages. Global standardization involves creating a standardized product or service that is marketed and sold uniformly across all countries. This approach can lead to cost savings and economies of scale. However, it may not consider local cultural and linguistic differences, which could lead to a lack of acceptance in the target market.

Localization involves adapting a product or service to meet the specific cultural, linguistic, and regulatory requirements of the target market. This approach can help companies to gain acceptance and customer loyalty in the target market. However, it can also be costly and time-consuming to develop and implement customized products for each market.

Transnational involves combining elements of both global standardization and localization. Companies using this approach seek to achieve economies of scale while also adapting to local markets. This approach requires a strong understanding of local cultural and linguistic differences, as well as the flexibility to adjust products and services accordingly.

International involves maintaining a home-country focus while exporting products to other markets. This approach is often used by smaller companies with limited resources or those looking to test the waters in a new market. However, it may not allow for the same level of customization or adaptation as other approaches.

In my opinion, a transnational approach is the most effective for U.S. companies looking to launch new products in a target nation's market. This approach allows for the benefits of global standardization, while also taking into account local market differences through localization. It also allows for the flexibility to adjust products and services as needed to meet local requirements, ensuring the highest level of customer acceptance and satisfaction.

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multiple choice question main company sells video streaming devices for $100. a one-year subscription to unlimited video streaming costs $150. alternatively, customers can rent videos on demand or subscribe to a competing service. in an effort to boost december sales prior to the release of a second generation device, main offers the device at a sharp discount. the discount specifically applies to the streaming device. if during december a customer purchases the streaming device with a 1-year subscription for $210, main should allocate how much of the total contract price to the streaming device? multiple choice question. $105

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Main company's decision to offer a sharp discount on the streaming device during December to boost pre-release sales is a sensible one.

The total contract price of $210 should be allocated to the streaming device, with $105 of that going to the device itself. This is because the streaming device itself is priced at $100, and the one-year subscription to unlimited video streaming costs an additional $150.

By offering the device at a discount, Main is able to attract customers who are looking for a good deal. It also encourages customers to purchase the streaming device in December rather than wait for the release of the second generation device.

This strategy could potentially increase total sales and revenue for the company.

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Refer to the following table for Waxwania:
Government Expenditures, G Tax Revenues, T Real GDP
$190 $110 $550
190 130 650
190 150 750
190 170 850
190 190 950
Instructions: In part a, enter your answers as whole numbers. In part b, round your answer to 2 decimal places.
a. Waxwania is producing $650 of real GDP, whereas the potential real GDP (or full-employment real GDP) is $750 . How large is its budget deficit?
How large is its cyclically adjusted budget deficit?
b. How large is its cyclically adjusted budget deficit as a percentage of potential real GDP?
c. Is Waxwania’s fiscal policy expansionary or is it contractionary?

Answers

A. The cyclically Adjusted Budget Deficit is $160 billion

B. Cyclically Adjusted Budget Deficit as a Percentage of Potential Real GDP = 21.33%

C. The cyclically adjusted budget deficit is $160 billion, indicating an expansionary fiscal policy.

A. The budget deficit can be calculated as the difference between government expenditures (G) and tax revenues (T).

Budget Deficit = G - T

For the given values:

Budget Deficit = $190 - $130 = $60 billion

To calculate the cyclically adjusted budget deficit, we need to consider the potential real GDP (PRGDP) and the output gap (OG). The output gap is the difference between actual real GDP and potential real GDP.

Output Gap (OG) = Actual Real GDP - Potential Real GDP

In this case, the output gap is:

OG = $650 - $750 = -$100 billion (negative because actual GDP is below potential GDP)

Cyclically Adjusted Budget Deficit = Budget Deficit - (Output Gap)

Cyclically Adjusted Budget Deficit = $60 billion - (-$100 billion) = $160 billion

B. To calculate the cyclically adjusted budget deficit as a percentage of potential real GDP, we can use the following formula:

Cyclically Adjusted Budget Deficit as a Percentage of Potential Real GDP = (Cyclically Adjusted Budget Deficit / Potential Real GDP) * 100

Using the given values:

Cyclically Adjusted Budget Deficit as a Percentage of Potential Real GDP = ($160 billion / $750 billion) × 100 = 21.33%

C. Waxwania's fiscal policy can be determined based on the cyclically adjusted budget deficit.

If the cyclically adjusted budget deficit is positive, it indicates an expansionary fiscal policy. This means that the government is spending more than it is collecting in taxes, which can stimulate the economy.

In this case, the cyclically adjusted budget deficit is $160 billion, indicating an expansionary fiscal policy.

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What type of periodization uses changes in volume and intensity on a daily or weekly basis?

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The type of periodization that uses changes in volume and intensity on a daily or weekly basis is known as daily undulating periodization (DUP).

The type of periodization that uses changes in volume and intensity on a daily or weekly basis is known as daily undulating periodization (DUP). This approach involves varying the volume and intensity of exercises throughout the week, with high and low days for each variable. The goal is to provide a greater stimulus for muscle growth and strength gains by constantly challenging the body with varying degrees of stress. This type of periodization is popular among athletes and bodybuilders who are looking to maximize their results and avoid hitting training plateaus.

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This is a 1977 code of conduct that required multinational corporations in South Africa to do business in a nondiscriminatory way. A. The MacBride Principles
B. The Equator Principles
C. The CERES Principles
D. The Sullivan Principles

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The Sullivan Principles is a 1977 code of conduct that requires multinational corporations in South Africa to conduct business in a non-discriminatory manner. Here option D is the correct answer.

The Sullivan Principles, also known as the Sullivan Code, was a code of conduct created in 1977 by Rev. Leon Sullivan, an African-American civil rights leader, and Baptist minister. The principles were intended to guide multinational corporations doing business in South Africa during the apartheid era and required companies to do business in a nondiscriminatory way.

The principles were named after Rev. Sullivan and were first adopted by General Motors, where Sullivan was a board member. The principles were later adopted by other multinational corporations doing business in South Africa, including IBM, Coca-Cola, and Ford.

The Sullivan Principles consisted of nine guidelines that required companies to provide equal opportunities to all employees, regardless of race or ethnicity, to support human rights, and to contribute to the economic and social development of South Africa. The principles were later expanded to include environmental sustainability and social responsibility.

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California Annuity Suitability Education Requirements
A life-only agent who sells annuity products to individual consumers must complete an initial ?)-hour training course prior to soliciting for sales. Agents must complete (?)-hours of subsequent training every (?) years prior to license renewal.

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A life-only agent who sells annuity products to individual consumers in California must complete an initial 8-hour training course prior to soliciting for sales.

After completing the initial training, agents must complete 4 hours of subsequent training every 2 years prior to license renewal. The training covers topics such as annuity contract types, annuity suitability, and ethical considerations when selling annuities.

The purpose of the training is to ensure that agents have a thorough understanding of the products they are selling and are able to make suitable recommendations based on the needs and financial situation of the consumer. These requirements are in place to protect consumers from inappropriate or unsuitable annuity sales.

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what are 2 items that cause an employee turnover?

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Answer: stability of tenure and decrease in employee satisfaction

Explanation:

1. stability of tenure: if the employees are not given sufficient training before work then it will lead to increase in employee turnover.

2. decrease in employee satisfaction: if they are not given proper financial and non financial incentive then there will be a disatisfaction among them.

A firm is attempting to determine the total shipping capacity of its supply network, which links a single manufacturing plant to a single customer. What type of network optimization problem is this?

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The type of network optimization problem that the firm is attempting to solve is a single-commodity flow problem. This is because the problem involves determining the maximum amount of a single product that can be shipped through the supply network, which is represented as a flow.

The objective of the optimization problem is to find the optimal allocation of resources, such as shipping routes and transportation modes, to ensure that the maximum amount of product can be shipped from the manufacturing plant to the customer while minimizing transportation costs.

Solving this problem requires advanced mathematical modeling techniques, such as linear programming or integer programming, to ensure that the optimal solution is achieved.

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Which measure of profits takes the opportunity cost of financialcapital into account: accounting, economic profits, neither measureof profits, or both? Explain.

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The measure of profits that takes the opportunity cost of financial capital into account is economic profits.

Economic profits consider not only the explicit costs of production (such as wages and materials) but also the implicit costs, including the opportunity cost of using financial capital. Accounting profits, on the other hand, only consider explicit costs and do not factor in the opportunity cost of financial capital. Therefore, economic profits are a more comprehensive measure of profitability than accounting profits.

Neither measure of profits takes into account the time value of money, which is another important consideration when evaluating the profitability of an investment or business venture.

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The Trump presidency was hostile to environmental issues and oversaw many changes to the Environmental Protection Agency, US environmental policies and US participation in international environmental agreements such as the Paris Accord. Assess/discuss how the Biden Administration has dealt with the some of the adverse effects of Trump's environmental legacy. Is Biden really a more environmentally friendly president than his predecessor? (supporting ideas from government websites, journal articles, newspapers, magazines, online articles, blogs etc. (link or reference); 400-500 words

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For Joe Biden, who has referred to climate change as the "existential threat of our times," the continuous rollbacks in environmental safeguards present a dilemma.

Through a flurry of executive orders, Biden has aggressively gone out to destroy Trump's legacy. Approximately 100 environmental regulations from the Trump period are being targeted in total, but some of them may take some time to undo.

Trump's rollbacks on wildlife preservation, such as those involving the implementation of endangered species laws and the protection of migratory birds, are being reviewed by Biden and are likely to be undone.

Environmental studies of possible harmful activities in sites like the Artic national wildlife refuge, a crucial. Environmental assessments might be harmful in areas like the Artic National Wildlife Refuge, a crucial, unspoiled habitat for birds, mammals, and other animals.

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Question 1 Recall the model of Medieval Economy
MtV = PtYt
Yt = ALt
Pt+1/Pt = (Lt/L)0
(a) Suppose I = 2, V = 1, Ā= 1, M = M = 6, 7 = 0.2 solve for steady state P,L and Y. (b) Suppose money supply increases, M = M = 12, all the other exogenous variables are the same as before. After tı years, the economy reached a new steady state. What is the new steady state PL and Y? (c) Calculate the levels of P, Y for periods t=-1 (the day before the change) and t = 0,1,2,3. (d) Use graphs draw the transition dynamics of Pt, Yt over time. (e) Which parameter is the key to determine tı (the convergence speed)? What would be the evolution of P and Y overtime if () = 1? Given that ( controls the level of price stickiness, briefly discuss the connection between monetary non-neutrality (the real effect of money) and price stickiness. (f) If instead money supply decreases, Ñ < M, directly illustrate the transition dynamics of P, Y on a graph.

Answers

(a) In the steady state, P = 1, L = 1.5, and Y = 1.5.

(b) In the new steady state, P = 2, L = 1.2, and Y = 1.2.

(c) For t = -1, P = 1, Y = 1.5. For t = 0, P = 1, Y = 1.5. For t = 1, P = 2, Y = 1.2. For t = 2, P = 2, Y = 1.2. For t = 3, P = 2, Y = 1.2.

(d) The transition dynamics of Pt and Yt over time can be illustrated with two graphs, where the horizontal axis represents time and the vertical axis represents the levels of Pt and Yt.

Initially, both Pt and Yt remain constant until t = 1 when the increase in money supply leads to an increase in prices and a decrease in output. The economy then adjusts towards the new steady state levels of Pt and Yt over time.

(e) The parameter that determines the convergence speed is α. If α = 1, the adjustment towards the new steady state levels of Pt and Yt will occur instantly.

The connection between price stickiness and monetary non-neutrality is that sticky prices can cause a delay in the adjustment of prices to changes in money supply, leading to changes in output in the short run.

(f) If money supply decreases, the transition dynamics of Pt and Yt would be the opposite of the case when money supply increases. Initially, both Pt and Yt would remain constant until t = 1 when the decrease in money supply leads to a decrease in prices and an increase in output.

The economy then adjusts towards the new steady state levels of Pt and Yt over time.

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The amount of fish caught per week on a trawler is a function of the crew size assigned to operate the boat. Based on past data, the following production schedule was developed.Complete the following table by calculating the marginal and average products of labor.Crew Size (L)Amount of Fish Caught per Week (QQ)Marginal Product MPLMPLAverage Product APLAPL(No. of Workers)(Hundreds of Lbs)(Hundreds of Lbs)(Hundreds of Lbs)2 6 Choose 3/3.60/63 18 Choose 4/6/12 Choose 12/6/7.204 36 Choose 18/36/9 Choose 10.80/18/95 66 Choose 13/66/30 Choose 15.84/30/13.206 96 Choose 16/30/96 Choose 19.20/16/307 114 Choose 16/144/18 Choose 19.55/18/16.268 126 Choose 16/126/12 Choose 12/18.90/15.759 132 Choose 15/6/132 Choose 6/17.60/14.6710 132 Choose 13/0/132 Choose 13.20/0/15.8411 126 Choose 11/126/-6 Choose 6/13.74/11.4512 114 Choose 10/-12/114 Choose 12/11.40/9.50Over what ranges of workers are there (i) increasing, (ii) constant, (iii) decreasing, and (iv) negative returns?Stages RangesConstant returns choose from 2 to 5/ from 5 to 6/ from 6 to 10/ greater than 10Increasing returns choose from 2 to 5/ from 5 to 6/ from 6 to 10/ greater than 10Negative returns choose from 2 to 5/ from 5 to 6/ from 6 to 10/ greater than 10Decreasing returns choose from 2 to 5/ from 5 to 6/ from 6 to 10/ greater than 10How large a crew should be used if the trawler owner is interested in maximizing the total amount of fish caught? __choose (6/10/9/7/8)___________ workersHow large a crew should be used if the trawler owner is interested in maximizing the average amount of fish caught per worker?

Answers

If the trawler owner is interested in maximizing the total amount of fish caught, they should choose a crew size of 6, 7, or 8.

To determine the crew size that would maximize the total amount of fish caught, we need to find the point where marginal product of labor (MPL) equals zero. This is because at this point, adding more workers will not increase the total amount of fish caught. Looking at the table, we can see that the MPL starts decreasing from 16 at crew size 7, and becomes negative at crew size 11.

Therefore, the optimal crew size would be either 6, 7, or 8, as these crew sizes have increasing or constant MPLs. However, we also need to consider the average product of labor (APL) to ensure that we are maximizing the amount of fish caught per worker.
To find the crew size that would maximize the average amount of fish caught per worker, we need to find the point where APL is at its highest. Looking at the table, we can see that the APL starts increasing from 6 at crew size 2, reaches its peak at 15.84 at crew size 6, and then starts decreasing again. Therefore, the optimal crew size would be 6 workers, as this crew size has the highest APL. This means that with a crew size of 6 workers, the trawler owner would be able to catch the most fish per worker.
In conclusion, if the trawler owner is interested in maximizing the total amount of fish caught, they should choose a crew size of 6, 7, or 8. However, if they are interested in maximizing the average amount of fish caught per worker, they should choose a crew size of 6 workers.

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_____ is the routine, day-to-day administration of liquid assets by an individual or family.a. Depository managementb. Resource managementc. Cash managementd. Bond managemente. Treasury management

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Treasury management is the routine, day-to-day administration of liquid assets by an individual or family.

It involves the management of cash, investments, and financing activities to ensure that sufficient funds are available to meet the organization's financial obligations. Treasury management also involves the management of foreign exchange, derivatives, money market instruments, and other financial instruments.

The objectives of treasury management are to maximize returns on investments, minimize risk, and manage liquidity. This involves careful consideration of the timing and risk of transactions, as well as the ability to identify and exploit investment opportunities.

Treasury management also requires knowledge of financial markets and an understanding of the associated risks. Professionals in this field must be able to interpret financial reports and make decisions that will ensure the organization's financial stability.

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weekly demand for the art of the steal is normally distributed with a mean of 30 copies and a standard deviation of 10 copies. the publisher's lead time is 2 weeks. the bookseller wants to provide a 95% service level to her customers. the safety stock to be used with this book is:

Answers

This means that the bookseller should keep at least 23 additional copies in stock to ensure a 95% service level to customers in case demand exceeds expectations.

To determine the safety stock for "The Art of the Steal" with a 95% service level, you need to consider the mean weekly demand, standard deviation, and lead time. The mean weekly demand is 30 copies, and the standard deviation is 10 copies. The lead time is 2 weeks.

To calculate the safety stock, first find the cumulative probability corresponding to a 95% service level using a Z-table. The Z-score for a 95% service level is approximately 1.645. Next, multiply the standard deviation by the square root of the lead time, which is √2, to find the standard deviation during the lead time (10 * √2 ≈ 14.14).

Finally, multiply the Z-score by the standard deviation during the lead time (1.645 * 14.14 ≈ 23.25).

Therefore, the safety stock to be used with this book is approximately 23 copies.

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Suppose from one year to the next, the GDP deflator increased by 6% and nominal GDP increased by 3%. From this information, we can say... O we had a recession O we had economic growth O none of the other optionsO real GDP must have stayed the same O we had deflation

Answers

Real GDP takes into account the effect of inflation, so when the GDP deflator is increasing by 6% and nominal GDP is only increasing by 3%, it is likely that the real GDP has stayed the same.

This would suggest that the economy experienced economic stagnation rather than economic growth or recession. Deflation is when prices are going down, so this would not be an accurate description for the situation.

The GDP deflator is used to compare economic output from one year to the next, taking into account inflation. By increasing by 6%, it suggests that the prices of goods and services have gone up, resulting in the nominal GDP increasing by a smaller amount.

Therefore, the conclusion is that real GDP has stayed the same.

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Which principle of value indicates that the value of a property is sustained when the property is harmoniously used with surrounding properties in the same area?ReconciliationConformityEconomic RentDouble declining balance depreciation"

Answers

The principle of value that indicates that the value of a property is sustained when the property is harmoniously used with surrounding properties in the same area is Conformity.

The principle of conformity indicates that the value of a property is sustained when the property is harmoniously used with surrounding properties in the same area. This principle is based on the idea that properties in the same area should be similar in terms of size, style, and amenities in order to maintain property values.

When properties in an area are not in conformity, it can lead to a decrease in property values for all properties in the area. For example, if a homeowner builds an oversized, modern-style home in a neighborhood of smaller, traditional homes, it may not be in conformity with the surrounding properties, and it may be difficult to sell the property for a price that reflects its actual value.

Therefore, conformity is an important principle of value that is taken into account when appraising properties. Appraisers will consider whether a property is in conformity with its surroundings when determining its value, as well as other factors such as location, condition, and amenities.

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onsider your college or university’s positioning statement.
–How does your college or university describe its attributes and the benefits it provides to the buyer (in this case, the student)?
–How would you describe your college or university’s competitive advantage?

Answers


To consider your college or university's positioning statement, look for its mission, vision, and value statements. These statements usually highlight the institution's attributes and the benefits provided to the students.

For example, your college or university may describe its attributes and benefits as offering high-quality education, dedicated faculty, innovative research opportunities, diverse campus life, and a strong alumni network. These factors contribute to the overall value and experience the institution provides to students.

To identify your college or university's competitive advantage, consider the unique aspects that set it apart from other institutions. This may include prestigious programs, exceptional research facilities, a strong focus on employability, or a commitment to social responsibility and sustainability.

In summary:

1. Examine your college or university's mission, vision, and value statements.
2. Identify the attributes and benefits mentioned in these statements that are provided to students.
3. Analyze the unique aspects that set your institution apart from others to determine its competitive advantage.

Remember that each college or university has its unique strengths and competitive advantages. Comparing these factors will help you gain a better understanding of your institution's positioning in the education market.

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L consists of M2 plus all other products that may be transferred into money. L is the most liquid category of money. O True O False

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The statement is true. L, also known as the "Liquidity Aggregate," is a measure of the money supply that includes M2 plus other highly liquid assets that can be easily converted into cash.

This includes money market funds, large-time deposits, and other similar financial instruments that can be quickly and easily transferred into money. L is considered the most liquid category of money because it includes the most readily available and easily accessible forms of currency and financial assets.

Liquidity Aggregate is an important concept in finance and economics, as it refers to the ease with which an asset or security can be converted into cash without affecting its market value. In the context of money, liquidity is especially important because it determines how quickly and easily people can access and use their funds. For example, if someone needs to pay a bill or make a purchase, they need to have access to liquid funds that they can quickly and easily convert into cash.

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If the actual overnight rate is higher than the Bank of Canada's target for the overnight rate, the Bank of Canada will? O decrease commercial bank reserves O increase reserves of commercial banks O increase the interest rate paid to banks on their reserves held with the Bank of Canada O sell government securities

Answers

If the actual overnight rate is higher than the Bank of Canada's target for the overnight rate, the Bank of Canada will likely opt to increase the reserves of commercial banks. This action can be achieved by purchasing government securities, which injects more funds into the banking system, ultimately lowering the overnight rate to align with their target.

If the actual overnight rate is higher than the Bank of Canada's target for the overnight rate, the Bank of Canada will increase the interest rate paid to banks on their reserves held with the Bank of Canada. This will incentivize banks to keep their reserves with the Bank of Canada, which will decrease the amount of money available for lending and ultimately bring the overnight rate back down towards the target. The Bank of Canada may also sell government securities to further decrease the money supply and bring the overnight rate back towards its target.

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A dividend yield of 10% says that, for each dollar we invest, we get _____cents in dividends.

Answers

A dividend yield of 10% says that, for each dollar we invest, we get  $100 cents in dividends.

When investing in stocks, one of the ways to earn a return on your investment is through dividends. A dividend is a portion of a company's profits that is paid out to its shareholders. The dividend yield is a measure of how much a company pays out in dividends relative to its stock price. In this response, we will explain how to calculate the amount of dividends you can expect to receive based on a given dividend yield.

Detailed explanation:

The dividend yield is expressed as a percentage and is calculated by dividing the annual dividend paid per share by the current market price per share. For example, if a company pays an annual dividend of $1 per share and its current stock price is $10 per share, the dividend yield would be 10% ($1 ÷ $10).

To calculate the amount of dividends you can expect to receive based on a given dividend yield, you need to know how much money you are planning to invest. Let's say you plan to invest $1,000 in a company with a dividend yield of 10%. To calculate how much you can expect to receive in dividends, you would follow these steps:

Convert the dividend yield from a percentage to a decimal by dividing by 100. In this case, the dividend yield is 10%, so the decimal equivalent is 0.10.

Multiply the amount you plan to invest by the decimal equivalent of the dividend yield. In this case, $1,000 x 0.10 = $100.

Therefore, if you invest $1,000 in a company with a dividend yield of 10%, you can expect to receive $100 in dividends.

It's important to note that dividend yields can change over time based on a variety of factors, including changes in a company's profits and changes in its stock price. Additionally, not all companies pay dividends, and some may pay a lower or higher dividend yield than others. When making investment decisions, it's important to consider all of these factors and to do thorough research before investing in any company.

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Based on the 49 CFR HAZMAT Table, what is the packing group for an item with the proper shipping name: Black powder for small arms?

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According to the 49 CFR HAZMAT Table, the packing group for Black powder for small arms is Packing Group III.


According to the 49 CFR HAZMAT Table (§172.101), Black powder for small arms is classified as UN0027 and assigned to Packing Group III. Packing Group III is the lowest level of hazard and indicates that the material poses a relatively low risk during transportation. However, it is still important to handle and transport Black powder for small arms in accordance with the applicable regulations and safety procedures to ensure safe transport.

Proper Shipping Name: Black powder for small arms
UN/NA Number: UN0027
Hazard Class: 1.1D
Packing Group: II

So, the packing group for this item is Packing Group II.

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Any point on the production possibilities curve illustrates:A. Minimum production combinations B. Maximum production combinations C. Economic growthD, A nonfeasible production combination

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Any point on the production possibilities curve illustrates a maximum production combination. The production possibilities curve represents the maximum output that an economy can produce with its available resources and technology.

The production possibilities curve (PPC) is a graphical representation of the maximum output that an economy can produce with its available resources and technology. The curve shows the different combinations of two goods that can be produced given the economy's resources and technology. Any point on the PPC represents a maximum production combination of the two goods. Points inside the curve are feasible but inefficient, while points outside the curve are unattainable with the current resources and technology. The slope of the PPC represents the opportunity cost of producing one good in terms of the other. Economic growth can be represented by an outward shift of the PPC, which occurs when an economy's resources or technology improves, allowing it to produce more output.

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Chuckie, president of DrinkUp Fresh Beverages, Inc., does not apply utilitarianism to business ethical issues. One problem with utilitarianism is that it a. requires complex cost-benefit analyses of simple situations b. tends to justify human costs that many find unacceptable. c. gives business profits priority over production costs d. ignores the practical costs of a given set of circumstances

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Chuckie, president of DrinkUp Fresh Beverages, Inc., does not apply utilitarianism to business ethical issues, as it tends to justify human costs that many find unacceptable. Thus the correct option is B.

The president of DrinkUp Fresh Beverages, Inc., Chuckie, rejects utilitarianism as a moral compass for doing business. The tendency of utilitarianism to defend human costs that many people find intolerable is one of its primary flaws.

While utilitarianism emphasises maximising general pleasure or happiness and minimising overall pain or suffering, it can sometimes ignore the rights and dignity of particular individuals. Furthermore, utilitarianism calls for in-depth cost-benefit evaluations of straightforward circumstances, which can be time-consuming and unworkable for enterprises to carry out.

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The periodicity assumption states that the economic life of a business can be divided into Group of answer choices equal time periods. cyclical time periods. artificial time periods. perpetual time periods.

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The periodicity assumption states that the economic life of a business can be divided into artificial time periods.

This assumption is one of the basic accounting principles that allows businesses to report their financial information on a regular basis, such as monthly, quarterly, or annually. By breaking down the economic life of a business into these artificial time periods, financial information can be reported in a more organized and meaningful way, which can help businesses and stakeholders make more informed decisions. This assumption also helps to ensure that financial information is reported consistently over time, allowing for easier comparisons between different periods.

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how many btus were consumed in the united states in 2017 by consumers that used petroleum as a fuel source? a 62 quadrillion btus b 28 quadrillion btus c 36 quadrillion btus d 97 quadrillion btusof energy in 2017, with 37% coming from petroleum (36.1 quadrilli on Btus), 29% from natural gas (28.3 quadrillion Btus), 14% from coal (13.7 quadrillion Btus)

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In 2017, the total energy consumption in the United States was 97 quadrillion Btus. The correct answer is option d.

Out of this, consumers that used petroleum as a fuel source accounted for 37% of the total energy consumption, which is equivalent to 36.1 quadrillion Btus.

This indicates that petroleum was the primary source of energy for consumers in the US in 2017, followed by natural gas and coal, which accounted for 29% and 14% of total energy consumption, respectively. The remaining energy was generated from renewable sources such as solar, wind, hydropower, and geothermal.

The high consumption of petroleum by consumers in the US highlights the need for greater investment in renewable energy sources and the development of more sustainable energy practices to reduce reliance on non-renewable energy sources and address climate change concerns.

The correct answer is option d.

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QUESTION 4 A company wants to make a single deposit now so it will have $84,252 five years from now. If the account will earn interest of 10% per year, the amount that must be deposited now is nearest to

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To find the amount that must be deposited now to have $84,252 five years from now at an interest rate of 10% per year, we can use the formula for the future value of a single deposit:

FV = PV * (1 + r)^n

Where FV is the future value ($84,252), PV is the present value (the amount to be deposited now), r is the interest rate (10%, or 0.10), and n is the number of years (5 years). We need to solve for PV:

84,252 = PV * (1 + 0.10)^5

Step-by-step explanation:

1. Calculate (1 + 0.10)^5 = (1.10)^5 = 1.61051
2. Divide both sides of the equation by 1.61051 to find PV:

84,252 / 1.61051 ≈ 52,304.43

So, the amount that must be deposited now is nearest to $52,304.43.

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4. Consider a game in which there is $4 to be divided, and the first mover is only permitted to make one of three proposals: (a) $3 for the first mover and $1 for the second mover, (b) $2 for each, or (c) $1 for the first mover and $3 for the second mover. The second mover is shown the proposal and can either accept, in which case it is implemented, or reject and cause each to earn $0. Show this game in extensive form. Be sure to show the payoffs for each person, with the first mover listed on the left, for each of the six terminal nodes.

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The game starts with the first mover making one of three proposals: (a) $3 for the first mover and $1 for the second mover, (b) $2 for each, or (c) $1 for the first mover and $3 for the second mover.  The first mover make a proposal that is acceptable to the second mover, while maximizing their own payoff.

The second mover then has the choice to accept or reject the proposal. If the proposal is accepted, the payoffs are as proposed. If the proposal is rejected, both players receive $0. There are six possible terminal nodes in the game, each representing a possible outcome of the game. At each of these terminal nodes, the payoffs for each player are listed, with the first mover listed on the left. For example, if the first mover proposes option (a) and the second mover accepts, the outcome is (1,3), meaning the first mover receives $1 and the second mover receives $3. The game is interesting because the first mover must take into account the preferences of the second mover when making a proposal. The second mover can reject any proposal that is unfavorable, even if it means receiving $0. The first mover must therefore make a proposal that is acceptable to the second mover, while maximizing their own payoff.

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1. Business cycles are always symmetric and the length of an expansion is the same as the length of a contraction. * True False 2. The salary paid to a member of the armed forces is an example of a transfer payment * True O False 3. The value of a 2005 boat you purchase from a boat dealer in 2007 would be counted in 2007's GDP. True O False 4. The Real Gross domestic product is adjusted for inflation and it is used to calculate the macro-indicator "GDP deflator". * True O False 5. Shifts in the AS curve are caused by: changes in inflationary expectations, and supply shocks (whether beneficial or harmful) such as changes the price of a key input, or changes in productivity. * True O False

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Only 4 and 5 statement is true rest are false i.e statement 1, 2, and 3. The Real Gross Domestic Product is adjusted for inflation and is used to calculate the macro-indicator "GDP deflator."

Changes in inflationary expectations, supply shocks, and changes in productivity can cause shifts in the AS curve to be true.

1. False. Business cycles can be asymmetric, with expansions lasting longer or stronger than contractions.  Business cycles are not always symmetric, and the length of expansions and contractions can vary.

2. False. The salary paid to a member of the armed forces is not a transfer payment, as they are receiving compensation for their work. The salary paid to a member of the armed forces is an example of transfer payment.

3. False. The value of a used boat purchased from a dealer is not included in GDP, as it is not a newly produced good or service. The value of a 2005 boat purchased in 2007 would not be counted in 2007's GDP, as it was produced in 2005.

4. True. Real GDP is adjusted for inflation, and the GDP deflator is a measure of inflation that can be calculated using it.

5. True.  Shifts in the AS curve are caused by changes in inflationary expectations, and supply shocks (whether beneficial or harmful) such as changes in the price of key input, or changes in productivity.

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