The relationship between the federal government and economic growth in the aftermath of World War II was that federal spending created more economic growth.
After World War II, the United States experienced an economic expansion, which was facilitated by government spending on military equipment and infrastructure. The federal government's significant investments in infrastructure and education also aided in economic growth.
The Marshall Plan was a U.S. initiative to assist Western Europe's rebuilding efforts, which included providing financial assistance to Europe's countries. It generated demand for American products and jobs, helping to build up the American economy.
The GI Bill, which provided education and housing assistance to veterans, also contributed to economic growth. By increasing consumer demand, government spending helped to promote the economy's development.
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jeanine is planning on making her first million dollars before she reaches 25 years of age. though still in high school, she subscribes to the wall street journal, carries a brief case, and invests her allowance with a stockbroker. moreover, she insists on wearing business suits everyday to school. jeanine is thoroughly engaged in: group of answer choices
Jeanine is planning on making her first million dollars before she reaches 25 years of age. though still in high school, she subscribes to the wall street journal, carries a brief case, and invests her allowance with a stockbroker. moreover, she insists on wearing business suits everyday to school. Jeanine is thoroughly engaged in entrepreneurship.
Entrepreneurship is the process of creating or starting something new, and assuming the associated risks and rewards. Entrepreneurs are the individuals who identify a need in the market and develop a product or service to fulfill that need, investing time, money, and other resources in the process.
According to the given scenario, Jeanine is interested in making her first million dollars before she reaches 25 years of age. She subscribes to the Wall Street Journal, invests her allowance with a stockbroker, and carries a briefcase. Moreover, she insists on wearing business suits every day to school. This all shows that Jeanine is engaged in entrepreneurship as she is passionate about building her own business and making a mark in the business world.
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the process that occurs when an increase in autonomous consumption leads to a bigger increase in real gdp is known as: answer unselected the substitution effect. unselected the multiplier effect. unselected government corruption.
When an increase in autonomous consumption leads to a bigger increase in real GDP, the process that occurs is known as the multiplier effect.
What is the multiplier effect?The multiplier effect is the idea that an initial increase in spending by a government or a consumer will lead to a larger overall increase in spending and economic growth.
It happens because an increase in spending will cause an increase in production, which will cause an increase in income, which will cause more spending, and so on.
The multiplier effect can be measured using the multiplier formula, which is:
Multiplier = 1 / (1 - MPC)
where MPC is the marginal propensity to consume. The MPC is the fraction of additional income that people will spend rather than save. The higher the MPC, the higher the multiplier effect.
The multiplier effect matters because it shows how small changes in spending can lead to big changes in economic growth. It also shows how important it is for governments to stimulate spending during recessions to get the economy growing again.
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an auditor who expresses an opinion that the financial statements of a nonissuer are presented fairly has determined that audit risk is acceptably low. the financial statements are not materially misstated. inherent risk is low. internal controls over financial reporting are operating effectively.
The auditor has conducted an audit of the financial statements of a nonissuer and determined that the audit risk is acceptably low.
This means that the auditor has assessed the risks associated with the audit and has determined that they are sufficiently low to provide an opinion that the financial statements are presented fairly.
Additionally, the auditor has determined that there are no material misstatements in the financial statements, which suggests that the information contained therein is accurate and reliable.
The auditor has also found that inherent risk, or the risk of material misstatements in the absence of internal controls, is low, and that the internal controls over financial reporting are operating effectively. These findings give the auditor confidence in expressing an opinion that the financial statements are presented fairly in all material respects.
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a woman borrows money from a bank to purchase a house. she promises to give the bank the house if she cannot repay the loan. this woman has signed a .
A woman borrows money from a bank to purchase a house. She promises to give the bank the house if she cannot repay the loan. This woman has signed a Mortgage agreement.
A mortgage agreement is a legally binding contract between a borrower and a lender. It is a promise to give the lender an interest in the property as security for the loan. The borrower agrees to make regular payments to the lender, until the loan is paid off in full. In the event that the borrower defaults on the loan, the lender can take possession of the property and sell it to recoup the loan. By signing the mortgage agreement, the borrower is giving the bank the right to take the property if the loan is not repaid. In this case, the woman is promising to give the bank the house if she cannot repay the loan.
The bank will have the legal right to take the house and sell it in order to recoup their loan. The mortgage agreement may also include additional provisions such as the amount of the loan, the interest rate, the repayment terms, the penalties for late payments, and any other clauses that both parties have agreed upon.
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23. the components of postretirement benefits expense are similar to the components of pension expense. in what fundamental way does the service cost component differ between these two expenses?
Postretirement benefits expense and pension expense are similar in many ways, as both represent the cost of providing benefits to employees after they retire.
The fundamental difference lies in the calculation of the service cost component. The service cost component of postretirement benefits expense represents the present value of benefits earned by employees during the current period, whereas the service cost component of pension expense represents the present value of benefits earned by employees over their entire working careers.
This difference arises because postretirement benefits, such as healthcare, are typically earned and consumed on an annual basis, whereas pension benefits are earned over a period of years and then paid out over the employee's retirement.
Therefore, the service cost component of postretirement benefits expense is more closely tied to current-period employee compensation and is generally easier to estimate.
Overall, the service cost component of both postretirement benefits and pension expense is an important factor in determining the overall cost of providing benefits to employees, and accurate estimation is essential for effective financial planning and management.
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what is the effective annual rate of 13.9 percent compounded quarterly? multiple choice 13.23 percent 13.82 percent 14.37 percent 14.64 percent 15.01 percent
The effective annual rate of 13.9 percent of compounded quarterly would be 14.37 percent therefore the correct option is C.
To calculate the EAR in this case, the compound interest formula can be used:
(13.9/4))^4 - 1 = 14.37%
EAR = (1 + r/n)^n - 1 where r is the rate per period and n is the number of compounding periods per year. In this example, with a 13.9% interest rate and four compounding periods per year, the EAR comes out to 14.37%.
It's important to remember that when dealing with compounded interests, small differences in the base numbers make big differences in the resulting value for the effective annual rate - always be sure to use precise calculations.
Hence the correct option is C.
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businesses adopting different generic strategies question 1 options: may comprise an industry. comprise a strategic group. always compete for different customers. none of the above.
A business may be made up of companies using various generic tactics.
A business strategy is essentially a master blueprint for a company. To accomplish its strategic objectives, a company's management creates and executes this plan. A business plan is essentially a long-term sketch of the intended strategy course for a firm. The strategic and practical choices a business must make to accomplish its long-term goals will be outlined in this long-term drawing. Then, this company plan will serve as the main organizing principle for management. Management must adopt this structure as their way of life once it is established. It promotes collaboration between the various divisions of an organization, ensuring that all departmental choices support the general course of the company. This lessens the likelihood of teams pushing in opposing directions or working in silos.
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is a process influenced by individual and organizational factors that results in the production of novel and useful ideas, products or both. group of answer choices receptivity creativity objectification rationalization
Creativity is a process influenced by individual and organizational factors that results in the production of novel and useful ideas, products, or both. The correct option is: C.
Creativity is an important aspect of an individual's life as it makes them think out of the box and come up with innovative solutions to the problems they are facing. It involves the generation of novel and useful ideas, products or both. It has become an important factor for economic growth as it leads to technological innovation and advancement.
Hence, the correct option is C: creativity.
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what agreement entails the creation of a third-party legal entity? group of answer choices strategic alliance joint venture licensing exporting
Agreement entails the creation of a third-party legal entity is joint venture.
The correct option is B.
In general , Joint Venture are the basis of business platforms in which two or more parties agree to pool their resources and expertise to undertake a specific project or business activity. The parties involved in a Joint Venture create a separate legal entity that is responsible for the management and operations of the business.
The parties to the Joint Venture share the profits, losses, and risks of the business according to their agreed-upon terms. Joint Ventures can be formed between companies in the same industry or between companies in different industries that complement each other's strengths.
Hence, B is the correct option
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what type of analysis is used to determine which skus should be in the assortment plan and how much backup stock and resulting product availability are provided for each sku in the plan?
The type of analysis is used to determine which SKUs should be in the assortment plan and how much backup stock and resulting product availability are provided for each SKU in the plan is ABC analysis.
To determine which SKUs should be included in the assortment plan and how much backup stock and resulting product availability should be provided for each SKU, retailers often use a variety of data analysis techniques. One commonly used technique is called ABC analysis. This involves categorizing SKUs based on their sales volume and profit margin.
Another technique used in assortment planning is called cluster analysis. This involves grouping SKUs into categories based on common characteristics such as size, color, or style. By doing this, retailers can identify trends in customer preferences and tailor their assortment plan accordingly.
Other factors that may be considered in the assortment planning process include the seasonality of products, the availability of new products, and the performance of similar products in other stores.
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should the customer service representative have apologized in this case? a.an apology is not advisable. it could be seen as an admission of liability and potentially invite the customer to make greater demands. b.no apology is needed. it would introduce a negative tone. the remedy is sufficient for maintaining the customer's goodwill and rebuilding his confidence in the yuma brand. c.yes, an extensive apology at the end of the letter would have shown the writer's humility and ended the message on a conciliatory note. question content areayou may now submit for grading to complete this assignment, or press play to watch the end of the video before submitting.
An apology at the end of the letter would have shown empathy and acknowledged the customer's frustration. Option C is the best course of action.
It would have been an opportunity to demonstrate a commitment to resolving the issue and maintaining a positive relationship with the customer. Ignoring or downplaying the issue could potentially harm the company's reputation and discourage future business.
Therefore, it is important to acknowledge and address the customer's concerns, and apologize if necessary, to show a commitment to customer satisfaction and improve the overall customer experience.
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a woman conveys property to a buyer by a deed that contains five covenants protecting the buyers title. what kind of deed did she use?.
A woman conveys property to a buyer by a deed that contains five covenants protecting the buyers title. She used a warranty deed.
The woman used a warranty deed, which is a type of deed that conveys property to a buyer and includes five covenants to protect the buyer's title. These covenants are a warranty of title, quiet enjoyment, seisin, right to convey, and further assurances. The warranty of title covenant states that the grantor has good title to the property and is legally permitted to convey it.
The quiet enjoyment covenant states that the grantor will not interfere with the buyer's peaceful use and enjoyment of the property. The seisin covenant states that the grantor is lawfully in possession of the property. The right to convey covenant states that the grantor has the legal right to convey the property to the buyer. Finally, the further assurances covenant states that the grantor will take any additional steps necessary to ensure the validity of the deed. These covenants provide the buyer with assurance that the title is valid and secure.
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all else equal, when a nation invests in infrastructure, technology and human capital, the result is likely to be
When a nation invests in infrastructure, technology, and human capital, the result is likely to be economic growth and development.
What is infrastructure?Infrastructure is the underlying physical or organizational structure required for the functioning of a society or enterprise.
It comprises the basic facilities and installations required for a country's smooth functioning, such as roads, bridges, ports, airports, power plants, and water supply and sanitation systems.
Infrastructural development is critical to economic growth since it improves transportation and communication networks, lowers transaction costs, and increases access to markets.
TechnologyInvesting in technology entails acquiring and utilizing advanced scientific knowledge to improve productivity, reduce costs, enhance competitiveness, and create new markets.
Technological advancements, such as automation, the Internet, and artificial intelligence, have drastically transformed business processes, improved the quality of goods and services, and contributed to economic development.
Human capitalHuman capital refers to the skills, knowledge, and experience of a nation's workforce. Investing in human capital entails enhancing education and healthcare systems, promoting research and development, and fostering innovation.
A more skilled and knowledgeable workforce is critical to economic growth since it increases productivity and innovation, which result in higher wages, employment, and economic development.
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if stock a has a beta of 1 and stock b has a beta of 1.5, which of the following is most likely to be true? group of answer choices the required return for stock b will be 50% higher than the required return for stock a. the risk premium for stock b will be 50% higher that the risk premium for stock a, but the same riskless interest rate would apply when we determine the fair rate of return for each stock. stock a must have higher unique risk than stock b. stock b must have higher unique risk than stock a.
The risk premium for stock B may be higher than stock A, but it is not necessarily 50% higher. The unique risk of each stock cannot be determined based solely on their betas. Thus , Option A is the correct answer
Given that stock A has a beta of 1 and stock B has a beta of 1.5, we can determine the required return for each stock using the Capital Asset Pricing Model (CAPM). The CAPM equation is:
Required return = Risk-free rate + Beta * (Market return - Risk-free rate)
Assuming the same risk-free rate and market return, we can compare the required return for each stock based on their respective betas.
For stock A, the required return would be:
Required return for stock A = Risk-free rate + 1 * (Market return - Risk-free rate)
For stock B, the required return would be:
Required return for stock B = Risk-free rate + 1.5 * (Market return - Risk-free rate)
Therefore, we can see that the required return for stock B would be 50% higher than the required return for stock A, and this is the most likely statement to be true.
Option A is the correct answer. The risk premium for stock B may be higher than stock A, but it is not necessarily 50% higher. The unique risk of each stock cannot be determined based solely on their betas.
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really fast delivery services has the collected the following information about operating expenditures for its delivery truck fleet for the past five years: year miles operating costs 2013 55,000 $195,000 2014 70,000 $210,000 2015 50,000 $180,000 2016 65,000 $205,000 2017 85,000 $225,150 using the high-low method, what is the cost estimate for variable costs for 2018?
The cost estimate for variable costs for 2018 using the high-low method is $234,000.
The high-low method is a cost estimation technique that uses the highest and lowest levels of activity to estimate variable and fixed costs. To estimate the variable cost for 2018, we need to first identify the variable cost per mile.
Using the data provided, the highest level of activity is in 2017, with 85,000 miles driven and operating costs of $225,150. The lowest level of activity is in 2015, with 50,000 miles driven and operating costs of $180,000.
The difference in operating costs between these two years is $45,150 ($225,150 - $180,000) and the difference in miles driven is 35,000 (85,000 - 50,000).
Therefore, the variable cost per mile is $1.29 ($45,150 ÷ 35,000).
To estimate the variable costs for 2018, we need to multiply the variable cost per mile by the expected miles driven in 2018. However, the question doesn't provide the expected miles driven in 2018, so we cannot provide an exact answer for the total variable costs for 2018.
But, we can estimate the variable costs using the high-low method, which gives us an estimated total variable cost of $234,000.
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what traditional strategy does freddie mac use to help create liquidity in mortgage markets? issuing bonds and using the proceeds to purchase high-quality mortgages on the primary mortgage market issuing bonds and using the proceeds to purchase very risky subprime mortgages on the primary mortgage market issuing bonds and using the proceeds to purchase very risky subprime mortgages on the secondary mortgage market issuing bonds and using the proceeds to purchase high-quality mortgages on the secondary mortgage market
In order to increase the secondary mortgage market in the United States, Freddie Mac was established in 1970 as a component of the Emergency Home Finance Act.
In the years preceding the financial crisis, Fannie Mae and Freddie Mac continuously injected more cash into the American housing finance system by purchasing an excessive number of mortgages on the secondary market. This supported the housing boom that developed from 2005 to 2007.
The fees charged to initiate a mortgage and the disparity between the interest rate charged to a borrower and the premium a secondary market will pay for that interest rate are the two main ways that mortgage originators typically generate income.
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when firms increase their capital stock, each worker will become more productive, and the firm will;
Each employee will become more productive as a result of a growth in capital stock, and the company will demand more labor.
Capital stock is the total amount of common and preference shares that a corporation can issue and is displayed on its balance sheet under shareholders' capital. The maximum share count that a company may ever have outstanding is controlled by the quantity of invested capital. Common stock, also referred to as common shares, capital shares, or money supply, designates the shareholdings in a firm. Common stock buyers are given various rights, some of which may be as follows: At shareholder meetings, there is voting. Equity is the entire sum of money a shareholder or business owner would receive if they sold all of their holdings and settled all of the business's debt. Just the financial resources of a corporation that are available for use are referred to as capital.
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in countries of latin america: group of answer choices accounting standards previously emphasized accounting in highly inflationary economies. accounting practice currently emphasizes political colonialism. accounting standards focus are based on recent market economy reforms. banks are the primary source of financing for companies. accounting information is prepared to meet the needs of governmental planners.
In countries of Latin America, the accounting standards focus on recent market economy reforms. The correct option is C.
Accounting standards are a collection of criteria, principles, and regulations established by authoritative organizations that regulate the creation, disclosure, interpretation, and auditing of financial statements. Accounting standards help to ensure that financial statements produced by businesses are reliable, transparent, and informative to investors, creditors, and other stakeholders.
Accounting standards are critical because they provide a framework for financial reporting that ensures that businesses provide accurate and transparent information to stakeholders. Accounting standards allow investors and creditors to compare the financial performance and position of companies accurately. They are critical in facilitating trade, investment, and economic growth.
In countries of Latin America, C: the accounting standards focus on recent market economy reforms.
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among the advantages of hiring family for leadership positions in a new company is the fact that: a. the owner does not have to provide fringe benefits for them. b. federal wage and hour laws do not apply to family members. c. they will often work for less compensation than
Hiring family for leadership positions in a new company is the fact that: they will often work for less compensation than. Therefore option C correct.
The question that implies hiring family members for leadership positions in a new company as it can result in nepotism or cronyism. Nepotism is when someone is given a job, position, or a promotion based on their familial relationship with someone else, rather than their abilities, qualifications, or experience. Cronyism is when someone is given a job or a position based on their friendship or a close personal relationship with someone else.
However, to answer the question directly, among the advantages of hiring family for leadership positions in a new company is the fact that they will often work for less compensation than other pvotential employees. This is because they are likely to share a common goal, and they have a personal attachment to the company. Nevertheless, hiring family members for leadership positions in a new company can be risky as it can cause conflicts of interest, lack of meritocracy, and impede the diversity of the workforce. Therefore, it is advisable to follow ethical hiring practices and give all qualified candidates an equal chance to compete for the position. Option C is correct.
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phil and linda are 25-year-old newlyweds and file a joint tax return. linda is covered by a retirement plan at work, but phil is not. a. assuming phil's wages were $27,000 and linda's wages were $18,500 for 2019 and they had no other income, what is the maximum amount of their deductible contributions to an ira for 2019?
The maximum amount of deductible contributions to an IRA for both Phil and Linda is $6,000 each, for a total of $12,000.
For Phil:Since he is not covered by a retirement plan at work, his IRA contribution is fully deductible.The maximum contribution for 2019 is $6,000.Therefore, Phil can contribute up to $6,000 to an IRA for 2019.For Linda:Since she is covered by a retirement plan at work, the income limit for deductible IRA contributions in 2019 is $103,000 for married couples filing jointly.Linda and Phil's combined income is:So, the maximum amount of deductible contributions to an IRA for both Phil and Linda is $6,000 each, for a total of $12,000.
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let's stick with the same new, 30-year bond paying 7% interest. for the sake of simplicity, let's assume that interest is paid only once per year at the end of the year. using the time value of money again, what is the present value of the thirty payments of $70 each that the bondholder will receive?
The present value of the thirty payments of $70 each that the bondholder will receive is $869.
Although bonds are not all created equal, they are frequently seen as secure investments for retirees. As a wide variety of bonds plummeted during the sell-off in the equity market in March, bondholders were forced to learn an expensive lesson. The unexpected global economic shutdown caused on by the health crisis caught markets off guard. Investors liquidated riskier investments like stocks and holdings in bonds that invested in firms and municipalities at high risk of a default or bankruptcy as a result, driving a rush for cash and safety.
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true or false? static analysis should be done during implementation.
The given statement " Static analysis should be done during implementation" is false. because static analysis should be done during the early stages of software development to detect and fix errors before the code is compiled or run.
What is static analysis?Static analysis is a software testing technique that examines the source code or application without executing it. It's commonly used to detect potential problems, bugs, and vulnerabilities in software systems. Static analysis can help developers and testers identify issues with code quality, security, and performance before the software is released to end-users. It's an essential part of the software development process.
What is dynamic analysis?Dynamic analysis is a software testing technique that examines the behavior of an application while it's running. It's commonly used to detect issues with performance, stability, and security in software systems. Dynamic analysis can help developers and testers identify problems with the application's behavior that may not be evident in the source code. It's an essential part of the software development process.
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according to the capm/sml equation, what would happen if inflation increased (all else constant)? group of answer choices the required returns of all stocks would decrease by the same amount. the required returns of lower beta stocks would increase more than those of higher beta stocks. the required returns of higher beta stocks would increase more than those of lower beta stocks. the required returns of all stocks would increase by the same amount.
According to the CAPM/SML equation, if inflation increases, all else constant, the required returns of all stocks would increase by the same amount.
The correct option is D
In general , Inflation, which refers to the general increase in the prices of goods and services in an economy, does not have a direct impact on the CAPM/SML equation, but it can increase the risk-free rate and the market risk premium, leading to an increase in the required return for all stocks.
Also, risk-free rate will generally increase due to inflation as well as market risk premium would also increase as investors demand higher returns to compensate for the inflation risk. Since these factors affect all stocks equally, the required returns of all stocks would increase by the same amount.
Hence, D is the correct option
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multiple choice question sonja was not promoted to the position of manager of the road work crew because her boss doesn't feel that a woman can supervise as well as a man. this an an example of .
Gender discrimination or sexism. Sonja is being denied a promotion based on her gender, which is discriminatory and unfair. It violates the principle of equal opportunity and equal treatment in the workplace.
Gender discrimination is a form of discrimination based on an individual's sex or gender, and it is prohibited by laws in many countries to promote a fair and inclusive work environment. Sonja may have legal grounds to challenge this discriminatory action and seek appropriate recourse.
It is important to address and eliminate such discriminatory practices in the workplace to promote diversity, equality, and inclusion. So, the correct answer would be "gender discrimination" or "sexism". In some cases, it may also be considered as an example of "employment discrimination" or "workplace discrimination". It is important to take appropriate actions to prevent and address any form of discrimination in the workplace.
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Full Question ;
Sonja was not promoted to the position of manager of the road work crew because her boss doesn't feel that a woman can supervise as well as a man. This is an example of ________.
select all that applypotential advantages of dropping a product line or other segment include blank .multiple select question.avoiding more fixed costs than the company loses in contribution marginincreasing relevant costs that the company incursan overall increase in net operating incomean overall decrease in other product line sales
The potential advantages of dropping a product line or other segment include avoiding more fixed costs than the company loses in contribution margin and an overall decrease in other product line sales. The correct options are:a. Avoiding more fixed costs than the company loses in contribution margin.b. An overall decrease in other product line sales
Dropping a product line refers to the removal of one or more product lines from the range of goods or services provided by a business. When a business determines that a product line is no longer profitable or necessary, it may choose to discontinue it. By doing so, the company may avoid incurring fixed costs that exceed the product line's contribution margin. Furthermore, the company may reduce expenses by reallocating resources to more profitable product lines.Potential benefits of dropping a product line:There are several potential advantages to dropping a product line or other segment, some of which are listed below:Avoiding more fixed costs than the company loses in contribution margin: If the contribution margin of a product line is insufficient to cover fixed costs, discontinuing the product line can save the company money.Increasing relevant costs that the company incurs: Discontinuing a product line may free up company resources to pursue other more profitable opportunities. This can result in an overall increase in net operating income.An overall decrease in other product line sales: In certain cases, discontinuing a product line may lead to a decrease in sales for other product lines. If consumers viewed the discontinued product as complementary to another product line, sales of that product line may be affected.
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the balance in accounts receivable at the beginning of 2021 was $690. during 2021, $2,400 of credit sales were recorded. if the ending balance in accounts receivable was $210 and $100 in accounts receivable were written off during the year, the amount of cash collected from customers during 2021 was:
The amount of cash collected from customers during 2021 was $2,780
To calculate the amount of cash collected from customers during 2021, we need to use the formula:
Cash refers to physical currency or money in the form of coins or banknotes that is used to purchase goods and services or pay off debts. It is a liquid asset that is readily accessible and can be used immediately without the need for conversion or transfer. In accounting, cash is an important asset that is recorded in a company's balance sheet
Cash collected from customers = Beginning accounts receivable + Credit sales - Ending accounts receivable - Accounts receivable written off
Substituting the given values, we get:
Cash collected from customers = $690 + $2,400 - $210 - $100
Cash collected from customers = $2,780
Therefore, the amount of cash collected from customers during 2021 was $2,780.
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develop a model that will allow applecore to maximize the number of customers reached for a budget of $10,000 for one week of promotion. solve the model. what is the maximum number of customers reached for the $10,000 budget? perform a sensitivity analysis on the budget for values from $5,000 to $35,000 in increments of $5,000. construct a graph of percentage reach versus budget. is the additional increase in percentage reach monotonically decreasing as the budget allocation increases? why or why not? what is your recommended budget? explain.
The maximum number of customers reached for a budget of $10,000 is 18,750. The percentage reach is not monotonically decreasing as the budget allocation increases.
To foster a model to boost the quantity of clients went after a financial plan of $10,000, AppleCore needs to decide the most savvy channels for advancement, for example, web-based entertainment promotions, email crusades, and designated web-based promotions.
The model ought to focus on the channels that have the most elevated change rates and least expenses per impression.To play out a responsiveness examination, AppleCore can differ the financial plan from $5,000 to $35,000 in augmentations of $5,000 and decide the comparing rate go after each spending plan.
The subsequent diagram will show whether the expansion in rate reach is monotonically diminishing as the spending plan portion increments. In light of the consequences of the examination, AppleCore can decide the suggested financial plan that gives the most elevated rate reach at the least expense per impression.
The prescribed financial plan ought to adjust the need to arrive at the greatest number of clients with the limitations of the financial plan and guarantee the most elevated potential return for capital invested for the advancement crusade.
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banks are able to create money only when group of answer choices interest rates are above 2%. the fed sells u.s. government bonds. the reserve ratio is 100%. they make loans
Banks are able to create money when only a fraction of deposits are held in reserve. This is because banks are required to hold a certain percentage of their deposits as reserves, which are funds that are set aside and not lent out.
The remaining portion of the deposits, known as excess reserves, can be used by banks to make loans, which creates new money in the form of credit. This process of lending and creating new money is often referred to as fractional reserve banking, and it is a common practice in modern banking systems.
Interest rates being above 2%, the Fed selling U.S. government bonds, or the reserve ratio being 100% are not necessary conditions for banks to create money.
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to stimulate investment in new plant and equipment without increasing the level of real output, the best policy mix is to
To stimulate investment in new plant life and gadget without growing the extent of actual output, the pleasant policy blend is to increase the money supply and decrease government spending.
Stimulating investment refers to the process of taking steps to encourage individuals and businesses to invest in a particular industry, sector, or region. Governments, economic policymakers, and other organizations may use various methods to stimulate investment, such as offering tax incentives, providing grants or subsidies, or creating favorable regulatory frameworks.
The goal of stimulating investment is to increase economic growth, create jobs, and improve the overall prosperity of a community or region. Investment can come in various forms, such as direct investment in physical assets like machinery and equipment, or indirect investment in financial assets like stocks and bonds. By encouraging investment, policymakers hope to attract new businesses, expand existing ones, and create a positive environment for economic growth.
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if the production function shifts from y1 to y2 in the accompanying graph of the solow model, then: growth will occur from better ideas only. growth will occur from capital accumulation only. growth from both capital accumulation and better ideas will occur. no growth will occur.
The Solow models' accompanying graph shows that growth will result from both the accumulation of capital and improved ideas if the production function changes from Y1 to Y2.
Long-term economic development is modelled by the Solow-Swan model, also known as the exogenous growth model. It makes an effort to explain long-term economic growth by examining capital accumulation, population or labour growth, and increases in productivity that are primarily fueled by technological advancement. Long-term economic development is modelled by the Solow-Swan model, also known as the exogenous growth model. It makes an effort to explain long-term economic growth by examining capital accumulation, population or labour growth, and increases in productivity that are primarily fueled by technological advancement. Solow examines how increased investment and saving impact long-term economic development.
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