At maturity, the note and interest will be worth $82,000. a company's departments, evaluating their level of expertise and documentation regarding the processes in place at the moment.
What traits distinguish a mature person?
Age has no bearing on maturity; maturity is decided by how you choose to act and respond to various life situations. In essence, it is a stage of mental development or knowledge that has an impact on all facets of a person's life, including conduct and interpersonal interactions.
What makes maturity so crucial?
A person's ability to really commit to a relationship for life and comprehend that commitment entails forgoing all other partner options depends on their level of maturity. This in turn establishes the degree of dependability and trust.
Briefing:
$80,000 × .15 × 60/360 = $2,000 interest. $60,000 + $2,000 = $82,000 maturity value.
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How do I record on windows computer
Explanation:
Navigate to the screen you wish to record and press Win+G to open Game Bar. Several Game Bar widgets appear on the screen with controls for capturing screenshots, recording video and audio, and broadcasting your screen activity. Click the Start Recording button to capture your screen activity.
Answer:
you'd need to download software for recording. as far as i know windows doesnt have built in recording capabilities. are you looking at screen recording or just sound?
Explanation:
Bethany is still not sure what to do with her inheritance money. she has tried researching online but is overwhelmed by the amount of information available. discuss the different sources of financial information and guidance that bethany could use. -12
Different sources of financial information and guidance that Bethany could use can be interacting with financial advisors, online financial resources, social media and other sources of information.
Bethany can get advice and information about finances from a variety of sources when deciding how to use her inheritance. These sources include financial advisors, government organizations, social media, financial books and friends and family.
Online resources like financial news websites, blogs and podcasts are also included. She can create a tailored financial plan with the assistance of a financial advisor. Online sources, governmental organizations and social media platforms can offer financial data on a range of subjects.
Reading financial books can help you gain a deeper understanding of investing and personal finance. Asking friends and family for advice can provide insights based on personal experiences. Bethany can use these tools to plan for her financial future and make well-informed financial decisions.
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A _______ structure provides an organization with the most flexibility, but easier to operate. Multiple Choice functional product matrix geographic product team
The most flexible and easier to operate structure among the given options is the matrix structure. This structure allows for teams to be created based on specific projects or tasks, allowing for flexibility in adapting to changes in the business environment. The matrix structure combines the advantages of functional and product-based structures, allowing for efficient communication, collaboration, and decision-making.
In a matrix structure, employees are typically assigned to both a functional area and a product or project team. This allows for expertise and knowledge to be shared across departments, leading to increased innovation and creativity. The matrix structure also allows for better utilization of resources, as employees can work on multiple projects simultaneously.
However, the matrix structure can also be complex and challenging to manage, as there can be competing priorities and power struggles between different teams. Effective communication and leadership are essential to ensuring the success of a matrix structure.
Overall, the matrix structure provides an organization with the most flexibility while still being easy to operate. It allows for increased collaboration and innovation while ensuring efficient use of resources.
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what type of distribution strategy would you expect a film distributor to take with a critically acclaimed foreign film ( like the artist) that was a hit at the sundance film festival?
The Director is at the very top of the hierarchy. It's not complicated to understand that the director is in charge of directing the production's performers and action. At the start of each scene, they are the one who calls "Rolling," "Sound," and "Action!".
Pre-production (planning), production (filming), and post-production (editing and sharing) are the three primary phases of the movie-making process. Pre-production is the planning stage, during which you carefully map out your film. The content, method, and equipment you'll need for the shoot all need to be planned. Pre-production (planning), production (filming), and post-production (editing and sharing) are the three primary phases of the movie-making process.
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you own 100 shares in each of three companies, each company pays a dividend. gillete pays 1.15 per share in dividends, general electric pays .79 per share in dividends and hersheys food pays .84 per share in dividends how much do you collect from all 3 companies in dividend
Answer:
$278
Explanation:
100 * 1.15 = $115
100 * .79 = $79
100 * .84 = $84
$278
Hope this helps
The set of all possible outcomes of a probability experiment is called Select one: a. Event b. Outcome c. probability experiment d. Sample Space.
The set of all possible outcomes of a probability experiment is called sample space.
What is a sample space?A sample space is a set of all potential results from a probability experiment. It specifies the collection of all possible occurrences in an experiment. In probability, the sample space is significant because it gives a clear and comprehensive perspective of all potential outcomes, allowing the chance of each occurrence to be calculated.
A sample space's size is determined by the number of items it includes and might be limited or infinite. To assign probabilities to events, the sample space must be properly specified, and all events must be mutually exclusive and exhaustive, which means that they must not overlap and must cover all potential outcomes.
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More and more companies are opting to move away from the traditional approach of 'annual review' evaluating their employees' performance. Referencing the course text and drawing on your own experience or research, what is your preference and why?
The shift away from traditional annual performance reviews has gained momentum, with companies adopting alternative approaches like continuous feedback and frequent check-ins. Continuous feedback allows for immediate course correction, skill development, and recognition of achievements, promoting ongoing performance improvement.
The shift away from traditional annual performance reviews has gained momentum in recent years. Instead, companies are adopting alternative approaches such as continuous feedback, frequent check-ins, and goal setting. Here are a few points to consider when evaluating the preference for traditional annual reviews:
Continuous Feedback: Many organizations now recognize the benefits of providing timely and regular feedback to employees. Continuous feedback allows for immediate course correction, skill development, and recognition of achievements. This approach promotes ongoing performance improvement rather than relying solely on an annual review.
Agility and Adaptability: The business landscape is dynamic, and organizations need to be agile in responding to changing market demands. Frequent performance conversations and check-ins can better align employee goals with shifting organizational objectives. Regular discussions enable employees to adapt and address challenges in real-time.
Employee Engagement and Development: Traditional annual reviews often focus on past performance, making it difficult to address issues in a timely manner. In contrast, regular feedback fosters employee engagement, supports their development, and strengthens the manager-employee relationship. Employees feel more supported, valued, and motivated when they receive ongoing feedback and have the opportunity to discuss their goals and challenges.
Bias Reduction: Annual reviews can be subject to various biases, such as recency bias or leniency bias. Frequent performance conversations, combined with objective and specific feedback, can help mitigate these biases. Regular feedback also enables a more accurate and well-rounded assessment of employee performance.
Customization and Flexibility: Different employees may require different approaches to feedback and performance management. Some may benefit from more frequent check-ins, while others may prefer a combination of ongoing feedback and periodic reviews. Flexibility in performance management allows organizations to tailor approaches based on individual needs and preferences.
Ultimately, the preference for performance management approaches depends on various factors, including the organization's culture, industry, and workforce. It is essential for organizations to consider their unique context and objectives when deciding on the most effective approach to evaluate employee performance.
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an economy’s full-employment real output will decrease when
An economy's full-employment real output will decrease when there is a decrease in the level of production inputs such as capital and labor, and a decrease in the quality of the available production inputs.
Additionally, a reduction in the level of aggregate demand for goods and services in the economy can also cause a decrease in full-employment real output. The following are the reasons for a decrease in full-employment real output:
1. Reduced aggregate demand: In the event of a significant decrease in the level of aggregate demand, businesses will experience a significant drop in demand for their goods and services. This will force businesses to reduce their production output, leading to a decrease in full-employment real output.
2. Technological progress: Due to a lack of investment in research and development, the level of technological progress may slow down. This may result in a decline in the quality of capital and labor, as well as a decline in their availability. Consequently, full-employment real output may decline.
3. Natural disasters: Natural disasters such as hurricanes, earthquakes, and floods can destroy factories, warehouses, and other facilities, as well as damage transportation infrastructure. This may result in a significant reduction in the level of production, which in turn may lead to a decrease in full-employment real output.
In summary, full-employment real output can decrease due to a decline in production inputs such as labor and capital, a decline in their quality, reduced aggregate demand, slow technological progress, and natural disasters.
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you have been awarded an insurance settlement of $211,400 that is payable one year from today. what is the minimum amount you should accept today in exchange for this settlement if you can earn 6.3 percent on your investments? multiple choice $198,525.36 $224,718.20 $198,871.12 $207,239.13 $335,555.56
The minimum amount you should accept today in exchange for the insurance settlement of $211,400 payable one year from today, assuming a 6.3 percent investment rate, is $198,525.36.
To determine the minimum amount you should accept today, we need to calculate the present value of the future payment using the given investment rate of 6.3 percent. The formula to calculate the present value of a future payment is: Present Value = Future Value / (1 + r)^n
Where:
Future Value = $211,400 (the insurance settlement payable one year from today)
r = 0.063 (investment rate, expressed as a decimal)
n = 1 (one year)
Using this formula, we can calculate the present value:
Present Value = $211,400 / (1 + 0.063)^1
Present Value ≈ $198,525.36
Therefore, the minimum amount you should accept today in exchange for the insurance settlement is approximately $198,525.36.
Hence, the correct answer is $198,525.36.
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the phase of the business cycle in which real gdp declines is called: group of answer choices a recession. the trough. an expansion. the peak.
The correct answer is "a recession." The phase of the business cycle in which real GDP declines is referred to as a recession.
During a recession, economic activity contracts, leading to a decrease in output, employment, and income. It is characterized by a sustained period of economic decline and is typically accompanied by factors such as reduced consumer spending, decreased investment, and a slowdown in business activity. The opposite phase, in which real GDP increases, is called an expansion. The trough represents the lowest point of the recession, while the peak is the highest point of the expansion.
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Why are entrepreneurs essential to the success of a free enterprise economy?
Answer:
they help the market respond to changing prices and consumer preferences.
Explanation:
Entrepreneurs are themselves an important ‘factor of production’ and an essential aspect of a functioning free market economy. Importance of entrepreneurs Free market evolution. Entrepreneurs are important in a free market because they help the market respond to changing prices and consumer preferences.
Eddie sells furniture and earns 12% commission. This week he sold a couch for $1234, a bedroom suite for $1789, and a chair for $563. (4 pts.)
Complete question :
Eddie sells furniture and earns 12% commission. This week he sold a couch for $1234, a bedroom suite for $1789, and a chair for $563. Calculate Eddie's commission.
Answer:
$717.20
Explanation:
Given that :
Percentage commission earned on sale = 12%
Cost of items sold this week:
Couch = $1234
Bedroom suite = $1789
Chair = $563
Total cost of items :
($1234 + $1789 + $563) = $3586
Commission of 20% on sales :
20% of $3586
0.2 * $3586
= $717.20
If you see the letters "wh” on your paycheck, what do they stand for?
which situation indicates a weak internal control structure? a. the mail room clerk authorizes credit memos b. the warehouse clerk obtains a signature before releasing goods for shipment c. the record keeping clerk maintains both accounts receivable and accounts payable subsidiary ledgers d. the accounts receivable clerk prepares customer statements every month
The record-keeping clerk maintains both accounts receivable and accounts payable subsidiary ledgers situation indicates a weak internal control structure. The correct option is C.
What are the implications of weak internal control?According to these studies, businesses with weak internal controls are more likely to have financial reporting errors that lead to poorer accounting quality. Auditor changes are more likely with the audit committee. We can therefore assume that weak internal controls are linked to bad corporate governance.
Without internal controls, a company operates inefficiently, unreliable, and in contravention of all applicable laws and regulations. This typically results in the inability to compare performance to plans and projections.
Thus, the ideal selection is option C.
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An IT firm consisting of several subsidiary units works on the development of software for alloy die casting. The firm conducts regular surveys about their own products already on the market. Recently, the managing body of the firm directed the software architects to evaluate the performance of the software application and decided to initiate a software quality improvement program by which they could enhance the quality attributes of their existing software along with up-gradation of new selling target. Hence the IT firm planned to start multi-site development at various locations for better economic reasons. A. In this context suggest by highlighting one instance that how the potentiality of scalability for this multi-site development approach of the newly developed product can be impacted in a positive and negative manner. (2+2=4) B. In this context suggest by highlighting one instance that how the potentiality of performance for this multi-site development approach of the newly developed product can be impacted in a positive and negative manner.
Scalability is defined as a characteristic of software application or system which allows it to handle an increased amount of work by adding resources.
For this multi-site development approach of the newly developed product, the potentiality of scalability can be impacted in a positive manner because as the product is developed on different locations, there are chances of errors, bugs and lagging, but these issues can be easily identified and resolved on-site basis. On the other hand, the potentiality of scalability can be impacted negatively if the development of software application at various locations does not have a proper communication and collaboration system among them which can lead to inconsistency in product development and finally to production of non-uniform software products which can lead to a negative impact on the scalability of the product.
The potentiality of performance for this multi-site development approach of the newly developed product can be impacted positively because with multi-site development, there is an availability of ample resources for the development team, including enhanced human resources, testing, and feedback cycles that allow the development team to concentrate more on product quality and less on distribution costs. Additionally, multi-site development helps to increase the innovation, speed, and the overall quality of the software product. The downside to this approach is that if the communication and collaboration among the different locations and teams are poor, it could impact the performance negatively. It can lead to conflicts, misunderstandings, duplication of work, and problems with achieving uniformity in the software products. These issues will ultimately result in a negative impact on the product's performance.
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Smolira Golf Corp. has 20,000 shares of common stock outstanding, and the market price for a share of stock at the end of 2018 was $58. What is Tobin’s Q for Smolira Golf? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
Answer:
Note: Missing question is attached below
Market value of equity = Shares * Share price = 20,000 * $58 = $1,160,000
Total debt = Current liabilities + Long term debt = $83,416 + $145,000 = $228,416
Book value of assets = $627,868
Tobin's Q = MV of equity + Bv of debt / Bv of assets
Tobin's Q = $1,160,000 + $228,416 / $627,868
Tobin's Q = 2.21
if a firm does not grow as expected subsequent to convertible or bond-with-warrant issues, does that make it more or less likely that the securities will be converted or exercised? less likely to be converted or exercised more likely to be converted or exercised
If a firm does not grow as expected subsequent to convertible or bond-with-warrant issues, it is generally less likely that the securities will be converted or exercised.
This is because the holders of these securities are typically looking for growth potential and higher stock prices, and if the company does not meet these expectations, they may not see a good reason to convert or exercise their securities. However, there may be other factors at play, such as the terms of the securities or the overall market conditions, that could impact the likelihood of conversion or exercise.
If a firm does not grow as expected subsequent to convertible or bond-with-warrant issues, it is generally less likely that the securities will be converted or exercised. This is because the value of the underlying assets or stocks may not have increased enough to make conversion or exercise financially advantageous for the investors.
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Jazz Corporation owns 50% of the Williams Corp. Stock. Williams distributed a $10,000 dividend to Jazz Corporation. Jazz Corp.'s taxable income before the dividend was $100,000. What is the amount of Jazz's dividends received deduction on the dividend it received from Williams Corp.?
Answer:
$6,500
Explanation:
Calculation for the amount of Jazz's dividends received deduction on the dividend it received from Williams Corp
Based on the information given we were told that the Jazz's Corporation owns part of Williams Corp. stock which is 50% in which Williams Corp. stock distributed the amount of $10,000 dividend to Jazz Corporation which means that Jazz Corporation share in Williams stock is higher than 20% and as well lower than 80% based on this Jazz Corp.'s will be entitled to dividend received deduction of 65% calculated as:
Dividends received deduction =$10,000 × 65%
Dividends received deduction=$6,500
Therefore the amount of Jazz's dividends received deduction on the dividend it received from Williams Corp will be $6,500
determine the interest rate earned on a $2,150 deposit when $2,450 is paid back in one year. (round your answer to 2 decimal places.)
Answer: The interest rate earned on a $2,150 deposit when $2,450 is paid back in one year is 13.11%.
Explanation:
Here, the given data is:
Principal = $2,150
The amount repaid = $2,450
Time period = 1 year
Let's first determine the interest earned on the given deposit by subtracting the amount repaid from the principal.
Amount of interest earned = Amount repaid - Principal
Amount of interest earned = $2,450 - $2,150
= $300
Now, we can calculate the interest rate using the formula:
Interest rate = (Amount of interest / Principal) × 100
Substituting the given values,
Interest rate = (300 / 2150) × 100
Interest rate = 0.1395 × 100
Interest rate = 13.95%
Interest rate = 13.95%
Thus, the interest rate earned on a $2,150 deposit when $2,450 is paid back in one year is 13.95%.
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What pain points do candy businesses solve?
Answer:
Financial Pain Points. Financial pain points are perhaps the most common concern for consumers. ...
Productivity Pain Points. ...
Online Research Pain Points. ...
Product Cost Pain Points. ...
Checkout Pain Points. ...
Multi-Channel Shopping Pain Points.
Owner must share their profits.
True or false
Answer:
True
Explanation:
here's a easy career question
The answer is A) adjunct
Hope this helps :)
At the beginning of Year 2, the Redd Company had the following balances in its accounts: Cash Inventory Common stock Retained earnings $ 16,900 25,000 30,000 11,900 During Year 2, the company experienced the following events: 1. Purchased inventory that cost $15,200 on account from Ross Company under terms 1/10, n/30. The merchandise was delivered FOB shipping point. Freight costs of $200 were paid in cash. 2. Returned $800 of the inventory that it had purchased because the inventory was damaged in transit. The seller agreed to pay the return freight cost. 3. Paid the amount due on its account payable to Ross Company within the cash discount period. 4. Sold inventory that had cost $18,000 for $32,000 on account, under terms 2/10, n/45. 5. Received merchandise returned from a customer. The merchandise originally cost $800 and was sold to the customer for $1,500 cash. The customer was paid $1,500 cash for the returned merchandise. 6. Delivered goods FOB destination in Event 4. Freight costs of $140 were paid in cash. 7. Collected the amount due on the account receivable within the discount period. 8. Took a physical count indicating that $21,100 of inventory was on hand at the end of the accounting period. Required C-1. Prepare a multistep income statement. c-2. Prepare a statement of changes in stockholders' equity. C-3. Prepare a balance sheet. C-4. Prepare a statement of cash flows. Complete this question by entering your answers in the tabs below. Req ci Req C2 Req C3 Req C4 Prepare a balance sheet. REDD COMPANY Balance Sheet As of December 31, Year 2 Assets Cash Merchandise inventory $ 0 Total Assets Liabilities Stockholders' Equity Common stock Retained earnings $ 0 Total Stockholders' Equity Total Liabilities and Stockholders' Equity $ $ 0
At the beginning of Year 2, the Redd Company had the following balances in its accounts:
Cash inflows and outflows related to the company's core operations.
Cash inflows and outflows related to the company's investments.
Cash inflows and outflows related to the company's financing activities.
C-1. Multistep income statement:
Sales revenue: $32,000
Cost of goods sold: $18,000
Gross profit: (Sales revenue - Cost of goods sold)
Operating expenses: (if provided in the question)
Net income: (Gross profit - Operating expenses)
C-2. Statement of changes in stockholders' equity:
Beginning common stock: $30,000
Net income: (calculated in C-1)
Dividends (if provided in the question)
Ending common stock: (Beginning common stock + Net income - Dividends)
Beginning retained earnings: $11,900
Net income: (calculated in C-1)
Dividends (if provided in the question)
Ending retained earnings: (Beginning retained earnings + Net income - Dividends)
C-3. Balance sheet:
Assets:
Cash: $16,900
Merchandise inventory: (calculated in C-4)
Liabilities:
None mentioned in the question
Stockholders' equity:
Common stock: (calculated in C-2)
Retained earnings: (calculated in C-2)
C-4. Statement of cash flows:
Operating activities: Cash inflows and outflows related to the company's core operations.
Investing activities: Cash inflows and outflows related to the company's investments.
Financing activities: Cash inflows and outflows related to the company's financing activities.
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Req C1: Prepare a multistep income statement for Redd Company:
REDD COMPANY
Income Statement
For Year 2
Sales: $32,000
Less: Cost of Goods Sold:
Beginning Inventory: $25,000
Add: Purchases: $15,200
Freight-In: $200
Less: Purchase Returns: $800
Cost of Goods Available for Sale: $39,600
Less: Ending Inventory: $21,100
Cost of Goods Sold: $18,500
Gross Profit: $13,500
Less: Operating Expenses:
Freight-Out: $140
Operating Income: $13,360
Req C2: Prepare a statement of changes in stockholders' equity for Redd Company:
REDD COMPANY
Statement of Changes in Stockholders' Equity
For Year 2
Common Stock:
Beginning Balance: $30,000
No Changes
Ending Balance: $30,000
Retained Earnings:
Beginning Balance: $11,900
Add: Net Income: $13,360
Ending Balance: $25,260
Req C3: Prepare a balance sheet for Redd Company:
REDD COMPANY
Balance Sheet
As of December 31, Year 2
Assets:
Cash: $16,900
Merchandise Inventory: $21,100
Total Assets: $38,000
Liabilities and Stockholders' Equity:
Liabilities: None
Stockholders' Equity:
Common Stock: $30,000
Retained Earnings: $25,260
Total Stockholders' Equity: $55,260
Total Liabilities and Stockholders' Equity: $55,260
Req C4: Prepare a statement of cash flows for Redd Company:
REDD COMPANY
Statement of Cash Flows
For Year 2
Operating Activities:
Net Income: $13,360
Add: Depreciation Expense: [Not provided]
Changes in Working Capital:
Increase in Accounts Payable: $0
Decrease in Accounts Receivable: $0
Increase in Inventory: $4,100
Increase in Accrued Expenses: [Not provided]
Net Cash Provided by Operating Activities: [Not provided]
Investing Activities:
Purchase of Inventory: ($15,200)
Purchase of Property, Plant, and Equipment: [Not provided]
Net Cash Used in Investing Activities: ($15,200)
Financing Activities:
None
Net Increase in Cash: [Not provided]
Cash at Beginning of Year: $16,900
Cash at End of Year: [Not provided]
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Reinvesting cash flow allows a firm produce additional products and generate additional sales.
O True
O False
Eloise, the director of Human Resources at her organization
Since Eloise is working to determine its human resource needs for the next five years, her first course of action is: assessing the future labor supply.
What is Human resources management?Human resources management (HRM) can be defined as an art that involves effectively and efficiently managing, controlling and improving the functions, number of employees or workers, activities that are being used by an organization.
This ultimately implies that, human resources managers are saddled with the responsibility of recruiting, managing and improving the welfare and working conditions of the employees working in an organization because they are the most important asset of any organization.
In conclusion, Eloise's first course of action is assessing the future labor supply for her organization.
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Complete Question:
Eloise, the director of human resources at her organization, is working to determine its human resource needs for the next five years. Eloise's first course of action is?
Planning , using a five step process.
In general, the ____ risk you are willing to take the ____the possible return on your investments.
Answer: sexual aids
Explanation:
During the taking of its physical inventory on December 31,2008, Genesis company incorrectly counted its inventory as $126,000 instead of the correct amount of $135,000.
Explanation:
Given:
Wrong inventory needed = $126,000
Right inventory need to recorded = $135,000
Correct amount need to record = 135,000 - 126,000
Correct amount need to record = $9,000
Journal entry
Purchase A/c dr 9,000
To Credit or cash A/c 9,0000
What is likely to happen to the equilibrium price and output if a perfectly competitive firm were to become a monopolist
In a perfectly competitive market, there are many firms competing with each other, which results in a market price determined by supply and demand. Each firm produces a small portion of the market output, and no single firm can influence the market price.
However, if a perfectly competitive firm becomes a monopolist, it gains the ability to control the market price by limiting the quantity of output it produces. In a monopoly, the firm has complete control over the market supply and can choose the output level that maximizes its profits. As a result, the firm will decrease the quantity of output produced from the competitive level to the monopoly level, which is the quantity at which marginal revenue equals marginal cost. This reduction in output leads to an increase in the market price, as the monopolist is able to charge a higher price for the reduced output. Thus, the equilibrium price and output will change as a result of the firm becoming a monopolist. The new equilibrium price will be higher than the competitive price, and the output level will be lower than the competitive output level. This means that consumers will pay a higher price for less output, while the monopolist will earn higher profits than it would have in a competitive market.
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3- Use the following data to answer the questions below:
Category
Billions of Dollars
Consumption $200
Investment $ 50
Government Spending $ 60
Exports $ 70
Imports $ 80
Depreciation $ 10
Foreign Factor Income $ 10
Please answer in whole numbers.
a. How much is net exports? $
b. How much is net investment? $
c. How much is GDP? $
d. How much is Net Domestic Product? $
e. How much is National Income?$
Explanation:
a. Net exports = Exports - Imports = $70 - $80 = -$10 b. Net investment = Investment - Depreciation = $50 - $10 = $40 c. GDP = Consumption + Investment + Government Spending + Net Exports = $200 + $50 + $60 - $10 = $300 d. Net Domestic Product = GDP - Depreciation = $300 - $10 = $290 e. National Income = Net Domestic Product + Foreign Factor Income = $290 + $10 = $300
Select the correct location on the image.
Which box on a W-4 notes an employee's filling status?
Box number 3 on a W-4 notes an employee's filling status?
What is a W-4?
An IRS form known as a W-4, also known as a "Employee's Withholding Certificate," instructs employers how much tax should be deducted from each employee's paycheck. Employers utilize the W-4 to calculate some payroll taxes and remit the taxes on behalf of employees to the IRS and the state (if applicable).
If your employer already has a copy of your W-4 form on file, you do not need to fill one out again. Additionally, you are not required to complete a new W-4 annually. But you'll probably need to complete a new W-4 if you start a new employment or wish to change the withholdings at your current position. In either case, it's a good justification for reviewing your withholdings.
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