If this is true as far as it goes, there will be less crowding out than there would be if foreign funds did not flow into the country.
Interest rates are a key factor in determining the flow of capital between countries. If interest rate in one country is higher than in another, investors will be attracted to higher rate and may choose to invest their capital in that country. This can lead to an inflow of foreign funds into the country with higher rate, which can help to offset the impact of government borrowing on domestic interest rates.
The availability of investment opportunities and the perceived risk of investing in a country can also influence the flow of foreign capital. Foreign capital enters the market in search of a better interest rate return when interest rates rise due to increased government borrowing on the loanable funds market to finance the deficit. In turn, this tempers the interest rate increase. If this is true, there won't be as much crowding out as there would be without the inflow of foreign money. more if taxes are also changed. If taxes are changed, the amount will remain the same.
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A Market share is usually stated as a
Answer:
stock
Explanation:
a stock is a a share of a company
Drag the tiles to the correct boxes to complete the pairs.
Match the steps for conducting an informational interview with the task involved in each step or its purpose.
Research your chosen career field.
Prepare for the interview.
Follow up with your interviewer.
Identify someone to interview.
Conduct the informational interview.
Learn more about a company that interests you.
The correct matching of the steps for conducting an informational interview with the task involved in each step or its purpose is given
The MatchingResearch your chosen career field - Gain a deeper understanding of the industry or job, helping you ask informed questions during the interview and providing context for responses.
Identify someone to interview - Find a professional with relevant experience in your desired field or company, who can share insights and knowledge.
Prepare for the interview - Create a list of thoughtful questions based on your research and interests, and manage logistical tasks like scheduling and confirming meeting details.
Conduct the informational interview - Engage in a conversation, asking prepared questions and actively listening to insights and experiences.
Follow up with your interviewer - Send a thank-you note expressing gratitude and maintaining a positive connection for future networking opportunities.
Learn more about a company that interests you - Use insights from the informational interview to expand your understanding of a specific organization's culture, values, and opportunities, informing future career decisions and tailored job applications.
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Activities would you perform as an entrepreneur?
Answer:
no. because why it make since to person as an entrepreneur
On the long-run aggregate supply curve,
The long-run aggregate supply curve shows the relationship between price level and real GDP.
What is the supply curve?It should be noted that the information is incomplete. Therefore, an overview will be given. The supply curve is a graphic representation of the correlation between the cost of a good or service and the quantity supplied for a given period.
In this case, in a typical illustration, the price will appear on the left vertical axis, while the quantity supplied will appear on the horizontal axis.
The long-run aggregate supply curve shows the relationship between price level and real GDP that would be supplied if all prices were fully flexible.
The position of the long-run aggregate supply curve is determined by the aggregate production function and the demand and supply curves for labor.
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16. Which of the following is the total cost of production? A. The sum of explicate and implicit costs B. The average of implicit and explicit costs C. The sum of variable costs and marginal cost D. The difference of long - run and short run costs
The total cost of production is A. The sum of explicit and implicit costs.
How to find total cost of production ?The total cost of production refers to the sum of both explicit and implicit costs. Explicit costs are the monetary costs of production, such as the cost of raw materials, labor, and other inputs.
Implicit costs are the opportunity costs of production, such as the foregone income that could have been earned if the resources used in production were employed in an alternative use. The sum of explicit and implicit costs represents the total cost of production.
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On Jan. 20, ABC Co. received
$98
in full payment of a
$100
customer account. (The customer took advantage of a
2%
discount for early payment.) Show how to journalize the transaction into the cash receipts journal by selecting all of the correct actions below. (Check all that apply.)
$2
is entered into the Sales Disc. Dr. column.
$100
is entered in the Cash Dr. column. The customer's name is entered into the Account Credited column.
$100
is entered into the Accounts Receivable Cr. column.
$100
is entered into the Sale
Cr
. column.
$98
is entered in the Cash Dr. column.
In the given transaction, the following statements are correct which are:
$2 is entered into the Sales Disc. Dr. column.$100 is entered into the Accounts Receivable Cr. column. $98 is entered in the Cash Dr. column.Thus, the correct option is (A, D, F).
The amount owed to a business for products or services that have been delivered or utilized, but for which consumers have not yet made payment is known as accounts receivable, or AR. Accounts receivable are shown as a current asset on the balance sheet.
The accounts receivable turnover ratio or days sales outstanding can be used to assess a company's AR health.
A turnover ratio analysis can be performed to forecast when the AR will be received.
Here,
The journalized transaction are as follow:
Cash debited by $98Sales discount debited by $2Accounts receivable credit by $100Therefore, the correct option is "A, D, F".
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This is an incomplete question, the complete question is:
On Jan. 20, ABC Co. received $98 in full payment of a $100 customer account. (The customer took advantage of a 2% discount for early payment.) Show how to journalize the transaction into the cash receipts journal by selecting all of the correct actions below. (Check all that apply.)
A. $2 is entered into the Sales Disc. Dr. column.
B. $100 is entered in the Cash Dr. column.
C. The customer's name is entered into the Account Credited column.
D. $100 is entered into the Accounts Receivable Cr. column.
E. $100 is entered into the Sale Cr. column.
F. $98 is entered in the Cash Dr. column.
Shelton, Inc., has sales of $18 million, total assets of $16.5 million, and total debt of $9.4 million. Assume the profit margin is 8 percent.Required:a. What is the company's net income?b. What is the company's ROA?c. What is the company's ROE?
Answer:
a.
Net Income = $1,440,000 or $1.44 million
b.
ROA = 0.0873 or 8.73%
c.
ROE = 0.2028 or 20.28%
Explanation:
a.
The net income of the company can be calculated by multiplying the profit margin by the value of total sales.
Net Income = 18,000,000 * 0.08
Net Income = $1,440,000 or $1.44 million
b.
The return of assets or ROA is the value of Net Income expressed as a percentage of Total Assets. Thus, the formula for ROA is,
ROA = Net Income / Total Assets
ROA = 1.44 / 16.5
ROA = 0.08727272 rounded off to 0.0873 or 8.73%
c.
The ROE or return on equity is the profit or net income expressed as a percentage of total equity.
ROE = Net Income / Shareholders' Equity
First we need to calculate the value of total equity using the basic accounting equation.
Total Assets = Total Liabilities + Total Equity
16.5 = 9.4 + Total Equity
16.5 - 9.4 = Total Equity
Total Equity = $7.1 million
ROE = 1.44 / 7.1
ROE = 0.20281 or 20.281% rounded off to 0.2028 or 20.28%
Discuss the relationship between competition and consumer expectations.
Answer:
The relationship between competition and consumer expectations is by what the compitition is creating in terms of product and functionability. And the consumer expectation is what will help the by buying into this product.
Explanation:
Question 3 a. In choosing a supplier of raw materials for operations, there are a number of factors that need to be considered. Mention any three (3) of such factors.
When choosing a supplier of raw materials for operations, it's important to consider a variety of factors to ensure that you're making the best decision for your business. The factors are Quality, Price, Delivery time and reliability.
Below are three of such factors to consider:
1. Quality: The quality of the raw materials is a vital factor that you should consider when selecting a supplier. The quality of the raw materials will influence the quality of the finished goods produced. As a result, you'll need to ensure that the supplier you choose provides consistent, high-quality raw materials that meet your specifications.2. Price: Cost is an important factor to consider when selecting a supplier. You should ensure that the supplier is providing you with high-quality raw materials at a reasonable cost. It's also important to note that the cheapest supplier may not always be the best option, as quality may be compromised.3. Delivery time and reliability: It's critical to consider the delivery time and reliability of the supplier. The supplier should be able to deliver the raw materials on time and as agreed upon. Delayed deliveries can disrupt your operations, and if they occur frequently, they can damage your business reputation. Reliability is also important to ensure consistent supply and avoid running out of raw materials.For more such questions on supplier
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Nancy is considering whether her toy manufacturing business should develop its own brand. Which is a company reward Nancy can expect from branding?
Answer: a. Brands enhance loyalty.
Explanation:
Brands enhance loyalty because people are more likely to identify with a symbol than with something that has a general identity. When a company has a brand therefore, it will enhance the loyalty of its consumers as they look to identify with that brand.
Take Adidas for instance, the three stripes logo is so iconic that people can sometimes have entire wardrobes of Adidas apparel to show those three stripes off and show that they identify with it. This is the benefit that Nancy stands to gain with branding.
were can i watch boruto on a school chrome book
Explanation:
Naruspot.tv and Kissanime are the ones I used
Answer:
*me trying to find a place to watch naruto shippuden
*accidentally find this
*me: (☆▽☆)
Explanation:
In our newly networked world, reading is:
A. the taking in of words.
B. a comment
c. a conversation,
D. only about producing words.
Answer:c
Explanation:
Which performance evaluation is best to use for subjective measurements?
OA. Essay appraisal
B. Checklist scale
C. Work standards approach
O D. Graphic rating scale
Work standard approach
Airline Accessories has the following current assets: cash, $96 million; receivables, $88 million; inventory, $176 million; and other current assets, $12 million. Airline Accessories has the following liabilities: accounts payable, $86 million; current portion of long-term debt, $29 million; and long-term debt, $17 million. Based on these amounts, calculate the current ratio and the acid-test ratio for Airline Accessories. (Enter your answers in millions, not in dollars. For example, $5,500,000 should be entered as 5.5.)
Answer and Explanation:
The computation of the current ratio and the acid ratio is shown below:
The current ratio is
= Current assets ÷ current liabilities
= ($96 + $88 + $176 + $12) ÷ ($86 + $29)
= $372 ÷ $115
= 3.23 times
And, the quick ratio is
= Quick assets ÷ current liabilities
= ($372 - $176) ÷ ($86 + $29)
= $196 ÷ $115
= 1.70 times
Hence, the current ratio and the acid-test ratio is 3.23 times and 1.70 times respectively
the oriole mills company has just disclosed the following financial information in its annual report sales of 1.47 million, cost of goods sold of $817,100, depreciation expenses of $179,600, and interest expenses of $ 94,000. Assume that the firm has an average tax rate of 29 percent. Compute the cash flows to investors from operating activity.
The cash flows to investors from operating activities for Oriole Mills Company is $543,973.
To compute the cash flows to investors from operating activities, we need to start with the net income and make adjustments for non-cash expenses and changes in working capital. The formula to calculate cash flows from operating activities is as follows:
Cash Flows from Operating Activities = Net Income + Depreciation Expenses + Non-Cash Interest Expenses - Increase in Current Assets + Increase in Current Liabilities + Decrease in Current Assets - Decrease in Current Liabilities
Given the financial information provided, we can calculate the cash flows to investors from operating activities as follows:
Net Income:
Net Income = Sales - Cost of Goods Sold - Depreciation Expenses - Interest Expenses - Taxes
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($1,470,000 - $817,100 - $179,600 - $94,000) * 0.29
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - ($379,300 * 0.29)
Net Income = $1,470,000 - $817,100 - $179,600 - $94,000 - $109,927
Net Income = $269,373
Depreciation Expenses = $179,600
Non-Cash Interest Expenses = $94,000
Changes in Working Capital:
Increase in Current Assets = 0 (no information provided)
Increase in Current Liabilities = 0 (no information provided)
Decrease in Current Assets = 0 (no information provided)
Decrease in Current Liabilities = 0 (no information provided)
Finally, we can calculate the cash flows to investors from operating activities:
Cash Flows from Operating Activities = $269,373 + $179,600 + $94,000 + 0 + 0 + 0 + 0
Cash Flows from Operating Activities = $543,973
Therefore, the cash flows to investors from operating activities for the Oriole Mills Company is $543,973.
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What is market environment
Answer:
The market environment is the combination of external and internal factors that affect a company's ability to establish a relationship with and serve its consumers.
Explanation:
The internal factors relate to the company itself, such as owners, workers, materials, components, etc.
The external factors are divided into macro and micro components. The macro component is the broad environment which includes societal forces that affect society as a whole. The micro component is task-related, which includes factors that influence the production, manufacturing and distribution of a product or service.
When do many companies expect to have a net loss? (Select three answers)
a. after they break even
b. when they have a gross profit
c. when they are first getting established
d. before they start having operating expenses
Answer:
C- When they are first getting established
Explanation:
Edge 2022
Question 10 of 10
How do values play a role in planning a career?
Career values are crucial since they can help define the parameters for your personal fulfillment and professional success. You may be intentional in your employment search and utilize your values to build your future by recognizing your own values and what matters most to you.
What are values in career planning?Work values, also known as career values, are the personal ideas, drives, and beliefs that guide you in determining what matters most to you in your professional life. Your drive to work and your overall success at work are both influenced by them.
Our actions, relationships, and lives as a whole are influenced by our own values. In addition to helping us make important decisions, our beliefs can affect how we develop personally. Knowing your values will help you make decisions about your profession, relationships with others, and interests that are most important to you.
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State a function of an out sheet
Note that an Outsheet is used to collect and organize data from multiple sources into a single, unified spreadsheet.
What is Out Sheet and why is it important?An Outsheet is a tool used in financial modeling and analysis to compile and consolidate information from different sources into a single spreadsheet.
It is important because it allows for the efficient and organized tracking of data, which can be used for a variety of purposes, including financial analysis, budgeting, and forecasting. Outsheets also help to ensure the accuracy and consistency of data by reducing the risk of manual errors and allowing for easier data comparison and reconciliation.
The use of Outsheets can improve the efficiency and effectiveness of financial modeling and analysis, making it an important tool for businesses and organizations.
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suppose that real interest rates increase across europe. explain how this development will affect u.s. net capital outflow. then explain how it will affect u.s. net exports by using a formula from the chapter and by drawing a diagram. what will happen to the u.s. real interest rate and real exchange rate?
A higher real interest rate in Europe will lead to an increase in U.S. net capital outflow, as U.S.
What will happen to the u.s. real interest rate and real exchange rate?Investors will find higher returns on their investments abroad. This increase in net capital outflow will lead to an increase in the demand for foreign currency (i.e. the euro) and a decrease in the demand for the U.S. dollar.This decrease in the demand for the U.S. dollar will cause a decrease in the exchange rate of the U.S. dollar relative to the euro (i.e. the U.S. dollar will depreciate).This decrease in the U.S. dollar exchange rate will lead to an increase in U.S. net exports. This can be seen by using the formula from the chapter:U.S. Net Exports = NX = (Pᵤ/Pₑ) X (Yᵤ/Yₑ)Where Pᵤ and Pₑ are the domestic and foreign prices, and Yᵤ and Yₑ are the domestic and foreign quantities.In this case, an increase in the exchange rate of the euro relative to the U.S. dollar (i.e. a decrease in the U.S. dollar exchange rate) implies an increase in Pᵤ/Pₑ, leading to an increase in U.S. net exports. This can be seen in the diagram below:As the U.S. dollar depreciates, the U.S. net exports will increase (indicated by the red arrow), while the U.S. real interest rate and real exchange rate will both decrease (indicated by the blue arrows).To learn more about real interest rates increase across europe refer to:
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Assume you gave up a $60,000 per year job at an accounting firm to start your own tax preparation business. To simplify, assume your tax personal obligations are the same whether you run your own firm or work for another firm. If your revenue during the first year of business is $75,000, and you incurred $5,000 in expenses for equipment and supplies, how much is your accounting profit
Answer:
Accounting profit= $70,000
Explanation:
Giving the following information:
If your revenue during the first year of business is $75,000, and you incurred $5,000 in expenses for equipment and supplies, how much is your accounting profit
The accounting profit does not include the opportunity cost of leaving the accounting job. In this case, the accounting profit is:
Accounting profit= revenue - costs
Accounting profit= 75,000 - 5,000
Accounting profit= $70,000
The dean of the School of Fine Arts is trying to decide whether to purchase a copy machine to place in the lobby of the building. The machine would add to student convenience, but the dean feels compelled to earn an 10 percent return on the investment of funds. Estimates of cash inflows from copy machines that have been placed in other university buildings indicate that the copy machine would probably produce incremental cash inflows of approximately $13,000 per year. The machine is expected to have a three-year useful life with a zero salvage value.
Use Present Value Appendix PV of $1, to determine the maximum amount of cash the dean should be willing to pay for a copy machine.
Note: Round your intermediate calculations and final answer to 2 decimal places.
Use Present Value Appendix PVA of $1, to determine the maximum amount of cash the dean should be willing to pay for a copy machine.
The dean should be willing to pay up to $32,324.40 for the copy machine, given the expected incremental cash inflows and the three-year useful life of the machine.
To determine the maximum amount of cash the dean should be willing to pay for a copy machine, we need to calculate the present value of the incremental cash inflows.
Using the Present Value of $1 table with a 10% discount rate, we can find the present value factor for a three-year period: 0.751.
Therefore, the present value of the incremental cash inflows is:
$13,000 x 0.751 = $9,763
This means that the maximum amount of cash the dean should be willing to pay for the copy machine is $9,763.
To calculate the present value of an annuity of $1, we can use the Present Value of an Annuity of $1 table. In this case, we need to use the same 10% discount rate and a three-year period.
The present value factor for an annuity of $1 for three years at 10% is 2.4868.
So, the maximum amount of cash the dean should be willing to pay for the copy machine, taking into account the incremental cash inflows over the three-year useful life of the machine, is
$13,000 x 2.4868 = $32,324.40
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As a corporation, you want to distribute money to shareholders as a dividend. If the dividend is taxed at a rate of 20% and the dividend is $1 per share, how much money will a shareholder of 10,000 shares get after-tax? a) $8,000 b) $8,250 c) $8,400 d) $9,000
Answer:
a) $8,000
Explanation:
The tax rate is 20% of the dividend. If the dividend is $1 per share, the actual tax per share is 20 percent of $1.
=20/100 x $1
=0.2 x$1
=20cents per share
A shareholder will receive $1- 20 cents as dividends per share
=80 cents or $0.80 per share.
A shareholder with 10,000 shares will get
=10,000 x $.80
=$8,000
Answer:
$8000
Explanation:
Producing a movie like Star Wars requires the collective effort of thousands of people including writers, artists, designers, camera operators, computer engineers, editors, and actors. Furthermore, movie sets require resources like lumber, paint, lights, props, and cameras. Use the idea of the invisible hand to explain how these workers and resources are organized so effectively without government planning.
Answer:
All the people involved in the production of the film try to do their best because they are motivated by self-interest.
This self-interest is represented in two ways: the need to make a living, so they work effectively in order to be paid instead of being fire, and also, self-interest is represented by desires of fulfillment, which tend to be specially common in artistic enviroments. The director wants to do his best because he wants to feel personally accomplished, same for the script-writers, the actors, and even the make-up artists.
define pay back method of investment evaluation
Payback is perhaps the simplest method of investment appraisal. The payback period is the time it takes for a project to repay its initial investment. Payback is used measured in terms of years and months, though any period could be used depending on the life of the project (e.g. weeks, months).
Charles delivers flowers. He aerns $5.57 to deliever a flower arrangement. Last week he made $746.38. How many arrangements did he deliver?
Answer:
134
Explanation:
i divided 746.38 by 5.57 and thats your answer
why might trade unions be against the privatisation of government industries
Answer:
GDTDE
Explanation:
EGREGRE
Describe four characteristics of an age-friendly community.
How can age-friendly communities also benefit young adults?
Discuss some home and community-based service options available to an older person who does not wish to move to retirement housing but prefers to stay in his/her long-term home.
An age-friendly community is accessible, inclusive, fosters social connection, and provides supportive services to older adults.
An age-friendly community is one that recognizes and responds to the diverse needs and preferences of older adults. Here are four characteristics of an age-friendly community
Accessibility: An age-friendly community is designed to be accessible to people of all ages and abilities, including those with mobility or sensory impairments.
Inclusion: An age-friendly community values and includes older adults as active and engaged members of the community. This means that older adults are able to participate in community activities and events, access community services and resources, and contribute their skills and knowledge to the community.
Social Connection: An age-friendly community fosters social connections and reduces social isolation among older adults. This means that the community provides opportunities for older adults to connect with others, such as social clubs, volunteer programs, and intergenerational activities.
Supportive Services: An age-friendly community provides supportive services to older adults to help them age in place and maintain their independence. This means that the community offers services such as transportation, home health care, and meal delivery, and has policies in place to support older adults who may be vulnerable to financial or social exploitation.
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The given question is incomplete, the complete question is:
Describe four characteristics of an age-friendly community.
What is one argument in favor of the Fed using aggressive expansionary monetary policy during an economic crisis?
Explanation:
The central bank of a country is responsible for monitoring the monetary policy. An effective American monetary policy is based strictly on the situation presented. Request A Topic. Sign Up For Notifications.
In what ways have vested interests used their influence to bias the U.S. economy toward the production of military goods at the expense of consumer goods?
Answer:
Not. Got g g
Explanation:
Fvvvvfvffv