Answer: False
Explanation:
Checkable-deposit money is not the one that is created through lending by banks and is not part of the money supply. Hence, the given statement is false.
What is the money supply?
The entire amount of money that the general public is holding at any given time is referred to as the money supply in macroeconomics. Several criteria can be used to define "money," but the two most common ones are demand deposits and legal tender in circulation.
The amount of cash, coins, and bank account balances in circulation collectively constitutes the money supply. A collection of secure assets that individuals, businesses, and governments can use to make payments or hold as short-term investments is generally referred to as the money supply.
Money supply is a term used to describe both the quantity of money that is available to a nation's citizens and the amount of money that may be used in the economy of that nation.
Therefore, the given statement is false.
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Which of the following is TRUE about owning a share of stock?
A. The value of a share is based on the number of investors in a company.
B. You have to return the share of company you own typically after 5 years, otherwise, you pay a penalty fee each year.
C. Owning a share means you own a percentage of the company.
D. Companies lose significant amounts of money every time someone buys a share.
Answer:
A
Explanation:
The answer to that Question would be A
The value of a share is based on the number of investors in a company that is TRUE about the share of stock.
What is a share stock?Share stock implies the ownership of the individuals in the business based upon the percentage of their holdings in total business shares. It means the single smallest denomination that a company has.
Therefore, the value that share has is based upon the demand for the company's share and supply in the market.
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job ________ involves division of an organization’s work among its employees and application of motivational theories to jobs to increase satisfaction and performance.
Which of the following is a common behavior for an active listener?
a.
Look at your notes to make sure they are accurate
b.
Keep track of the number of times the speaker agrees with you
c.
Repeat the speaker’s argument back in new words
d.
Argue against the speaker’s points one at a time
Answer: Repeat the speaker's argument back in new words
Explanation: It shows that you understood and listened to their whole speech. Understandning is a big part in active listening
Answer:
c
Explanation:
Click this link to learn about a career as a Lawyer. What qualities do Lawyers usually need? Check all that apply. Creativity problem-solving skills research skills sales skills analytical skills interpersonal skills
Answer:
problem-solving skills
research skills
analytical skills
interpersonal skills
Explanation:
The lawyers need the following skils
1. Problem solving skills : If the lawyer have this skills, so he or she prepared the best defense and recommendation
2. Research skills: As a lawyer profile the main work is to research the case again and again so that the evidence could be find out
3. Analytical skills: It helps to analyze the client case in order to solve out the problem
4. Interpersonal skills: he or she should be trusty and confidence with the clients
Answer:
problem-solving skills
research skills
analytical skills
interpersonal skills
Explanation:
Please Help!!!!!!!!!!!!!!!!
Answer:
Explanation:
james is approachable, does not have ego issues an is always avaliable to help his team mates.
james is a good facilitator is known to take the right decisions at thet right time without hesitation .
james is resourceful. always comes up with a soulution even in the most difficult situations.
james is confident. welcomes without any resistance
A U.S. dollar-denominated bond sold in the United States by a Japanese-firm is called a(n): A. Yankee bond. B. Homeland bond. C. International bond.D. Euroyen bond
E. Foreign bond.
The correct answer to the question is A. Yankee bond. A Yankee bond is a U.S. dollar-denominated bond sold in the United States by a foreign entity, usually a non-U.S. corporation or government. It is also known as a foreign bond or a dollar bond.
The term "Yankee bond" originated in the 1920s when U.S. companies began issuing bonds in the European market. In response, foreign companies started issuing bonds in the U.S. market, and the term "Yankee bond" was coined to refer to these bonds.
Yankee bonds offer several benefits to foreign issuers. They allow foreign entities to raise capital in the U.S. market and to take advantage of the deep and liquid U.S. bond market. Yankee bonds also provide issuers with access to a diverse group of U.S. investors, which can help to diversify their funding sources.
In addition, Yankee bonds can provide a hedge against currency risk, as the bond is denominated in U.S. dollars. This can be particularly attractive to foreign issuers who have revenues and expenses denominated in different currencies.
In summary, a U.S. dollar-denominated bond sold in the United States by a Japanese-firm is called a Yankee bond. Yankee bonds are a popular way for foreign entities to raise capital in the U.S. market and to diversify their funding sources.
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what does the fox say
Answer:nenenesnene
Explanation:
Answer:
"Ring-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!
Gering-ding-ding-ding-dingeringeding!"
"Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!
Wa-pa-pa-pa-pa-pa-pow!"
Pam's business earns 33,000 per month. Pam's non-employee expenses are $13,500 per month. If Pam wants $4,500 in profit per month, how many employees can she employ if each employee costs $3,000 per month?
The number of employee that she can employ if each employee costs $3,000 per month is 5 employees.
Using this formula
Number of employee=Business amount earn per month-Non -employee expenses per month-Profit per month/Employee cost
Let plug in the formula
Number of employee=$33,000-$13,500-$4,500/3,000
Number of employee=$15,000/3,000
Number of employee=5 employees
Inconclusion the number of employee that she can employ if each employee costs $3,000 per month is 5 employees.
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retained earnings for 2017 equaled $650,500 whereas 2018's balance equaled $605,200. net income for 2018 equaled $450,000. how much in dividends was paid out in 2018?
In 2018, the company's retained earnings decreased from $650,500 in 2017 to $605,200.
During the same period, the company generated a net income of $450,000. To determine the dividends paid out in 2018, we need to calculate the retained earnings change.
The retained earnings change can be calculated by subtracting the net income from the change in retained earnings:
Retained Earnings Change = Retained Earnings 2018 - Retained Earnings 2017
= $605,200 - $650,500
= -$45,300
Since the retained earnings decreased by $45,300, this amount represents the dividends paid out in 2018. The negative sign indicates a decrease in retained earnings, which is typically caused by distributing dividends to shareholders.
Therefore, the dividends paid out in 2018 amounted to $45,300. Dividends are a portion of a company's profits distributed to shareholders, and in this case, they reduced the retained earnings by that amount.
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On January 1, 20X1, International Copy Machines (ICOM), one of the favorites of the stock market, was priced at $500 per share. This price was based on an expected dividend at the end of the year of $5 per share and an expected annual growth rate in dividends of 15 percent into the future. By January 20X2, economic indicators have turned down, and investors have revised their estimate for future dividend growth of ICOM downward to 9 percent. What should be the price of the firm's common stock in January 20X2? Assume the following: 1. A constant dividend growth valuation model is a reasonable representation of the way the market values ICOM. (3) 2. The expected dividend at the end of 20X2 is $6.45 share.
The price of the firm's common stock in January 20X2 is $139.50.
The price of the firm's common stock in January 20X2 based on the given details can be calculated as follows:
Given, Price of International Copy Machines (ICOM) on January 1, 20X1 = $500 per share
Expected dividend at the end of the year of ICOM = $5 per share
The expected annual growth rate in dividends of ICOM = 15%
Expected dividend at the end of 20X2 of ICOM = $6.45 per share
The revised estimate for future dividend growth of ICOM downward to 9%
As we know that the formula for calculating the price of a firm's common stock is as follows:
Po = D1 / (ke - g)
Where, Po = Price of the firm's common stock
D1 = Expected dividend at the end of the year
ke = Required rate of return on equity
g = Growth rate in dividends
So, the detailed answer is as follows:
First, we will calculate the required rate of return on equity (ke).
ke = Dividend Yield + Expected Dividend Growth Rate
Dividend Yield = D1 / PoD1 = $6.45 per share
Po = $500 per share
Dividend Yield = $6.45 / $500 = 0.0129 or 1.29%
Expected Dividend Growth Rate
= 9%ke
= 1.29 + 9
= 10.29%
Now, we will calculate the price of ICOM's common stock.
Po = D1 / (ke - g)
ke = 10.29%,
g = 9%
D1 = $6.45 per share
Po = $6.45 / (10.29% - 9%)
Po = $139.50
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Matias is a part time cashier for a small business that sells specialty bicycles. He and his six co-workers all directly report to the owner. This is an example of a line-and-staff structure T/F
False. The scenario described does not represent a line-and-staff structure.
In a line-and-staff structure, there is a clear distinction between line managers, who have direct authority over employees, and staff managers, who provide specialized support and expertise to assist the line managers. In this case, Matias and his co-workers all directly report to the owner, indicating a flat organizational structure with a direct reporting relationship.
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for a monopoly, the demand and cost functions are: demand: q = 100 - 0.20p cost: tc = 10 60q solve for the profit-maximizing quantity (q).
The profit-maximizing quantity for the monopoly is found to be 12 using the monopoly's marginal revenue (MR) and marginal cost (MC) functions.
To find the profit-maximizing quantity for a monopoly with the given demand and cost functions, we need to first find the monopoly's marginal revenue (MR) and marginal cost (MC) functions.
The MR function is the derivative of the demand function, which is:
MR = d(TR)/d(q) = 100 - 0.40p
where TR is total revenue. To find p, we need to use the inverse demand function:
p = 500 - 5q
So, substituting for p in the MR function, we get:
MR = 100 - 0.40(500 - 5q) = -20q + 300
The MC function is the derivative of the total cost (TC) function, which is:
MC = d(TC)/d(q) = 60
Now, to maximize profit, the monopoly should set MR = MC, so:
-20q + 300 = 60
Solving for q, we get:
q = 12
Therefore, the profit-maximizing quantity for the monopoly is 12.
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Paragraph Writing of 50words
- define the term economic goods
- state two examples
- describe two features of economic goods
Answer:
I am Kajal I am follow you
Explanation:
please make me brainliest
According to Goldratt: Two activities scheduled to be carried out sequentially and using the same scarce resource benefit from having the same project manager. Two activities scheduled to be carried out in parallel and using the same scarce resource are independent. Two activities scheduled to be carried out in parallel and using the same scarce resource are not independent. Two activities scheduled to be carried out sequentially and using the same scarce resource require different project managers.
Answer:
Two activities scheduled to be carried out in parallel and using the same scarce resource are independent.
Explanation:
An Israeli physicist named, Eliyahu M. Goldratt developed the Critical Chain Project Management (CCPM) and introduced it in his book "Critical Chain" in 1997.
The CCPM is a project management methodology used by managers to better manage a project. The CCPM ensures that the project plan is feasible and immune from any uncertainty or statistical fluctuations.
In the CCPM activity network, there are no milestones and all non-critical activities are performed as late as possible.
CCPM adopts the use of drum buffers, so as to ensure extra safety is applied to a project immediately before using constrained resource.
According to Goldratt, two activities scheduled to be carried out in parallel and using the same scarce resource are independent.
suppose that the company had sales of $2,751,332 and net income of $86,432 for the year ending december 31, 2022. calculate the dupont identity.
The DuPont Identity is 0.0477.
Suppose that the company had sales of $2,751,332 and net income of $86,432 for the year ending December 31, 2022. Calculate the DuPont Identity.
The DuPont Identity is a method of breaking down Return on Equity (ROE) into its component parts, allowing analysts to evaluate the sources of the company's profitability.
The formula for the DuPont identity is as follows:ROE = (Net Income/Sales) x (Sales/Total Assets) x (Total Assets/Shareholders' Equity)
ROE is calculated by dividing Net Income by Sales.ROE = Net Income / SalesROE = $86,432 / $2,751,332ROE = 0.0314
The formula for the DuPont identity is:ROE = Net Income / Sales x Sales / Total Assets x Total Assets / Shareholders' Equity ROE = Net Income / Shareholders'
Equity / Total Assets x Total Assets / SalesROE = (Net Income / Sales) x (Total Assets / Shareholders' Equity)ROE = Profit Margin x Asset Turnover x Financial Leverage
We can then substitute the values for Profit Margin, Asset Turnover, and Financial Leverage:ROE = (Net Income / Sales) x (Sales / Total Assets) x (Total Assets / Shareholders' Equity)ROE = 0.0314 x 1.05 x 1.36ROE = 0.0477 The DuPont Identity is 0.0477.
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If my revenue is one million and my expenses are 1,386,000, what's my profit in percentage
The profit in percentage given the revenue and the expenses is -38.60%
What is the profit in percentage?Percentage is the fraction of a number expressed as a value out of 100. The sign that is used to represent percentage is %. In order to convert a number to percentage, multiply by 100.
Profit is the difference between revenue and expenses. Revenue is the total income earned by a company before any deductions are made. Expenses include all the cost incurred in running a business.
Profit = revenue - expenses
1,000,000 - 1,386,000 = -386,000
Profit in percentage = (profit / revenue) x 100
(-386,000 / 1,000,000) x 100 = -38.6%
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In what way is a corporation different from a sole proprietorship or partnership?.
A corporation, as contrast to a sole proprietorship or a partnership, is a separate legal entity from its shareholders. As a result, a corporation must pay corporate income tax, which is determined independently of the personal income tax of the shareholders.
How is a corporation different from a sole proprietorship and partnership?In a sole proprietorship, the business's owner is personally liable for all debts and obligations. In a partnership, two or more individuals pool their resources for the company and split earnings and losses.
The legal status of a corporation is thought to be distinct from that of its stockholders. A corporation is a "Person" for tax purposes. The owners of stock in a corporation only stand to lose the value of their shares in the event of bankruptcy, but a solo proprietor has limitless responsibility.
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Assume that a company provided the following information and assumptions from its master budget: Sales budget Unit sales in June, July, and August are 20,000, 18,000, and 17,000, respectively. The selling price per unit is $80. All sales are on account. 20% of sales are collected in the month of sale and 80% are collected in the next month. What are the budgeted sales for July? Multiple Choice $288,000 $1,440,000 $1,152,000
The budgeted sales of the company for July are $1,152,000.
How are the budgeted sales for July calculated?The budgeted sales for July can be calculated by multiplying the unit sales for July by the selling price per unit. In this case, the unit sales for July are given as 18,000, and the selling price per unit is $80. Therefore, the budgeted sales for July can be calculated as follows:
Budgeted sales for July = Unit sales for July × Selling price per unit
= 18,000 units × $80 per unit
= $1,440,000
In budgeting and financial planning, a sales budget is a crucial component used to estimate and forecast a company's future sales revenue. It helps organizations set realistic sales targets and make informed decisions regarding production, inventory, and resource allocation.
To create a sales budget, a company considers factors such as historical sales data, market trends, customer demand, and pricing strategies. It is essential to accurately estimate the volume of sales and the timing of cash inflows to effectively manage cash flow and financial resources.
Revenue forecasting involves predicting future sales and revenue based on various assumptions and factors. Accurate revenue forecasting assists in budgeting, setting sales targets, and evaluating business performance. It requires analyzing past sales patterns, market conditions, competitive landscape, and customer behavior.
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A product starts marking profit after reaching the
A. growth stage of the product life cycle
B. break-even point
C. price ceiling
D.mass market
what are factors affect demand for labour
The factors that effect demand for labour are:
The quantity of a produt that labor produces
A change in the production process that uses more or less labor
A change in goverment policy that effects the quantity of labor
The infant-industry argument a. has the support of most economists. b. is based on the belief that protecting industries when they are young will pay off later. c. is based on the belief that protecting industries producing goods and services for infants is necessary if a country is to have healthy children. d. is an argument that is advanced by advocates of free trade.
Answer:
b. is based on the belief that protecting industries when they are young will pay off later.
Explanation:
The infant-industry argument is an international trade theory meant to protect industries in their early stages of development from competition from foreign firms. it is not advanced by advocates of free trade.
the theory postulates that infant indtureist be protected from competiton by various tariffs and laws that would discourage import
Steps in achieving success in strategic decision. (Subject: Enterprise Systems and Architecture).
The steps in achieving success in strategic decisions are to: Assess the Situation, Determine the Objective, Strategize, Develop and Monitor Plans and Adjust accordingly.
Assess the Current Situation: The first step is to understand the current situation. Understanding the present situation assists you in identifying the areas where changes are necessary. A successful strategic decision is based on a comprehensive understanding of the current situation.Determine the Objective: Define your goal to make a strategic decision. Identify what you want to accomplish. Having a clear objective enables you to develop a strategic plan.Define Strategies: Establish strategies for achieving your objectives. These strategies should be specific and should align with your objectives. Develop an Action Plan: Develop an action plan that outlines the steps necessary to implement the strategies. This plan should also include who will be responsible for each action.Monitor Progress: Check to see if the strategies and action plan are working as intended. Tracking progress will allow you to identify issues and adapt your strategy as needed.Adjust the Strategy: If the current strategy is not working, change it. Developing a successful strategic decision necessitates flexibility and the ability to adapt to changing situations.The above steps will ensure success in strategic decision-making.
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PLS Help like fast im on a test and its timed!!!!!Workers typically get dirty if they work at a job site for: 1.both the Construction and Design pathways. 2. both the Construction and Maintenance pathways. 3. the Maintenance pathway only. 4. the Design pathway only.
Answer:
b
Explanation:
Metion three ways in which a surplus or credit balance in the combined current and capital account can be used up
The balance of repayments (BOP) is the approach by means of which nations measure all of the international financial transactions inside a positive period. The BOP consists of three most important accounts: the cutting-edge account, the capital account, and the financial account.
What can cause a surplus in the present day account of the balance of payments?The currency price depreciates with admire to a country that has decrease inflation. Thus, when inflation is high, it is beneficial for exporters to export more. This creates a surplus in a current account. Domestic demand- Sometimes, due to vulnerable home demand, a united states may additionally have modern-day account surpluses.
This helps to generate capital to fund its domestic productions. With a surplus in its BoP, a u . s . a . can also lend dollars outside its borders. A surplus in BoP can help to boost the short time period financial growth of a country.
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https://brainly.com/question/30080233#SPJ1why is it a good idea to diversify an investment portfolio? a.) to eliminate variance. b.) to maximize potential returns. c.) to reduce systemic risk. d.) to reduce specific risk.
Diversifying an investment portfolio is a good idea to reduce specific risk and systemic risk .By diversifying across different asset classes and regions, investors can reduce their exposure to systemic risk and mitigate the potential negative effects of such events on their portfolio.
By diversifying an investment portfolio, an investor spreads their investments across different assets, sectors, and regions, which helps to reduce specific risk. Specific risk refers to the risk associated with individual investments, such as the risk of a particular company or industry performing poorly. By holding a variety of investments, the impact of a single investment performing poorly is minimized because the overall portfolio is not overly reliant on any single investment.
Additionally, diversification helps to reduce systemic risk, which is the risk that affects the entire market or economy. Events such as economic downturns, geopolitical crises, or changes in market conditions can have a broad impact on investments. By diversifying across different asset classes and regions, investors can reduce their exposure to systemic risk and mitigate the potential negative effects of such events on their portfolio.
While diversification cannot eliminate all risks or guarantee maximum returns, it provides a strategy to manage risk and improve the likelihood of achieving more stable and consistent investment returns over the long term.
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During onboarding at her new job, jana learned about the company's founder, its history, and its products and services. jana's onboarding has covered:___________
During Jana's onboarding at her new job, she learned about the company's founder, its history, and its products and services. The purpose of onboarding is to help new employees get acclimated to their new work environment and feel comfortable in their new role. One important aspect of onboarding is to provide employees with a comprehensive understanding of the company they are working for, including its history and the products and services it offers.
The history of a company can be an important factor in helping new employees understand its values and mission. Knowing the origins of the company and how it has evolved over time can give employees a sense of pride and belonging. Additionally, understanding the products and services that the company offers is essential for employees to be able to effectively communicate the company's value proposition to customers.
In Jana's case, her onboarding has covered important areas that will help her understand the company she is working for. By learning about the founder of the company, Jana can gain insight into the company's culture and values. Knowing the history of the company can help Jana understand how the company has evolved and what its future goals. Finally, learning about the company's products and services will help Jana become familiar with what the company offers and how it is positioned in the market.
Overall, Jana's onboarding has covered important aspects of the company she is working for that will help her become a successful employee. By understanding the company's history, values, and products, Jana will be able to effectively contribute to the company's success.
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Which statement describes the effect of taxes on a traditional 401(k) retirement account?
A.
A traditional 401(k) is tax exempt because the income earned isn't taxed until the money is withdrawn.
B.
A traditional 401(k) is a taxable account because the income earned is taxed when it is contributed.
C.
A traditional 401(k) is tax deferred because the income earned isn't taxed until the money is withdrawn.
D.
A traditional 401(k) is tax exempt because the income earned is never taxed.
Answer:
C.
A traditional 401(k) is tax deferred because the income earned isn't taxed until the money is withdrawn.
Explanation:
There are two types of 401 k plans: traditional 401k and Roth 401k plans. The difference is the way there are taxed.
The traditional 401k plan is an employer-sponsored retirement scheme. The employer withholds the employee contributions and remits the funds to the employee's 401k savings account. The amount deducted as the employee contribution is not subject to taxation at that point. Contributions to 401k plans reduce the employee's taxable income.
The amounts saved in a 401k plan are invested and generate income. Employees are not expected to pay taxes on the income generated every financial period. All taxes are deferred until the time of withdrawal.
Answer:
C. A traditional 401(k) is tax deferred because the income earned isn’t taxed until the money is withdrawn.
Explanation:
PLATO
Police are investigating the site of a convenience store robbery. The glass door was
broken, and it looks as if several packages of cigarettes are missing from behind the
counter. One police officer notices a man walking past the store and gets an odd
feeling about him. He stops the man and insists on searching his pockets. Inside the
man's pockets, police find several packs of cigarettes. They arrest the man and
charge him with the crime. Unfortunately, the judge throws out the charges. What is
MOST likely the judge's reason for dismissal?
A-The man is under 18 years old.
B-The man did not have money to post bail.
C-The policeman did not have probable cause to search the man.
D-The policeman did not have enough evidence that the man was the robber.
The MOST likely judge's reason for dismissal is the policeman did not have enough evidence that the man was the robber. Thus the correct option is D.
What is Robbery?Theft or robbery is defined as the stealing of someone else's property without their permission and using force or a threat of force that exhibits fear in them to perform any action against them.
To prove a crime against someone requires one to submit enough evidence which helps to establish the claim as the justice system is based on evidence not on arguments.
In the given case, police found the activity of the men suspicious as they found cigarette packets from him. There is no evidence that he has stolen the cigarette packets might be possible he has purchased them.
So due to a lack of evidence against the person the Judge dismissal the case. Therefore, option D is appropriate.
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who knows where you cant get your mom to stop yelling
Answer:you cant my parents do the same
Explanation:
theres no help
Answer:
if u mom yells at you for a certain (for example if she yells at u for not cleaning up then u should maybe clean so she wouldn't have to yell at u for that reason)
Explanation:
How does your state’s on-time payment record compare to the national rate?
It should be noted that my state’s on-time payment record is high compare to the national rate.
What is a credit score?A credit score serves as a numerical expression based on a level analysis of a person's credit files.
This is a term that to represent the creditworthiness of an individual after his account has been checked.
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