Consumers lose, domestic producers gain, and the government gains of the following best describes the winners and losers from a tariff. The correct answer to the question is B. Consumers lose, domestic producers gain, and the government gains.
When a tariff is implemented, it raises the price of imported goods, making them more expensive for consumers. As a result, consumers lose out on the ability to purchase cheaper foreign goods. However, domestic producers gain because their goods become relatively cheaper in comparison to the imported goods. This allows them to sell more of their products and increase their profits.
Furthermore, the government gains because they receive revenue from the tariffs imposed on the imported goods. This revenue can then be used to invest in public services and infrastructure, benefitting the domestic economy as a whole.
It is important to note that while some groups may benefit from tariffs, they can also lead to retaliation from foreign countries, resulting in a trade war that can harm all parties involved. Additionally, tariffs can also lead to a decrease in overall global trade, limiting the potential for economic growth and development. The correct answer to the question is B. Consumers lose, domestic producers gain, and the government gains.
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Why is it important for a company to have structure?:
Answer: Organizational structure provides guidance to all employees by laying out the official reporting relationships that govern the workflow of the company. A formal outline of a company's structure makes it easier to add new positions in the company, as well, providing a flexible and ready means for growth.
Explanation:
The simplest definition of productivity is outputs divided by inputs.
Productivity can be described as the outputs divided by inputs.
What is Productivity?Productivity can be regarded as the efficiency of production.
Therefore, productivity as alot to do with
goods or services because it helps to measure it with respect to the specific duration of time.
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The percentage of total workers who are out of work but seeking jobs and
willing to work is known as the
_______ rate.
Answer:
its either labor force participation rate or unemployment rate.
since he is still seeking a job, this leads me to believe that it is the labor force one, but to get the labor force participation rate you need the employed and the unemployed.
Explanation:
fast pls!!! Shepard University is launching new services to attract more students. They offer bachelor's
degrees in 25 majors, boast a brand new fitness center, Wi-Fi in residence halls, and 24-hour
dining options. Which of these is an example of a core service offered by Shepard University?
O bachelor's degrees
fitness center
O Wi-Fi in residence halls
O 24-hour dining options
Answer:
Bachelor's degree
Explanation:
You go to a college for a degree, so that is the main and thus "core" focus. Anything else is extra, so the degree itself is the main service. Therefore, it's the core.
2. What is the opportunity cost of producing fifty more
croissants?
Answer:
What is the opportunity cost of producing fifty more croissants? 60 doughnuts or 20 croissants.
The gold standard for mini studies is blank how to spot bad science
The gold standard for mini studies is not applicable as mini studies are not considered as reliable sources of evidence.
In order to spot bad science, it is important to look for red flags such as small sample sizes, lack of control groups, cherry-picked data, and conflicts of interest.
Mini studies, also known as pilot studies or exploratory studies, are small-scale investigations that are often conducted as a preliminary step before conducting larger studies.
Although they can provide useful insights and generate hypotheses, they are not considered as reliable sources of evidence due to their limited sample sizes and lack of statistical power.
To spot bad science, it is important to look for red flags such as small sample sizes, lack of control groups, cherry-picked data, and conflicts of interest. Additionally, it is important to assess the quality of the research design, methodology, and statistical analysis, as well as to consider the potential biases and limitations of the study.
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At May 31, 2019, H. J. Klehr Incorporated reported the following amounts (in millions) in its financial statements: Total Assets Total Liabilities Interest Expense Income Tax Expense Net Income 2019 $ 71,000 48,280 750 160 800 2018 $ 69,000 44,160 770 265 6,452 Required: 1. Compute the debt-to-assets ratio and times interest earned ratio for 2019 and 2018. 2-a. In 2019, were creditors providing a greater (or lesser) proportion of financing for H. J. Klehr's assets? 2-b. In 2019, was H. J. Klehr more (or less) successful at covering its interest costs, as compared to 2018?
Therefore, to answer the specific questions, in 2019, creditors provided a greater proportion of financing for H. J. Klehr's assets as the debt-to-assets ratio increased. However, H. J. Klehr was more successful at covering its interest costs in 2019, as compared to 2018, due to an increase in the times interest earned ratio.
The debt-to-assets ratio measures the percentage of total assets financed by debt. To compute the ratio, we divide total liabilities by total assets. In 2019, the debt-to-assets ratio for H. J. Klehr was 68.2% (48,280/71,000), and in 2018, it was 64% (44,160/69,000). The increase in the ratio suggests that H. J. Klehr relied more on debt financing in 2019.
The times interest earned ratio measures the ability of a company to cover its interest expenses with its earnings. To compute the ratio, we divide earnings before interest and taxes (EBIT) by interest expense. In 2019, the times interest earned ratio for H. J. Klehr was 15.3 times (800/750), and in 2018, it was 8.4 times (6,452/770). The increase in the ratio indicates that H. J. Klehr was more successful at covering its interest costs in 2019.
Therefore, to answer the specific questions, in 2019, creditors provided a greater proportion of financing for H. J. Klehr's assets as the debt-to-assets ratio increased. However, H. J. Klehr was more successful at covering its interest costs in 2019, as compared to 2018, due to an increase in the times interest earned ratio. It is essential to note that interest expenses are tax-deductible, which reduces the company's income tax expense.
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The next time you need to make a choice, your brain will use what what method?
Answer:
Imagine you have just flicked a lighter. If you don’t see the flame, you will naturally try a second time. If after the second attempt it does not strike a flame, you will repeat your action again and again until it does. Eventually, you’ll see the flame and you’ll know that your lighter works. But what if it doesn’t? How long are you going to flick the lighter until you decide to give up?
Our everyday life is full of such decision dilemmas and uncertainty. We constantly have to choose between options, whether we make the most ordinary decisions – should I continue flicking this lighter? – or life-changing choices – should I leave this relationship? We can either keep on doing what we are already used to do, or risk unexplored options that could turn out much more valuable.
Some people are naturally inclined to take more chances, while others prefer to hold on to what they know best. Yet being curious and explorative is fundamental for humans and animals to find out how best to harvest resources such as water, food or money. While looking at the Belém Tower – a symbol of Portugal’s great maritime discoveries – from my office window, I often wonder what drives people to explore the unknown and what goes on in their brains when weighing pros and cons for trying something new. To answer these questions, together with Dr. Zachary Mainen and his team of neuroscientists, we investigate how the brain deals with uncertainty when making decisions.
Explanation:
It is well known that the decision-making process results from communication between the prefrontal cortex (working memory) and hippocampus (long-term memory). However, there are other regions of the brain that play essential roles in making decisions, but their exact mechanisms of action still are unknown.
(a) A restaurant has annual sales of $420,000, an average inventory of $6000, and an annual cost of goods sold of $264,000. What is the restaurant's monthly inventory turns? (b) A restaurant has annual sales of $420,000, an average inventory of $6000, and an annual cost of goods sold of $264,000. What are the restaurant's days-of-supply of inventory? (Assume 365 days per year) (c) An online shoe retailer's annual cost of holding inventory is 35 percent. The firm operates with a days-of-supply of 20 days, and assume there are 365 days per year. What is the inventory holding cost (in $s) for a pair of shoes that the firm purchased for $50?
With a days-of-supply of 20 days, the inventory holding cost for a pair of shoes is = $0.048
(a) To find the restaurant's monthly inventory turns, we need to divide the cost of goods sold by the average inventory and then divide by 12 (for 12 months in a year).
Cost of Goods Sold / Average Inventory = $264,000 / $6,000 = 44
44 / 12 = 3.67
Therefore, the restaurant's monthly inventory turns are 3.67.
(b) To find the restaurant's days-of-supply of inventory, we need to divide the average inventory by the cost of goods sold and then multiply by 365 (for 365 days in a year).
Average Inventory / Cost of Goods Sold = $6,000 / $264,000 = 0.0227
0.0227 * 365 = 8.29
Therefore, the restaurant's days-of-supply of inventory are 8.29.
(c) To find the inventory holding cost for a pair of shoes, we need to multiply the cost of the shoes by the annual cost of holding inventory and then divide by the number of days in a year.
Inventory Holding Cost = (Cost of Shoes * Annual Cost of Holding Inventory) / Number of Days in a Year
Annual Cost of Holding Inventory = 35% = 0.35
Number of Days in a Year = 365
Inventory Holding Cost = ($50 * 0.35) / 365 = $0.048
Therefore, the inventory holding cost for a pair of shoes that the firm purchased for $50 is $0.048 or approximately 5 cents.
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A student needs to have $65,000 in four years. What amount must she invest today if her investment earns 4% annual interest, compounded quarteny? Draw a timeine to ituatrate the probiem.
(Click the icon to view the Fulure Walue of $1 table,)
(Cick the icon to vew the fresent Value of $1 table)
(Cick the icon to view the Future Value of an Ordinary annuty due table.)
(Click the icon to vew the Present Value of an Ordinary annuty table.).
(Cick the icon to yiew the Future Value of an Annuty Due table.)
(Click the loon to view the Present Value of an Annuty Due table)
What is the present value of your investment? (Use the present value and future vake tables, a financial calculator, a spreadsheet or the formula mothod for your eslaisticns. if using prestent arda future value tables or the formula method, use factor amounts rounded to five decimal places, X.×000×X. Round your final answar to the nearest cont, $×××x )
The present value of your investment is
The present value of your investment is $55,255.56.
To calculate the present value of the investment, we can use the formula for the present value of a future amount compounded quarterly:
PV = FV / (1 + \(r/n)^{(n*t)\)
Where:
PV = Present Value
FV = Future Value
r = Annual interest rate (as a decimal)
n = Number of compounding periods per year
t = Number of years
In this case, the student needs to have $65,000 in four years. The annual interest rate is 4% (0.04), and the compounding is done quarterly, so there are 4 compounding periods per year.
Plugging in the values into the formula:
PV = $65,000 / (1 + \(0.04/4)^{(4*4)\)
PV = $65,000 / (1 + \(0.01)^{16\)
PV = $65,000 / \((1.01)^{16\)
PV = $65,000 / 1.174618
PV ≈ $55,255.55
Therefore, the present value of the investment is approximately $55,255.55.
However, since we need to round the final answer to the nearest cent, the present value of the investment is $55,255.56.
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Williams Auto has a machine that installs tires. The machine is now in need of repair. The machine originally cost $11,400 and the repair will cost $2,400, but the machine will then last two years. The labor cost of operating the machine is $0. 50 per tire. Instead of repairing the old machine, Williams could buy a new machine at a cost of $6,400 that would also last two years; the labor cost would then be reduced to $0. 25 per tire. Williams expects to install 11,400 tires in the next two years. A. Determine the total (two-years) cost for both repairing and replacing the machine
Williams should fix the equipment because it will cost less overall than to replace it.
What is labor cost?Labor expenses are an employer's total out-of-pocket expenditure for hiring employees.
Williams Auto has a machine that installs tires. Even if the equipment needs maintenance, it will only operate for another two years. Operating the machine costs $0.70 per tire in labor. Instead of repairing the old machine.
1. Total cost of Repair = Repair cost + Operating cost
= $1,700+10,700*$0.70
= $1,700 + $7,490
= $9,1902.
2. Total cost to replace = Repair cost + Operating cost
= $5,700+10,700*$0.5
= $5,700+$5,350
= $11,050
Therefore, Williams should repair the machine.
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I have 1 F and 2 D's in my business class, Language arts, and science, because I have to study for another school which takes up a lot of my homework time. (Online School) Please help (┬┬﹏┬┬)
Answer:
I'm not sure how to help other than to tell you that you've got this! I am an AP and a dual-enrollment student, so I completely understand.
If Japan has a comparative advantage in the production of microchips,how would that affect their international trade?
Answer: countries would purchase microchips from japan because they are cheaper
Explanation:
Answer:
C countries with purchase microchips from Japan because they are cheaper.
Explanation: USATestprep
For the next question: Assume 1,000,000 outstanding shares. (no book/tax differences - amounts are actual; not thousands of millions
Net Revenue 36,500,000
Less:
Operating Expenses 28,400,000
Depreciation & Amortization 4,600,000
Income from Operations 3,500,000
Less:
Interest Expense 3,200,000
Net Income 300.000
Consider the financial statements for a publicly traded REIT, given above. Price multiples for comparable REITs are about 10 times current funds from operation (FFO), What price does this suggest for the REIT'S shares? Ch21
a. $35.00 per share
b. $45.00 per share
c. $81.00 per share
d.$3.00 per share
The price multiple of 10 times the FFO indicates a price per share of approximately $81.00 for the given REIT, considering 1,000,000 shares outstanding. Therefore, option c is the correct answer.
The price that multiples for comparable REITs are about 10 times current funds from operation (FFO), we have to calculate the FFO of the REIT. Funds from operations (FFO) can be calculated by adding depreciation and amortization back to earnings and then subtracting any gains on sales.
This means:
FFO = Income from operations + Depreciation and amortization - Gain on sale
= $3,500,000 + $4,600,000 - 0= $8,100,000
Now we can use the formula for price which is the multiple of FFO:
Price per share = FFO x Price multiple= $8,100,000 x 10= $81,000,000
We know that 1,000,000 shares are outstanding.
Therefore, price per share = $81,000,000 / 1,000,000= $81.00 per share
Therefore, the price multiple of 10 times the FFO indicates that the price per share is c. $81.00 per share.
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In the résumé above, what would cause appearance of the "00000000000"?
The “ 00000000000” on the résumé could be an error, but I believe that it means that they do not have any experience and/or objectives.
(Edit): Hi! I just completed my test and I got a 100 by using this
The resumes were scanned, and the formatting changed the way they looked when they were converted to text. Under "Objective" in this instance, there was an underlining that changed to "000000000000."
What is Formatting ?
The presentation or appearance of your essay is referred to as formatting. Layout is another term for formatting. Headings, regular paragraphs, quotations, and bibliographic references are the four text types that the majority of essays use. Both endnotes and footnotes are acceptable.
If the paper is double or single spaced, where the page numbers are placed, and whether a cover page is included or not are examples of formatting. Different formatting conventions call for different sets of rules.
By dividing information into sections and giving them headings, emphasizing essential phrases or concepts using bold, italics, or lists, and generating a strong first impression, formatting also increases the reader's accessibility to the content (professional look and feel, appropriate font choice for the document type).
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Select the correct answer.
Which equation is the correct fundamental accounting equation?
OA owner's equity = liabilities -assets
OB.
assets liabilities - owner's equity
=
OC. assets = liabilities + owner's equity
O D.
assets + liabilities = owner's equity
Answer:
Assets=liabilities+owner's equity
Why is it important to learn to be a team player
Answer:
Businesses thrive when they have a diverse team of people who can contribute individual ideas. Teamwork helps solve problems. Collaboration within a group can help solve difficult problems. Brainstorming is a good opportunity for the team to exchange ideas and come up with creative ways of doing things.
Explanation:
A public relations department responds to negative events by
A. using spin to control damage. CORRECT ANSWER
B. lying to the general public.
C. creating competitive ticket packages.
D. developing special events to the public.
An organization's negative events can be responded to by the public relations department using spin to control damage. Option A is correct.
What is the role of the public relations department?The main function is to develop strategies and actions that help an organization to communicate with its stakeholders in a positive way, favoring the creation of relationships that can be converted into business.
Public relations professionals are able to favorably influence the opinions and perceptions of customers, suppliers and investors.
Therefore, the public relations department is also responsible for dealing with adverse situations, looking for ways to control and circumvent the situation so that the company maintains a positive and valuable image with its target audience.
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Select the correct answer.
Elite Inc. has the following balances: Cash ($1,000), Equipment ($10,000), Salaries payable ($5,000), Building ($15,000), Land ($50,000), Equity ($50,000), and Loan payable ($10,000). An accountant prepares a Trial Balance, and it does not tally due to an unknown error. Which amount would the accountant record in a suspense account?
A.$12,000
B.$11,000
C.$13,000
D.$9,000
E.$10,500
Answer:
I went with c
Explanation:
Answer:
B. $11000 | Equipment
Explanation:
Equipment + Cash
What is operations management and its role?
In its broadest sense, operations management is responsible for all aspects of creating goods and services. It manages resources such as materials, machines, technology, and people, and makes products and services that the marketplace wants.
At both large and small organizations, operations managers supervise, hire, and train employees, manage quality assurance programs, strategize process improvements, and more. Operations managers are ultimately responsible for maintaining and increasing the efficiency of a business, agency, or organization.
- INTELLIGENT answerer
why is maximum number of person in partnership business mentioned in companies act and not in partnership act
The Companies Act and the Partnership Act are two different laws that govern different types of businesses.
The companies act and partnership act-The Companies Act governs companies, which are separate legal entities from their owners, while the Partnership Act governs partnerships, which are not separate legal entities from their owners.
The maximum number of persons in a partnership business is not mentioned in the Partnership Act because there is no limit to the number of partners a partnership can have. However, the Companies Act limits the number of members in certain types of companies, such as private companies, to a maximum of 200 members. This is because companies are separate legal entities and the law seeks to regulate their operations to ensure that they operate in a manner that is fair and transparent to all members.
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If someone hire you today, what are some skills that you have that you can use in the workplace?
Master Mopeds Inc. has slightly different versions of the same moped for the American, European, and Asian markets. Its employees are grouped into divisions based on the market in which they have been assigned. This is an example of ________ departmentalization.
Answer:
"Geographical" is the correct answer.
Explanation:
The categorization procedure on something like a land-based foundation. If the consumers of a business are spread geographically, they can combine geographically-based employment, which is considered as Geographical departmentalization.Offerings could be developed to improve user impact on the world by offering customized services throughout a particular nation or location.Where do you report a stolen credit card to efta standards or pci standards
A merchant's PCI DSS compliance can be confirmed using the PCI Report on Compliance. The PCI DSS's standards and procedures were created to increase the security of credit card-based transactions and safeguard cardholder data from fraud and other unauthorized uses of their personal data.
To protect cardholders' private information and boost the security of transactions involving credit, debit, and cash cards, the Payment credit card Industry Data Security Standard (PCI DSS) is a well-known set of rules. PCI Compliance is NOT a one-time project but an ongoing practise. Merchants (the Business Owner) are in charge of overseeing the finances of their company's activities.
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you are set to receive an annual payment of $12,200 per year for the next 18 years. assume the interest rate is 7.1 percent. how much more are the payments worth if they are received at the beginning of the year rather than the end of the year?
The difference in value is worth an additional $8,650.65 in cash.
1) The end of each year is when payments are made.
To calculate the present value of the payments we will be receiving at the end of each year, we will use the annuity formula in this case.
Annual Cash flow (P) = $12,200
Interest Rate (r) = 7.1%
The number of Payments (n) = 18
Annuity PV Factor (End of Year) = { P [ 1 - ( 1 + r )-n ]} / r
Annuity = 12200* [ 1 - (1 + 7.1%)¹⁸] / 7.1%
Annuity = $8650.64568 / 0.071
Therefore, the Annuity PV factor = 121840.08
2) At the beginning of the year, payments are due.
We will apply the annuity formula, as in the case above, to determine the present value of the payments we begin receiving each year. Due to the fact that the first payment is being made at today's price, its value will remain constant.
Annuity PV Due (Beginning) = {P + P [ 1 - ( 1 + r )^-(n-1) ]} / r
Annuity = 12200 + 12200 * {1 - [1 / (1 + 7.1%)^(18-1)]} / (7.1%)
Therefore, Annuity PV Due = $130490.7257
Difference = 130490.73 - 121840.08
Therefore, the difference between the payments received = $8650.65
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Investment revenue is reported in connection with a statement of cash flows as: Multiple Choice An operating activity. An investing activity. A noncash activity. A financing activity.
Investment revenue is recorded and reported in connection with a statement of cash flow in investing activity.
What is Investment Revenue?Investment revenue is referred to the profits generated on capital invested. This is usually interest and dividends gained on a company's investment in other firms' stocks and bonds.
The cash flow from investing activity assists in reporting and recording cash changes resulting from the acquisition of property, plant, as well as, equipment.
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For what reason can you infer that it might be relevant for a policy analyst to have a law degree?
A) Departments of education are in the executive branch, and most executive-branch officials have law degrees.
B) Policy analysis is a volatile job market, and it is helpful to have another field to fall back on.
C) Education policy needs to be enacted into law by our legislators and needs to comply with other state and federal laws.
D) Policy analysts tend to get sued by ideological foes, so legal knowledge is good protection.
Explanation:
i think is answer b.....m.
How might a purchasing manager influence his company's corporate social respoinsiblity reputation?
A purchasing manager can influence his company's corporate social responsibility (CSR) reputation by implementing sustainable and ethical procurement practices and fostering supplier relationships based on CSR principles.
A purchasing manager plays a crucial role in shaping a company's CSR reputation through their procurement decisions and practices. Here are three ways in which a purchasing manager can influence their company's CSR reputation:
1. Sustainable Procurement: By prioritizing sustainable sourcing and environmentally friendly practices, a purchasing manager can select suppliers who adhere to sustainable standards. This includes evaluating suppliers' environmental policies, assessing their carbon footprint, and promoting the use of eco-friendly materials and processes. By integrating sustainability into the supply chain, the purchasing manager can contribute to the company's CSR reputation and its commitment to environmental responsibility.
2. Ethical Supplier Relationships: A purchasing manager can foster relationships with suppliers who uphold ethical practices, such as fair labor conditions, human rights, and diversity and inclusion. By conducting thorough supplier evaluations and audits, the purchasing manager can ensure that suppliers align with the company's values and CSR goals. Building long-term partnerships with socially responsible suppliers not only enhances the company's reputation but also promotes positive social impact throughout the supply chain.
3. Collaboration and Transparency: The purchasing manager can actively engage with suppliers, stakeholders, and internal teams to promote transparency and collaboration on CSR initiatives. By sharing information, best practices, and CSR goals with suppliers, the purchasing manager can encourage them to align their practices with the company's CSR objectives. Additionally, the purchasing manager can participate in industry initiatives, collaborate with NGOs, and contribute to sustainability reporting to enhance the company's CSR reputation on a broader scale.
By integrating sustainable and ethical principles into procurement processes, fostering responsible supplier relationships, and promoting transparency and collaboration, the purchasing manager can significantly influence the company's CSR reputation and contribute to its overall sustainability efforts.
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What is the promissory note???
Answer:
A promissory note, sometimes referred to as a note payable, is a legal instrument, in which one party promises in writing to pay a determinate sum of money to the other, either at a fixed or determinable future time or on demand of the payee, under specific terms.
Explanation:
similarities between editing and proofreading