When a customized product is manufactured separately and in its own production, it is referred to as job order production. This method allows for efficient production of customized products based on specific customer orders, offering flexibility, higher prices, minimized inventory costs.
Job order production is commonly used in industries where products are highly customized, such as custom furniture, made-to-order clothing, or personalized gifts. It allows manufacturers to efficiently manage the production process and ensure that each product meets the customer's specifications.
In job order production, the manufacturing process is organized around individual orders. The production schedule is determined by the customer's requirements, and the production quantity is typically small. Each product is treated as a separate job, with its own set of instructions and specifications.
This type of production offers several advantages. It allows for greater flexibility in meeting customer demands, as products can be customized to their exact specifications. It also enables manufacturers to charge higher prices for personalized products, as customers are willing to pay a premium for customization. Additionally, job order production helps to minimize inventory costs, as products are only produced when there is a confirmed order.
Know more about inventory here:
https://brainly.com/question/31146932
#SPJ11
which ec2 purchasing option can provide the biggest discount, but is not suitable for critical jobs or databases?
The EC2 purchasing option that can provide the biggest discount but is not suitable for critical jobs or databases is the "Spot Instances" option.
Spot Instances allow users to bid on unused EC2 instances, and the instances are allocated based on the current spot price. The spot price fluctuates based on supply and demand, often resulting in significantly lower prices compared to other purchasing options like On-Demand or Reserved Instances.
While Spot Instances offer substantial cost savings, they come with the risk of being interrupted or terminated if the spot price exceeds the bid price or if demand for EC2 instances increases. Therefore, they are not recommended for critical workloads, time-sensitive tasks, or databases that require continuous and uninterrupted operation.
Learn more about Spot Instances
https://brainly.com/question/30713420
#SPJ4
Discuss how "The Cheesecake Factory" approaches and manages ethical issues.
Discuss a recent ethical issue involving "The Cheesecake Factory" and their management of the issue.
The Cheesecake Factory is committed to ethical business practices and approaches ethical issues with a comprehensive framework.
They prioritize integrity, fairness, and transparency in their operations. The company maintains a strong code of conduct that outlines expected behaviors and ethical standards for employees at all levels. They emphasize training and education to ensure employees understand and adhere to ethical guidelines. The Cheesecake Factory also encourages open communication, providing channels for employees to report any ethical concerns or violations. By fostering a culture of accountability and responsibility, The Cheesecake Factory strives to address ethical issues promptly and appropriately, safeguarding their reputation and maintaining trust with stakeholders.
To know more about stakeholders, visit
https://brainly.com/question/15532995
#SBP11
Cross profit is equal to a. sales plus cost of merchandise sold b. sales less selling expense c. sales plus selling expense d. sales less cost of merchandise sold
Gross profit is equal to sales less cost of merchandise sold. The selling price of your goods less the cost of manufacturing it is your gross profit. It's the selling price of your service less the cost of the time it took to complete the task for a service-based business.
Total sales (sometimes referred to as revenue or turnover) less the total cost of sales is another term for gross profit. While gross profit is the amount of money left over after deducting the cost of items sold from revenue, net profit shows how much money is left over after paying all allowed business service expenses.
To learn more about Gross profit, click here.
https://brainly.com/question/18567528
#SPJ4
A) you are given information that the spot price of an asset is trading at a bid ask quote of 80-80.5 and the six months interest rate is 6% what is the bid ask quote for the six month forward on the asset if there are no dividends?
B) redo the previous question if the interest rates for borrowing and lending are not equal i.e. , there is a bid-ask soread for the interest rates which is 6-6.25
This accounts for the bid-ask spread in interest rates and provides an estimate of the bid-ask quote for the six-month forward on the asset.
A) In the absence of dividends, the bid-ask quote for the six-month forward on the asset can be determined using the cost of carry model. The cost of carry model assumes that the forward price is related to the spot price by considering the cost of holding the asset.
The formula for the forward price (F) is given by:
F = S * e^(r * t)
Where:
S is the spot price
r is the interest rate
t is the time to expiration
Given that the spot price bid-ask quote is 80-80.5 and the six-month interest rate is 6%, we can use the mid-point of the bid-ask spread for the spot price (80.25) and the interest rate (6%) to calculate the forward price.
Using the formula above, the bid-ask quote for the six-month forward can be calculated as follows:
F_bid = 80.25 * e^(0.06 * 0.5)
F_ask = 80.25 * e^(0.06 * 0.5)
B) When the interest rates for borrowing and lending are not equal, i.e., there is a bid-ask spread for the interest rates (6-6.25%), the cost of carry model needs to be adjusted. In this case, we need to consider both the borrowing cost and the lending return.
The modified formula for the forward price (F) is given by:
F = S * e^((r - q) * t)
Where:
S is the spot price
r is the interest rate for lending
q is the interest rate for borrowing
t is the time to expiration
Given the bid-ask spread for the interest rates as 6-6.25%, we can use the mid-point of the bid-ask spread (6.125%) as the lending rate and the lower bound (6%) as the borrowing rate to calculate the forward price.
Using the modified formula, the bid-ask quote for the six-month forward can be calculated as follows:
F_bid = 80.25 * e^((0.06125 - 0.06) * 0.5)
F_ask = 80.25 * e^((0.06 - 0.06) * 0.5)
This accounts for the bid-ask spread in interest rates and provides an estimate of the bid-ask quote for the six-month forward on the asset.
Learn more about interest from the link
https://brainly.com/question/29451175
#SPJ11
Why is it a good idea to shop at the same two or three stores from week to week?
Answer:
It is good to shop at the same shop 2-3 times a week so the business can build a Business 2 Customer relationship, and also to gain points and rewards when you go and come back to the shop to entice you into coming and recommending to a friend.
Explanation:
Kim, a customer service manager, tracks monthly complaints and has been trying over the past six months to reduce complaints to less than 0. 2 percent through additional training for her staff. She is engaged in.
Controlling is done by Kim during the management for the last six months.
According to the given statement, Kim as a manager was tracking the complaints on monthly basis for the last six months. This is the reason that she was having a deep look at complaints therefore complaints have reduced to less than 0.2%.
This controlling function helps one to know the progress that has been made in achieving the organizational goals and brings any changes or deviations. It also illustrates or shows corrective action.
Controlling function management could indicate and control the upcoming in the system and reduces them by the time.
For more Questions like this Controlling Function visit the link below:
https://brainly.com/question/25267752?referrer=searchResults
#SPJ4
Which of the following is a employer-sponsored retirement plan that allows
employees to set aside money for retirement, where the individual pays taxes
on money contributed but not on the money withdrawn?
Answer:
roth 401K
Explanation:
a.p.e.x.
Roth 401(k) - this exists an employer-sponsored retirement plan that permits employees to set aside money for retirement, where the person pays taxes.
What is retirement?Retirement exists as the withdrawal from one's position or profession or one's active working life. It exists a time when an individual that has been actively engaged in the workforce ceases to work for the rest of his/her life due to progressive age. Many organizations have a specified age at which employees retire. Retirement directs to the time of life when one chooses to always leave the workforce behind. The traditional retirement age stands at 65 in the United States and most other developed countries.
Learn more about retirement, refer:
https://brainly.com/question/16005493
#SPJ2
To calculate the number of montly payments required to pay off a loan or meet an investment goal, use the _______ function.
To calculate the number of monthly payments required to pay off a loan or meet an investment goal, use the nper function.
In finance, lending is the lending of money by one or more individuals, organizations, or other entities to other individuals and organizations, etc. The beneficiary incurs a debt and usually has to pay interest on that debt until that debt is also repaid. to repay the principal borrowed.
The promissory note will typically state, among other things, the principal amount of the loan, the interest rate charged by the lender, and the date of repayment. A loan involves reallocation of assets in question over a period of time, between the lender and the borrower.
To know more about loan here-
https://brainly.com/question/11794123
#SPJ4
Why is seed financing very risky? a.The PEI deals with the banking system in this phase. b. Projects you will only find only successful ones. c.In order to find a successful project, the PEI will have lost a lot of money on other losing projects.
The correct answer is option C that is in order to find a successful project, the PEI will have lost a lot of money on other losing projects.
Seed Financing is one of the steps in raising a successful startup into a company or brand. It is the initial step, and it involves the process of capital raising. It is also known as Seed funding, seed capital or seed money. It is quite informal as compared to the other forms of financing such as venture capital. This financing technique is done to support the initial finance building of any startup or company. For example, the elements from seed financing can be used in research purposes, development of prototypes, operational expenses and even in legal matters. Since it involves investment in the early stage it is considered as the riskiest as no one knows whether the company will flourish or sink.
Learn more about Seed Financing at:
brainly.com/question/17108333
#SPJ4
In order to implement contractionary policy, the government and central bank must _____ goverment spending _______ taxes, and _____ interst rates.
Answer:
increase, decrease, decrease
Explanation:
If a school is offering a lot in financial aid, what else do you need to consider when trying to determine if a school is going to fit your budget?
If a school is offering a lot in financial aid, what else do you need to consider when trying to determine if a school is going to fit your budget is: Cost Of Attendance .
What is financial aid?Financial aid can be defined as the financial assistant or grant render to student which can help to cover their tuition and other expenses.
On the other hand Cost Of Attendance can be defined as the overall expenses amount that you will have to incur.
This expenses include the following:
Loan feesTuition feeRoom and boardBooksTransportation etcTherefore If a school is offering a lot in financial aid, what else do you need to consider when trying to determine if a school is going to fit your budget is: Cost Of Attendance .
Learn more about financial aid here:https://brainly.com/question/26499492
#SPJ1
Answer:
If a school is offering a lot in financial aid, what else you need to consider when trying to determine if a school will fit your budget is the Cost Of Attendance.
If a school is offering a lot in financial aid, you need to consider the cost of attendance (COA) when determining if a school will fit your budget. Financial aid letters from institutes of higher education only include aid for one year. You must reapply for financial aid every year.
Under which type of policy does the government reduce its expenditures and increase tax rates? A. contractionary monetary policy B. contractionary fiscal policy C. expansionary fiscal policy D. expansionary monetary policy
Answer:
B. contractionary fiscal policy
Explanation:
The government influences economic direction through fiscal policy measures of increasing or decreasing its expenditure and taxation. Therefore, fiscal policies involve the government's actions of adjusting its spending and taxation to achieve desired economic objectives.
Fiscal policies can either be contractionary or expansionary. Contractionary measures are applied to control rising inflation and moderate the rate of growth. These policies aim at reducing liquidity in the market, thereby achieving stable prices. A reduction in government spending and an increase in taxation reduces liquidity or money circulation.
Answer:
b
Explanation:
Suppose that a year of college has the following explicit costs: $17000 in tuition, $1000 in books and supplies, and $1500 for a computer. A year of college also has the following implicit cost: $35000 of foregone salary. A rational person would attend one year of college if the additional income and improved quality of life were worth how much
Answer:
A rational person would attend one year of college if the additional income and the improved quality of life were worth more than the cost of attending college for the year or more than $19,500
Explanation:
The given parameters are;
The tuition cost for a year of college = $17,000
The cost of books and supplies = $1,000
The cost for a computer = $1,500
The amount of forgone salary = $35,000
Therefore, the total cost for a year of college = $17,000 + $1,000 + $1,500 + $35,000 = $54,500
However, the amount by which a year in college exceeds the previous income = The cost of going to college $17,000 + $1,000 + $1,500 = $19,500
Therefore, a rational person would attend one year of college if the additional or extra income above the previous income and the improved quality of life were worth more than the cost of going to college for one year which is $19,500.
Benito's family is thinking of relocating from Los Angeles to Oakland to save money. They set up a budget comparing the cost of living for both cities. Oakland Los Angeles Budget Item Cost Cost Housing $565 $1200 Food $545 $655 Health Care $245 $495 Taxes $450 $625 Other Necessities $350 $495 Monthly Total How much money will they save monthly by the move to Oakland? $1315 $1560 $1665 $1765
Answer:
Total monthly saving = $1,315
Explanation:
Given:
Oakland Los Angeles
Cost Housing $565 $1200
Food $545 $655
Health Care $245 $495
Taxes $450 $625
Other Necessities $350 $495
Find:
Total monthly saving
Computation:
Saving in house = $1200 - $565 = $635
Saving in food = $655 - $545 = $110
Saving in health care = $495 - $245 = $250
Saving in taxes = $625 - $450 = $175
Saving in necessities = $495 - $350 = $145
Total monthly saving = $635+$110+$250+$175+$145
Total monthly saving = $1,315
Answer:
A) $1,315
Explanation:
I took the test on Edge
Regina, a 25-year-old professional, wants to start an investment portfolio. What strategy may her financial advisor suggesta
A.Start a moderate portfolio and shift to high risk later in life.
in luce
B.Invest only in national companies.
C.Buy 100% international stocks.
D. Choose a high-risk portfolio now and change it, if needed, in the future.
Answer:
A.Start a moderate portfolio and shift to high risk later in life.
Explanation:
Investment portfolio may be defined as the financial investments done by one. It is the collection or ownership of various assets and stocks, bonds, real estates, cash, etc.
In the context, Regina who is 25 year old wishes to start an investment plan. For this her financial advisor may suggest her to start her investment in a moderate portfolio and then later may shift to a high risk portfolio. This is because Regina is young and is new to investment. She is not experience enough to invest in high risk portfolio. When she gains knowledge about investments in her life then she can properly plan her investment in order to achieve maximum profit.
Assume that projected revenue for 2018 is 1,231,414. also assume the following projected 2018 costs in each of the cost categories from question one: packaged (cans & bottles) $122,939 kegs $73,637 shrinkage/wip loss $42,000 contract labor $9,000 direct labor $240,000 inbound freight $18,000 consumer advertising $30,000 trade promotion $30,000 sales promotion $18,000 salaries & benefits $180,000 given these costs, compute shannon's projected contribution margin in dollars.
Shannon's projected contribution margin for 2018 is $486,838.
To compute Shannon's projected contribution margin in dollars, we need to subtract the total projected costs from the projected revenue.
Projected revenue for 2018: $1,231,414
Projected costs:
Packaged (cans & bottles): $122,939
Kegs: $73,637
Shrinkage/WIP loss: $42,000
Contract labor: $9,000
Direct labor: $240,000
Inbound freight: $18,000
Consumer advertising: $30,000
Trade promotion: $30,000
Sales promotion: $18,000
Salaries & benefits: $180,000
Total projected costs = $122,939 + $73,637 + $42,000 + $9,000 + $240,000 + $18,000 + $30,000 + $30,000 + $18,000 + $180,000 = $744,576
Projected contribution margin = Projected revenue - Total projected costs
= $1,231,414 - $744,576
= $486,838
So, Shannon's projected contribution margin for 2018 is $486,838. This represents the amount of revenue that remains after subtracting all the variable and fixed costs associated with producing and selling the product. It is the amount that can be used to cover fixed expenses and contribute towards profit.
To know more about contribution
https://brainly.com/question/10410785
#SPJ4
Antitrust laws have been implemented by governments to promote _____.
A. price fixing
B. competition
C. monopolies
D. bid rigging
Antitrust laws are implemented by both federal and state governments to promote B. Competition among firms.
Without these Antitrust laws implemented by governments, some companies will stifle competition and tend towards monopolies. Antitrust laws check collusion among market players who may engage in price fixing and other anti-competition practices against consumers. Particularly, these Antitrust laws frown on the formation of cartels and the concentration of economic power in fewer hands.Thus, Antitrust laws are not implemented to promote price fixing, monopolies, or bid rigging but to promote competition.
Read more about Antitrust laws at https://brainly.com/question/13800256
Answer:
B. competition
Businesses, individuals, and governments often need to raise capital, while others have surplus funds. In a well-functioning economy, capital flows efficiently from those with surplus capital to those who need it. Transfers can take place in 3 ways: -Select- transfers without going through any type of financial institution, -Select- transfers through investment banks that underwrite the securities, and indirect transfers through financial -Select- that create new forms of capital.
Answer:
1. Transfers without going through any type of financial institution - DIRECT TRANSFER
Direct transfer of funds refers to the scenario where the people who have surplus capital are able to get it to those who need it directly without the use of an intermediary.
2. Transfers through investment banks that underwrite the securities, and indirect transfers through financial ... - INDIRECT TRANSFER
When the funds flow through an intermediary such as an Investment bank or other financial institutions, the transfer is indirect.
3. INTERMEDIARIES that create new forms of capital.
Intermediaries take the surplus capital from those who have it and then create new forms of capital such as loans and equity investments to enable them pass the funds to those who need it.
A bond is the issuer's written promise to pay the _____________ of the bond with interest. multiple choice Market value Par value Interest value
The blank space in the sentence should be filled with Market value.
What is a Bond?In all simplicity, a bond is loan from an investor to a borrower which may be a company or government. The borrower uses the money to fund its operations, and the investor receives interest on the investment. Additionally, it is noteworthy to know that the market value of a bond can change over time as bonds are a medium for store of value.
Read more on bond;
https://brainly.com/question/25965295
Caitlyn has worked in HR for Clearwater Electronics for more than 20 years. She has found that many employees are now more concerned with working in an environment where they can grow personally than with their level of compensation. How can Caitlyn and the HR department best provide opportunities for their employees to grow?
Answer:
A) HR can provide training and development activities to help employees improve.
Explanation:
In a work environment where employees prioritize personal growth, it is necessary for the human resources department to implement training and development strategies for employees.
The focus on training and organizational development allows companies to develop diagnoses, discover the potential of employees, correct errors, reorganize the work according to the potential of each employee, etc., which makes the work more satisfying, more productive because it motivates and increase employee satisfaction, in addition to being essential for the development of creativity, innovation and differentiated skills.
The best way that Caitlyn and the HR can best provide opportunities for their employees to grow is through the provision of training and development activities to help employees improve.
This question obviously tells us that the employees are less concerned about the pay they receive compared to the growth that they can attain personally.
A way that would help them to attain the growth in their job is through trainings and other development activities.
These would help them to learn new skills and also get better at their jobs.
Read more on https://brainly.com/question/19089510?referrer=searchResults
Q Use the drop-down menus to identify which vocabulary terms match the definitions.
1) (Short-term/ long-term ) goals are goals that a person means to accomplish in the near
future, such as in a day, a week, or a month.
2) (Short-term/ long-term ) goals are goals that a person means to accomplish in a longer period of time, such as in a semester, a year, or ten years.
3) Setting a (professional goal/personal goal ) involves determining something in your career that you would like to achieve, such as a promotion, within a set timeframe.
Answer:
1) → Short-term goals are goals that a person means to accomplish in the near future, such as in a day, a week, or a month.
2) → long-term goals are goals that a person means to accomplish in the near
future, such as in a day, a week, or a month.
3) → Setting a professional goal involves determining something in your career that you would like to achieve, such as a promotion, within a set timeframe.
OAmalOHopeO
Short-term
long-term
professional goal
Which is not one of our guidelines for measuring cash flows for capital budgeting?
A. Include replacement costs.
B. Take into account external effects
C. Don’t include financing costs.
D. Be sure to include fixed costs.
The guideline that is not recommended for measuring cash flows for capital budgeting is to include fixed costs. Fixed costs are costs that do not vary with the level of production or sales. Including fixed costs in cash flow measurements can lead to incorrect decisions as they are not relevant to the project's incremental cash flows.
Measuring cash flows for capital budgeting involves estimating the incremental cash flows generated by the project. Incremental cash flows are the difference between the cash inflows generated by the project and the cash outflows incurred. It is important to only consider cash flows that are directly related to the project and exclude any irrelevant costs. Fixed costs are not relevant to the project's incremental cash flows as they do not change with the level of production or sales. By excluding fixed costs, decision-makers can make more accurate and informed decisions about the profitability of the project.
To learn more about costs click here: brainly.com/question/14566816
#SPJ11
Match the example on the left to the segmentation base on the right
Left:
Targeting men
Midwest customers
Mountain dew is all about excitement
A rolex demonstrates wealth
Right:
Psychographic
Demographic
Benefit
Geographic
Behavioral
Match the example on the left to the correct characteristic of services on the right
Left:
Both service provider and customer must both be present
Watching a live performance at Hamilton
Once a Cincinnati reds game is finished those seats cannot never be sold
Services differ bases on time of day
Right:
Inventory
Intangibility
Inseparability
Inconsistency
Match the example on the left to the correct consumer product classification on the right
Left:
A 16oz bottle of pepsi
You visit 2 stores and a website before buying
Products with elite brands and the highest price for that category
Tons of advertising for when the product is needed
Right:
Unsought
Shopping
Speciality
convenience
Match the example on the left with the Stage of the NPD on the right
Left:
Your company has an R&D breakthrough
A prototype is constructed
Actual products are exposed to prospective consumers under realistic purchase conditions to see if they will buy
Production capabilities are assessed
Right:
Project planning
Idea generation
Test marketing
Product development
Left: Targeting men - Right: Demographic
Left: Midwest customers - Right: Geographic
Left: Mountain Dew is all about excitement - Right: Benefit
Left: A Rolex demonstrates wealth - Right: Psychographic
How do the examples on the left match with their corresponding segmentation bases on the right?When matching the examples on the left with the segmentation bases on the right, we can identify the following connections. Targeting men aligns with the demographic segmentation base, as it focuses on a specific gender group. Midwest customers correspond to the geographic segmentation base, as it specifies a particular region. Mountain Dew's emphasis on excitement relates to the benefit segmentation base, targeting customers who seek excitement in their beverage choices. Lastly, a Rolex demonstrating wealth aligns with the psychographic segmentation base, appealing to consumers who associate luxury and status with their purchase decisions.
Learn more about segmentation
brainly.com/question/13330632
#SPJ11
Explain the tool of monetary policy a government could use to gain positive balance of payment
Answer:
What is the tool of monetary policy?
Central banks have four main monetary policy tools: the reserve requirement, open market operations, the discount rate, and interest on reserves. 1 Most central banks also have a lot more tools at their disposal. Here are the four primary tools and how they work together to sustain healthy economic growth.
Explanation:
Imagine that you are a manager and your boss has asked you to improve the organizational design of your company to make it more customer- centric. The following table lists five examples of actions you could take to create an organization that is more responsive to customers. Match each action to the principle it represents by typing the letter of the action in the answer box next to the corresponding principle.Action:A. ou create a cross-functional group to bring together information from all parts of the company so that what the company is doing can be compared with what clients want. B. In the past, you have held staff meetings once week. Now you set aside one staff meeting a month to gather information from outside the organization. You invite customers, suppliers, collaborators, and even competitors to come to this staff meeting and talk about the latest trends in the industry. C. You started monthly 2-hour training sessions that cover everything from how to create a basic program in Python to how to move boxes safely. You invite every employee in the company to participate in every training session to make sure that all of your employees gain the skills they need.D. You give employees rewards for creating new products that are hits with customers. Last year, you awarded $10,000 each to two employees who designed the company's best- selling product of the year.E. Until now, customer service representatives have had to get two levels of management approval before issuing a refund to an unhappy customer. You decide that their direct supervisor can approve refunds as long as certain guidelines are followed.PrincipleCoordinationCooperationCapability developmentCloutConnection
The following table lists five examples of actions you could take to create an organization that is more responsive to customers.
A. Coordination: Creating a cross-functional group to bring together information from all parts of the company so that what the company is doing can be compared with what clients want is an example of coordination. By coordinating information from all parts of the company, you can ensure that the company is responsive to customer needs and wants.
B. Connection: Setting aside one staff meeting a month to gather information from outside the organization is an example of connection. By inviting customers, suppliers, collaborators, and even competitors to come to this staff meeting and talk about the latest trends in the industry, you can stay connected to the outside world and ensure that your company is responsive to customer needs.
C. Capability development: Starting monthly 2-hour training sessions that cover everything from how to create a basic program in Python to how to move boxes safely is an example of capability development. By inviting every employee in the company to participate in every training session, you can ensure that all of your employees gain the skills they need to be responsive to customer needs.
D. Clout: Giving employees rewards for creating new products that are hits with customers is an example of clout. By rewarding employees for their contributions, you can encourage them to continue to develop products that are responsive to customer needs.
E. Cooperation: Allowing customer service representatives to get approval for refunds from their direct supervisor instead of having to get two levels of management approval is an example of cooperation.
For more about customer:
https://brainly.com/question/13472502
#SPJ11
Given the current status of the U.S. economy—a slow recovery from a severe, pandemic-induced economic downturn, relatively high unemployment, moderate inflation, and an enormous national debt level—what aggregate demand policy would you recommend as the single most important course of action needed to address the current status of the U.S. economy?
Why do you believe that your recommended course of action will be successful in improving the current performance level of the U.S. economy?
To address the current state of the U.S. economy, implementing expansionary fiscal policy through increased government spending and/or reduced taxes would be recommended. This can stimulate spending, boost aggregate demand, and improve economic performance.
Based on economic principles, during a slow recovery with high unemployment, a recommended aggregate demand policy would be an expansionary fiscal policy. This involves increasing government spending and/or reducing taxes to stimulate consumer and business spending, thus boosting aggregate demand.
Expanding government spending can create job opportunities, leading to increased employment levels. Reducing taxes puts more money in consumers' pockets, encouraging them to spend more, which can further stimulate economic activity. These measures aim to increase overall spending, leading to increased production, job creation, and economic growth.
The effectiveness of expansionary fiscal policy depends on various factors such as the magnitude of the stimulus, timing, and efficiency of spending. It also requires careful management to ensure fiscal sustainability and avoid excessive inflation or further accumulation of the national debt. Implementing such policies alongside measures to address structural issues and promote long-term economic growth can contribute to improving the overall performance of the U.S. economy.
Learn more about Fiscal policy: https://brainly.com/question/6583917
#SPJ11
What is the effect of credit card interest on the real cost of items?
Answer:
Credit card interest rates, also known as finance charges, vary from one card issuer to another and may also vary across different credit cards from the same issuer. Before getting a credit card, you must be aware of the interest rate charged on it. Unlike other loans, credit card interest rates are usually not linked to the user’s credit score and repayment capacity. Every credit card has a preset finance charge and it will be the same for all the customers.
The most important point to note here is that interest is charged on credit cards only if you have not paid the outstanding amount in full or withdrawn cash from ATMs using the credit card. No interest is charged when you clear your credit card dues on time.
This jacket is so thin. It can't possibly keep out the rain."(Use the boomerang method.)
Answer:
The jacket is thin because it uses a fiber called thinsulate that enables it to have the lightest weight but is also the warmest.
Explanation:
In general marketing, the boomerang method refers to the 'reconstruction' of the customer's objection into the main reason for buying. In other words, using the same excuse that a customer has about a product to entice him/her to buy that product by reframing it as a selling point is known as the boomerang method.
In the given scenario, the customer's objection is about the thinness of the jacket can be used as a selling point by the salesman by stating that the lightness of the jacket is what makes it a good product. So, if the seller tells the customer "the jacket is thin because it uses a fiber called Thinsulate that makes it thin but also warm", then that will make it an interesting and important factor for the customer to like the product more.
On July 10, a hardware retailer purchased merchandise inventory on account for $1800. The company plans to pay $1600 the following week and the remaining amount the week after. Which of the following is the correct entry to record the July 10 transaction in a purchases journal? Group of answer choices
$1600 will be recorded in the Accounts Payable CR and Merchandise Inventory CR columns.
$3400 will be recorded in the Accounts Payable DR and Merchandise Inventory DR columns.
$1800 will be recorded in the Merchandise Inventory CR and Accounts Payable DR columns.
$1800 will be recorded in the Accounts Payable CR and Merchandise Inventory DR columns.
On July 10, a hardware retailer purchased merchandise inventory on account for $1800. The company plans to pay $1600 the following week and the remaining amount the week after. $1800 will be recorded in the Accounts Payable CR and Merchandise Inventory DR columns.So option d is correct.
In this transaction, the hardware retailer purchased merchandise inventory on account for $1800. Since the retailer is buying the inventory on credit, the amount is recorded as an increase in the Accounts Payable account (a liability) and an increase in the Merchandise Inventory account (an asset). Therefore, the Accounts Payable is credited (CR) for $1800, and the Merchandise Inventory is debited (DR) for $1800.Therefore option d is correct.
To learn more about Payable account visit: https://brainly.com/question/1347024
#SPJ11
a stock has an expected return of 13.8 percent and a beta of 1.19, and the expected return on the market is 12.8 percent. what must the risk-free rate be? (do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
The risk free rate is 7.4% with expected return of 13.8 percent, a beta of 1.19, and the expected return on the market as 12.8 percent
Give a brief account on risk free rate.The theoretical rate of return for a risk-free investment is known as the risk-free rate of return. The interest that a potential investor could earn over a set length of time from a completely risk-free investment is known as the risk-free rate. You can calculate the so-called "real" risk-free rate by subtracting the current inflation rate from the yield on the Treasury bond that corresponds to the tenure of your investment.
Theoretically, an investor expects the risk-free rate to be the minimal return on any investment because they won't take on extra risk unless the possible rate of return is higher. The investor's home market must be taken into account when determining a proxy for the risk-free rate of return in a particular situation, and negative interest rates might make things more difficult.
To solve the question :
According to the capital asset pricing model, every stock's expected return (ER) can be computed as :
ER = Rf + beta* ( Rm - Rf)
where,
Rf is risk free rate
Rm is expected return on market.
Therefore, 0.138 = Rf + 1.19 (0.128 - Rf)
which is equivalent to
= 0.19 Rf = 0.152 - 0.138
= Rf = 0.0736
= 7.4%
Hence, 7.4% is the risk free rate.
To know more about, risk free rate, visit :
https://brainly.com/question/28168891
#SPJ1