use the information in the table to answer this item. if depositors move $100 billion from checkable deposits to retail money market funds, then:

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Answer 1

If depositors move $100 billion from checkable deposits to retail money market funds, then the total amount of checkable deposits in the banking system will decrease by $100 billion.

Retail money market funds are considered to be a form of savings account and are not included in the money supply. Therefore, the money supply will remain unchanged, but there will be a decrease in the amount of checkable deposits. This may lead to a decrease in the amount of loans that banks can make, as they have less money to lend out. However, it may also lead to an increase in interest rates on checkable deposits, as banks try to attract depositors back into these accounts. Overall, the shift from checkable deposits to retail money market funds is likely to have an impact on the overall liquidity of the banking system.

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Related Questions

if the nominal interest rate is 5 percent and the rate of inflation is -2.5 percent, then the real interest rate is

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The real interest rate is 7.5 percent.

The real interest rate is the nominal interest rate minus the rate of inflation. In this case, the nominal interest rate is 5 percent and the rate of inflation is -2.5 percent (which means there is deflation). Thus, the real interest rate can be calculated as:

Real interest rate = Nominal interest rate - Inflation rate

Real interest rate = 5% - (-2.5%)

Real interest rate = 5% + 2.5%

Real interest rate = 7.5%

Therefore, the real interest rate is 7.5 percent. This means that the purchasing power of the invested money will increase by 7.5 percent over time after adjusting for the effects of inflation/deflation.

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which of the following includes only intangible assets? group of answer choices research and development costs, franchises, and trademarks. copyrights, licenses, and land. trademarks, patents, and copyrights. natural resources, patents, and trademarks.

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The group of answer choices that includes only intangible assets is trademarks, patents, and copyrights.

Intangible assets are non-physical assets that have value and are not easily transferable. Trademarks, patents, and copyrights are examples of intangible assets because they are rights to certain properties or products that are not physical. Research and development costs, franchises, and natural resources are examples of assets that can be physical or intangible.

Licenses can also be physical or intangible, depending on the type of license. Land is a physical asset, and therefore not an intangible asset. It is important to differentiate between tangible and intangible assets when valuing a company or business, as intangible assets can often hold significant value but may not be immediately visible.

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when the fed buys bonds, its demand _____ the price of bonds, _____ nominal interest rates.

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When the Fed buys bonds, its demand increases the price of bonds, which in turn decreases nominal interest rates.
1. The Fed buys bonds, increasing its demand for bonds.
2. As demand for bonds increases, their price also increases.
3. When the price of bonds increases, their yield (or nominal interest rates) decreases, as the interest rate is inversely proportional to the bond price.

The interest rate before inflation is referred to as the nominal interest rate. Nominal can also refer to the advertised or reported interest rate on a loan, excluding any fees or interest compounding. The nominal interest rate, also known as the nominal rate of interest, is the interest rate quoted on a loan or investment that does not include any modifications or costs.

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52. The greatest advantage of using a credit card is that it provides
A. An easy way to establish a personal credit history.
B. An easy way to avoid going into debt.
C. A less expensive way to pay for college.
D. A safe way to improve one's credit score.

Answers

The greatest advantage of using a credit card is that it provides a safe way to improve one's credit score. Option D

What is a credit card score?

A credit score is a three-digit figure that lenders use to determine how hazardous lending money to someone is. A good credit score indicates that a person is a low-risk borrower, which may result in cheaper loan interest rates in the future.

A poor credit score indicates a high-risk borrower, which may result in higher interest rates and less favorable loan terms.

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in service organizations, what is considered to be one of the major links in the supply chain?

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In service organizations, one of the major links in the supply chain is often the suppliers of raw materials, goods, and services that are necessary to deliver the service to the customer.

Medical equipment, drugs, and other medical goods suppliers are key links in the supply chain in a healthcare organisation. Suppliers of information, software, and technology are key supply chain elements in a consulting firm.

These suppliers supply the necessary inputs, which are then turned into the final service given to the consumer. As a result, their quality, dependability, and timeliness are critical to ensuring that the service is given successfully and efficiently.

Service organisations frequently collaborate closely with their suppliers in order to manage the supply chain, assure quality control, and reduce costs.

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which planning phase includes gathering, recording, analyzing, and displaying situation, resource, and incident-potential information?

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The information gathered during this phase is crucial in making informed decisions and creating an effective plan. the assessment phase is a critical part of the planning process that helps ensure a successful outcome.

that includes gathering, recording, analyzing, and displaying situation, resource, and incident-potential information is called the "Situation Assessment" phase. During the Situation Assessment phase, relevant data is collected, recorded, and analyzed to help decision-makers better understand the situation at hand. This information is then displayed in a format that is easily accessible and understandable, which aids in the development of appropriate strategies and plans.  the Situation Assessment phase is a crucial step in planning, as it involves the collection and analysis of important information related to the situation, resources, and incident-potential, ultimately guiding decision-makers towards effective strategies and plans.

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Suppose that JPMorgan Chase sells call options on $1.60 million worth of a stock portfolio with beta = 1.95. The option delta is .76. It wishes to hedge out its resultant exposure to a market advance by buying a market-index portfolio. Suppose it uses market index puts to hedge its exposure. Each put option is on 100 units of the index, and the index at current prices represents $1,000 worth of stock.
a. How many dollars’ worth of the market-index portfolio should it purchase to hedge its position (Omit the "$" sign in your response.)
Market index portfolio $
b. What is the delta a put option? (Round your answer to 2 decimal places. Negative amount should be indicated by a minus sign. Omit the "$" sign in your response.)
The delta a put option is c. Complete the following: (Negative amount should be indicated by a minus sign. Omit the "$" sign in your response.)
Assuming the 1 percent market movement, JP Morgan should (Click to select)buysell put contracts. Assume a market movement of 1 percent.

Answers

JPMorgan Chase should purchase $1,216,000 worth of the market-index portfolio to hedge its position, the delta of the put option is -0.24.

To calculate the amount of the market-index portfolio that JPMorgan Chase should purchase to hedge its position, we need to use the delta values of the stock portfolio and the market-index put options.

a. The delta of the call options on the stock portfolio is given as 0.76. This means that for every $1 increase in the stock price, the value of the call options will increase by $0.76. Since the stock portfolio is worth $1.60 million, we can calculate the dollar amount of exposure that needs to be hedged:

Exposure = Delta × Stock Portfolio ValueExposure = 0.76 × $1,600,000Exposure = $1,216,000

To hedge this exposure, JPMorgan Chase should purchase an equivalent amount of the market-index portfolio.

The index at current prices represents $1,000 worth of stock, so we can calculate the number of units of the index that need to be purchased:

Number of Units = Exposure / Index ValueNumber of Units = $1,216,000 / $1,000Number of Units = 1,216

Therefore, JPMorgan Chase should purchase $1,216,000 worth of the market-index portfolio to hedge its position.

b. The delta of a put option can be calculated using the put-call parity relationship, which states that the delta of a put option is equal to the delta of the corresponding call option minus 1. The delta of the call option is given as 0.76, so:

Delta of Put Option = Delta of Call Option - 1Delta of Put Option = 0.76 - 1Delta of Put Option = -0.24

Therefore, the delta of the put option is -0.24.

c. Assuming a 1 percent market movement, JPMorgan Chase should buy put contracts to protect against a market advance.

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marginal cost is equal to average total cost when group of answer choices average variable cost is falling. average fixed cost is rising. marginal cos

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When average variable cost is falling and average fixed cost is rising, the average total cost curve is U-shaped. At the minimum point of the U-shaped curve, the marginal cost equals the average total cost.

This occurs at the minimum point of the average total cost curve. When average variable cost is falling, it indicates that the firm is experiencing increasing efficiency in production, leading to a decrease in average total costs.

This is because at the minimum point, the slope of the average total cost curve is zero, which means that the marginal cost curve intersects the average total cost curve at that point.

Therefore, when the average variable cost is falling and the average fixed cost is rising, the marginal cost is equal to the average total cost at the minimum point of the U-shaped curve.

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1. 1. INTEREST IS THE COST OF BORROWING MONEY.

True

False

2. 2. COMPANIES WHICH ARE UNABLE TO PAY THEIR DEBTS CAN BE FORCED INTO BANKRUPTCY BY THEIR CREDITORS.

True

False

3. 3. ALL BANKRUPTCIES END IN THE LIQUIDATION OF THE BANKRUPT COMPANY.

True

False

4. 4. INTEREST IS A TAX-DEDUCTIBLE EXPENSE.

True

False

5. 5. FINANCIAL LEVERAGE REFERS TO A COMPANY’S ABILITY TO PAY OFF ITS DEBTS AS THEY COME DUE.

True

False

6. 6. A COMPANY IS SAID TO BE EMPLOYING FINANCIAL LEVERAGE IF THE EXTRA INCOME GENERATED FROM BORROWED MONEY IS MORE THAN THE COST OF THE RELATED INTEREST.

True

False

7. 7. A NOTE IS A WRITTEN CONTRACT THAT SPECIFIES THE PAYMENT OF DESIGNATED AMOUNTS OF CASH BY THE DEBTOR ON STATED DATE.

True

False

8. 8. BONDS ARE TYPICALLY SOLD TO A GROUP OF PEOPLE, OFTEN THE GENERAL PUBLIC.

True

False

9. 9. DEBT INSTRUMENTS ISSUED TO THE PUBLIC ARE SUBJECT TO THE REGULATION OF THE SEC.

True

False

10. 10.MORTGAGE AGREEMENTS PROVIDE A LENDER WITH INTEREST IN IDENTIFIED PROPERTY ALLOWING THE LENDER TO REPOSSESS THE PROPERTY SHOULD THE BORROWER FAIL TO REPAY A LOAN.

True

False

Answers

Required correct options are

1. True

2. True

3. False

4. True

5. False

6. True

7. True

8. False

9. True

10. True

1. Interest is the cost of borrowing money: True.

2. Companies which are unable to pay their debts can be forced into bankruptcy by their creditors: True.

3. All bankruptcies end in the liquidation of the bankrupt company: False. Some bankruptcies may result in restructuring or reorganization of the company.

4. Interest is a tax-deductible expense: True, but only for certain types of interest such as business loans and mortgages.

5. Financial leverage refers to a company's ability to pay off its debts as they come due: False. Financial leverage refers to the use of debt to finance assets, which can increase the return on investment.

6. A company is said to be employing financial leverage if the extra income generated from borrowed money is more than the cost of the related interest: True.

7. A note is a written contract that specifies the payment of designated amounts of cash by the debtor on stated dates: True.

8. Bonds are typically sold to a group of people, often the general public: True.

9. Debt instruments issued to the public are subject to the regulation of the SEC: True.

10. Mortgage agreements provide a lender with interest in identified property, allowing the lender to repossess the property should the borrower fail to repay a loan: True.

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Case 16.3What is our reaction to Herb Brooks as a team leader? Do the ends in the case justify the means?Describe how each of the eight characteristics of team excellence applied to Brooks’s coaching of the 1980 U.S. Olympic hockey team.The Hill Model for Team Leadership advocates that the leaders’ job is to monitor the team and take whatever action is necessary to ensure team effectiveness. Describe the actions Brooks took in relation to the internal leadership aspects of the model:Task (goal focusing, structuring for results, facilitating decisions, training, maintaining standards)Relational (coaching, collaborating, managing conflict, building, building commitment, satisfying needs, modeling principles)Hill states that "the leader has special responsibility for functioning in a manner that will help the team achieve effectiveness" while the 1980 U.S. Olympic hockey team was highly successful, do you think it was because of Herb Brooks’s leadership? Explain your answer.

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Herb Brooks exhibited strong leadership qualities as the team leader of the 1980 U.S. Olympic hockey team. His approach was goal-oriented, pushing the team to achieve high performance, and ultimately, leading to their success.

The ends achieved in this case can be seen as justifying the means, as the team's victory was a testament to his effective leadership. Brooks displayed the eight characteristics of team excellence, including a clear and elevating goal, a results-driven structure, competent team members, a unified commitment, a collaborative climate, high standards of excellence, external support and recognition, and principled leadership. In relation to the Hill Model for Team Leadership, Brooks took several actions to ensure team effectiveness. For task leadership, he focused on the team's goals, structured the team for results, facilitated decisions, provided training, and maintained high standards. On the relational side, he coached and collaborated with team members, managed conflict, built commitment, satisfied the players' needs, and modeled the principles he expected from them. The 1980 U.S. Olympic hockey team's success can largely be attributed to Herb Brooks's leadership. His attention to both task and relational aspects, along with his commitment to team excellence, played a crucial role in the team's ability to achieve their ultimate goal.

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suppose a firm in a competitive market produces and sells 150 units of output and earns $1,800 in total revenue from the sales. if the firm increases its output to 200 units, the average revenue of the 200th unit will be group of answer choices less than $12. $12. more than $12. we would need to know the price elasticity of demand for the product to answer this question.

Answers

The average revenue of the 200th unit will also be $12, the same as the average revenue of the 150th unit. Therefore, the correct option is " $12."

How much the average revenue of the 200th unit will be group of answer choices less than $12?

To determine the answer, we need to understand the concept of average revenue. Average revenue is the revenue per unit of output, calculated as total revenue divided by the number of units sold.

Average revenue = Total revenue / Quantity sold

In this case, the firm produces and sells 150 units of output and earns $1,800 in total revenue. Therefore, the average revenue is:

Average revenue [tex]= $1,800 / 150 = $12[/tex] per unit

Now, we are asked to determine the average revenue of the 200th unit if the firm increases its output to 200 units. Since the market is competitive, we assume that the firm is a price taker and cannot influence the price of its product.

Therefore, the price of the product remains constant at $12 per unit.

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1. Thoma Pharmaceutical Company may buy DNA-testing equipment costing $50,000. This equipment is expected to reduce labor costs of the clinical staff by $10,000 annually. The equipment has a useful life of five years but falls in the three-year property class for cost recovery (depreciation) purposes. No salvage value is expected at the end. The corporate tax rate for Thoma (combined federal and state) is 35 percent, and its required rate of return is 15 percent. (If profits after taxes on the project are negative in any year, the firm will offset the loss against other firm income for that year.) On the basis of this information, what are the relevant cash flows?

Answers

Thoma Pharmaceutical Company's purchase of DNA-testing equipment is financially viable with a positive NPV of $5,166.32, indicating that the project is expected to generate more cash flows than the required rate of return of 15%.

The relevant cash flows for Thoma Pharmaceutical Company considering the purchase of DNA-testing equipment can be calculated using the following steps:

Initial investment: The initial cost of the equipment is $50,000.

Annual cash flows: The equipment is expected to reduce labor costs by $10,000 annually. Therefore, the annual cash flow for the next five years would be $10,000.

Tax considerations: Thoma's corporate tax rate is 35%. Therefore, the net cash flows after tax would be $6,500 ($10,000 x (1-0.35)).

Depreciation: The equipment falls in the three-year property class for cost recovery purposes. Therefore, the annual depreciation would be $16,667 ($50,000/3).

Salvage value: No salvage value is expected at the end of the equipment's useful life.

Required rate of return: Thoma's required rate of return is 15%.

Using these steps, the relevant cash flows for the project can be calculated as follows:

Year, Initial Investment, Annual Cash Flow, Depreciation, Taxable Income, Taxes, Net Cash Flow

0, ($50,000), $0, $0, ($50,000), $0, ($50,000)

1, $0, $6,500, $16,667, ($10,167), ($3,557), $2,943

2, $0, $6,500, $16,667, ($10,167), ($3,557), $2,943

3, $0, $6,500, $16,666, ($10,166), ($3,557), $2,944

4, $0, $6,500, $0, $6,500, ($2,275), $4,225

5, $0, $6,500, $0, $6,500, ($2,275), $4,225

The net present value (NPV) of the project can be calculated using the formula:

NPV = (-Initial Investment) + (Net Cash Flow / (1 + Required Rate of Return)^Year)

[tex]NPV = (-$50,000) + ($2,943 / (1+0.15)^1) + ($2,943 / (1+0.15)^2) + ($2,944 / (1+0.15)^3) + ($4,225 / (1+0.15)^4) + ($4,225 / (1+0.15)^5)[/tex]

NPV = $5,166.32

Therefore, based on the calculations, the relevant cash flows for Thoma Pharmaceutical Company considering the purchase of DNA-testing equipment indicate that the project is financially viable with a positive NPV of $5,166.32. This means that the project is expected to generate more cash flows than the required rate of return of 15%.

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Assume that 25 years ago your dad invested $360,000, plus $26,000 in years 2 through 5, and $46,000 per year from year 6 on.At a very good interest rate of 15% per year, determine the CC value.The CC value is determined to be $

Answers

The invested CC value is the present value of all future cash flows discounted back to the present using the discount rate. Then the CC value is $683,675.03.  

Assuming that the interest rate is compounded annually, we can use the formula:

PV = FV / (1 + r)^n

First, we need to calculate the future value of the investment:

Future Value = Principal + (Interest x Time)

Future Value = $360,000 + ($26,000 x 5) + ($46,000 x 25)

Future Value = $995,000

Next, we need to calculate the number of periods:

Number of Periods = (Future Value - Principal) / Interest

Number of Periods = ($995,000 - $360,000) / $26,000

Number of Periods = 53.5

The present value using the formula:

PV = Future Value / (1 + r)^n

PV = $995,000 / (1 + 0.15)^53.5

PV = $683,675.03

Therefore, the CC value is $683,675.03.  

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which of the following statements regarding realized income is true? multiple choice taxpayers need not include realized income in gross income unless a specific provision of the tax code requires them to do so. realized income requires some type of transaction or exchange with a second party. once income is realized it cannot be excluded from gross income. none of these statements are true.

Answers

The true statement regarding realized income is that realized income requires some type of transaction or exchange with a second party.

This means that the income must be earned or received in some form of exchange, such as wages earned from an employer or interest received from a bank. Simply owning an asset that has increased in value does not constitute realized income until the asset is sold or exchanged for cash or another asset. It is important to note that once income is realized, it cannot be excluded from gross income unless a specific provision of the tax code allows for exclusion or deferral. Therefore, the first and third statements listed are not true. Taxpayers are generally required to include all realized income in their gross income unless a specific provision of the tax code provides otherwise.
Hi! Based on the given terms and your question, the correct answer is: Realized income requires some type of transaction or exchange with a second party. This statement indicates that for income to be considered realized, it must involve a transaction or exchange between two parties.

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A.

Realized income requires some type of transaction or exchange with a second party.

B.

Taxpayers need not include realized income in gross income unless a specific provision of the tax code requires them to do so.

C.

None of these statements is true.

D.

Once income is realized it may not be excluded from gross income.

because you understand the law of demand, you can deduce that the correct graphical representation of the demand for cds must be

Answers

The law of demand states that there is an inverse relationship between the price of a good and the quantity demanded. This means that as the price of a good increases, the quantity demanded decreases, and vice versa.

Considering this law, we can deduce the correct graphical representation of the demand for CDs:

Step 1: Label the horizontal and vertical axes of the graph.
- The horizontal axis represents the quantity of CDs demanded (Qd), while the vertical axis represents the price of CDs (P).

Step 2: Plot the demand curve.
- The demand curve is a downward-sloping line on the graph, representing the inverse relationship between price and quantity demanded.

Step 3: Observe the key features of the demand curve.
- The demand curve slopes downward from left to right, indicating that as the price decreases, the quantity demanded increases. Similarly, as the price increases, the quantity demanded decreases.

In summary, the correct graphical representation of the demand for CDs must be a downward-sloping demand curve, which illustrates the inverse relationship between the price of CDs and the quantity demanded, as dictated by the law of demand.

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given the distributions of returns for the following two stocks, calculate the covariance of the returns for the two stocks. assume the expected return is 10.8 percent for stock 1 and 9.7 percent for stock 2.probstock 1stock 20.40.090.110.50.110.080.10.170.13 group of answer choices0.7175070.0000940.0003210.000516

Answers

The covariance of returns for the two stocks is 0.7175.To calculate the covariance of returns for the two stocks, we need to use the Covariance formula.



Covariance = Summation [(Return of Stock 1 - Expected Return of Stock 1) * (Return of Stock 2 - Expected Return of Stock 2)] / (Number of observations - 1)

Using the given data, we have:

Expected return of Stock 1 = 10.8%
Expected return of Stock 2 = 9.7%

Calculating the deviations of returns from their respective expected returns, we get:

For Stock 1:
-0.4, -0.7, 0.3, 1.2, -0.7, -1.0, -0.8, 0.9, 0.3

For Stock 2:
-0.3, -0.6, -0.2, 0.8, -0.2, -0.9, -0.7, 0.5, 0.1

Multiplying these deviations for each observation and summing them up, we get:

Covariance = [(-0.4)*(-0.3) + (-0.7)*(-0.6) + 0.3*(-0.2) + 1.2*0.8 + (-0.7)*(-0.2) + (-1.0)*(-0.9) + (-0.8)*(-0.7) + 0.9*0.5 + 0.3*0.1] / (9-1)
          = 0.7175

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a(n) ______ provides a guide for a company's long-term goals.

Answers

A strategic plan provides a guide for a company's long-term goals.

This plan outlines the organization's mission, vision, and objectives, as well as the strategies and tactics to achieve them. A strategic plan is typically developed by senior management and may cover a period of three to five years or more. It serves as a roadmap for the company, providing direction and focus to all employees and stakeholders. The plan is periodically reviewed and updated to ensure it remains relevant and aligned with the company's changing needs and the external environment. A well-executed strategic plan can help a company to achieve sustainable growth, competitive advantage, and profitability.

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Your annual tuition fee is amounting P100,000 if you pay upon enrolment. However, if you pay at the end of the school year, the amount to be paid is a higher of P110,000. Let us assume that the interest rate is at 12% in a year. Decide whether to pay early or pay later. a) Compute the present value using the PVIF table. b) Compute the future value using the FVIF table. c) Compare the cashflow and determine your decision.

Answers

It is more financially advantageous to pay early as the present value of paying P100,000 now is only P89,285.71, while the future value of paying P110,000 at the end of the year is P123,200.

Paying early would save you P10,714.29 in present value and P13,200 in future value.

To compute the present value, we use the PVIF table with a 12% interest rate for one year, which gives us a factor of 0.892857. Multiplying this by the tuition fee of P100,000 gives us the present value of P89,285.71.

To compute the future value, we use the FVIF table with a 12% interest rate for one year, which gives us a factor of 1.232. Multiplying this by the tuition fee of P110,000 gives us the future value of P123,200.

Comparing the cashflows, paying early would save us P10,714.29 in present value, which is the difference between P100,000 and P89,285.71.

Additionally, paying early would save us P13,200 in future value, which is the difference between P110,000 and P123,200. Therefore, it is financially advantageous to pay early.

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a progressively more detailed and accurate projection of the project schedule and duration as the project manager specifies project deliverables and activities in more detail is called:

Answers

A progressively more detailed and accurate projection of the project schedule and duration as the project manager specifies project deliverables and activities in more detail is called progressive elaboration.

1. The project manager starts with a high-level schedule and duration estimate.
2. As more information becomes available, the project manager refines the schedule by specifying project deliverables and activities in greater detail.
3. This process continues throughout the project lifecycle, with the project manager continuously updating the schedule and duration based on new information.
4. The result is a progressively more detailed and accurate projection of the project schedule and duration, which is known as progressive elaboration.

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5. if 117,200 pounds of raw materials are needed to meet production in august, how many pounds of raw materials should be purchased in july?

Answers

To determine how many pounds of raw materials should be purchased in July, you need to take into account any inventory carried over from previous months.

Assuming there is no inventory carried over, you would need to purchase the full amount required for production in August, which is 117,200 pounds. However, it is common practice to maintain a certain level of inventory for contingencies, such as unexpected increases in demand or supply chain disruptions. The amount of inventory to be carried over is typically determined by a company's inventory policy, which takes into account factors such as lead times, demand variability, and storage capacity. Therefore, the actual amount of raw materials to be purchased in July may vary depending on the specific circumstances of the company.

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trade restriction could be beneficial according to the:a. heckscher-ohlin theoryb. new trade theoryc. comparative advantage theoryd. absolute advantage theory

Answers

According to the Heckscher-Ohlin theory, trade restrictions could be beneficial as they protect domestic industries that use abundant factors of production, such as labor or capital.

This is because trade can lead to an increase in the demand for factors of production that are relatively scarce in a country, which could result in higher wages or rents for those factors. However, the new trade theory and the comparative advantage theory both argue that trade restrictions are generally harmful as they reduce the gains from trade and lead to higher prices for consumers. The absolute advantage theory, on the other hand, suggests that countries should specialize in producing goods where they have an absolute advantage and trade with other countries to obtain goods where they have a comparative disadvantage, regardless of any trade restrictions.
Trade restrictions could be beneficial according to the b. New Trade Theory. This theory suggests that economies of scale, imperfect competition, and product differentiation can lead to a situation where trade restrictions might be advantageous for protecting domestic industries and enhancing competitiveness in the global market.

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scenario 14-2. benjamin has been running his kennel service for one year. so far, business has been good and all expenses have been met each month, leaving a small profit. he has a large building capable of handling a total of 35 dogs. each pen has fresh water supplied through pipes, an automated feeder, and a heating/cooling unit that keeps each pen at a comfortable 68 degrees. benjamin rents each pen at a price of $30 per day. his total fixed costs each month are $500. average variable costs are $12. in scenario 14-2 above, if benjamin's fixed costs were to rise to $600 per month while all other variables remained the same, what would benjamin's new breakeven point be?

Answers

If Benjamin's fixed costs were to rise to $600 per month while all other variables remained the same, his new breakeven point would be 2 pens per day.

To calculate Benjamin's new breakeven point after the fixed costs increase, we can use the following formula:

Breakeven point = Fixed costs / (Price per unit - Variable costs per unit)

We know that Benjamin rents each pen at a price of $30 per day, and his average variable cost is $12 per day. If his fixed costs increase from $500 to $600 per month, then his new fixed costs per day can be calculated as:

New fixed costs per day = $600 / 30 days = $20 per day

Using these values, we can calculate the new breakeven point as follows:

Breakeven point = $20 / ($30 - $12) = 1.43 pens per day

Since, Benjamin cannot rent out 0.43 of a pen, we can round up the breakeven point to 2 pens per day. His new breakeven point would be 2 pens per day.

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gdp can be found either by adding up all of the _____ or all of the _____ in the economy.

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GDP can be found either by adding up all of the spending or all of the income in the economy. Option B is correct.

GDP (Gross Domestic Product) can be calculated by adding up all of the spending or all of the income in the economy. The spending approach involves adding up the total expenditures on goods and services in the economy, including consumption, investment, government spending, and net exports.

The income approach involves adding up the total income generated by the production of goods and services in the economy, including wages, salaries, profits, rent, and interest.

Therefore, option B is correct.

GDP can be found either by adding up all of the _____ or all of the _____ in the economy.

a. spending; taxes

b. spending; income

c. investment; income

d. net interest payments; taxes

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a financial analyst calculated that the after-tax salvage value for a machine was $10,200. the current book value of the asset is $12,000 and the firm's tax rate is 21 percent. how much could the machine be sold for today? multiple choice $9,721.52 $7,151.63 $6,953.07 $9,103.49

Answers

The machine could be sold for $9,721.52 today.

The formula to calculate after-tax salvage value is:
After-tax salvage value = Salvage value - (Salvage value - Book value) x Tax rate

1. After-tax salvage value: $10,200
2. Current book value: $12,000
3. Firm's tax rate: 21%

First, we need to find the taxable gain or loss, which can be calculated as follows:

Taxable gain or loss = (Selling price - Current book value) x Tax rate

Let's denote the selling price as "x". So, the equation becomes:

After-tax salvage value = x - (x - Current book value) x Tax rate

$10,200 = x - (x - $12,000) x 0.21

Now, we'll solve for "x":

$10,200 = x - 0.21x + $2,520

$10,200 - $2,520 = x(1 - 0.21)

$7,680 = 0.79x

x = $7,680 / 0.79

x = $9,721.52

So, the machine could be sold for $9,721.52 today. The correct answer is the first option, $9,721.52.

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the u.s. federal agency responsible for defining and supporting small businesses is the __________.

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The U.S. federal agency responsible for defining and supporting small businesses is the A. Small Business Administration (SBA).

The SBA was established in 1953 and its primary purpose is to aid, counsel, and protect the interests of small businesses. The agency provides a range of services, including access to capital, government contracting opportunities, technical assistance, and business education.

One of the SBA's most well-known services is its loan program. The agency works with lenders to provide small businesses with access to capital that they might not otherwise be able to obtain. These loans are designed to help small businesses start, grow, and succeed. In addition to loans, the SBA also provides counseling services and educational programs that help entrepreneurs navigate the challenges of running a business.

Overall, the SBA is an important resource for small businesses in the United States. The agency's programs and services are designed to help entrepreneurs start and grow successful businesses, and to support the overall health of the American economy. Therefore, the correct option is A.

The question was incomplete, Find the full content below:

The U.S. federal agency responsible for defining and supporting small businesses is the __________.

a) SBA

b) NSA

c) SEC

d) FDA

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At December 31, 2020, the following information was available for E. Hetzel Company: ending inventory $40,000, beginning inventory $56,000, cost of goods sold $270,000, and sales revenue $380,000. Calculate inventory turnover for E. Hetzel Company. (Round answer to 1 decimal place, e.g. 1.5.) Inventory turnover_________ times Calculate days in inventory for E. Hetzel Company. (Round answer to 1 decimal place, e.g. 1.5. Use 365 days for calculation.) Days in inventory s_____ days

Answers

The days in inventory for E. Hetzel Company is about 65.2 days.

To calculate the inventory turnover and days in inventory for E. Hetzel Company, we can use the following formulas:

Inventory Turnover = Cost of Goods Sold / Average Inventory

Days in Inventory = 365 days / Inventory Turnover

First, let's calculate the average inventory:

Average Inventory = (Beginning Inventory + Ending Inventory) / 2

= ($56,000 + $40,000) / 2

= $96,000 / 2

= $48,000

Now, we can calculate the inventory turnover:

Inventory Turnover = Cost of Goods Sold / Average Inventory

= $270,000 / $48,000

= 5.625 (rounded to 1 decimal place)

The inventory turnover for E. Hetzel Company is 5.6 times.

Next, we can calculate the days in inventory:

Days in Inventory = 365 days / Inventory Turnover

= 365 days / 5.6

= 65.18 (rounded to 1 decimal place)

The days in inventory for E. Hetzel Company is approximately 65.2 days.

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airbnb is always optimizing their homepage to create an exciting and engaging experience for website visitors. looking below, how is this homepage optimized to entice visitors to book a trip? select all that apply.

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AirBnB's homepage is optimized to entice visitors to book a trip by including features that guide visitors to the logical next step, creating trust with potential customers, and providing an exciting and engaging experience. Therefore, the correct answer is option A, B, C and D.

Firstly, the homepage includes a destination and date search form, which is what most visitors come looking for, and is prominently displayed upfront. This feature makes it easy for visitors to start their search for a trip, encouraging them to take the next step towards booking a vacation.

Secondly, the homepage has customer testimonials that tell real-world stories of why to use the product. These testimonials help create trust with potential customers, providing them with an understanding of the positive experiences others have had with the platform.

Thirdly, the impactful image on the homepage almost acts like a story, making it easy for visitors to consume the information. The image highlights the experience of traveling with AirBnB and makes visitors feel excited about booking their next trip.

Finally, the primary call-to-action "Search" contrasts with the background and stands out, making it easy for visitors to take the next step towards booking a trip. Additionally, the secondary call-to-action for hosts is visible above the fold, encouraging potential hosts to sign up to list their property.

In conclusion, AirBnB's homepage is optimized to entice visitors to book a trip by including features that guide visitors to the logical next step, creating trust with potential customers, and providing an exciting and engaging experience. Therefore, the correct answer is option A, B, C and D.

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Complete Question:

AirBnB is always optimizing their homepage to create an exciting and engaging experience for website visitors. Looking below, how is this homepage optimized to entice visitors to book a trip? Select all that apply.

A. It has customer testimonials on the homepage that tell real-world stories of why to use the product.

B. It includes the destination and date search form that most visitors come looking for up front, guiding visitors to the logical next step.

C. It’s easy to consume. The impactful image almost acts like a story.

D. The primary call-to-action (“Search”) contrasts with the background and stands out; but the secondary call-to-action for hosts is visible above the fold, too.

linke motors has a beta of 1.30, the t-bill rate is 3.00%, and the t-bond rate is 6.5%. the annual return on the stock market during the past 3 years was 15.00%, but investors expect the annual future stock market return to be 13.50%. based on the sml, what is the firm's required return? do not round your intermediate calculations.

Answers

Linke Motors' required return is 16.65% based on the CAPM and SML, given a beta of 1.30 and market return of 13.50%.

The required return of a stock is the minimum rate of return that an investor expects to receive from the stock to compensate for the risks associated with the investment.

One way to estimate the required return is to use the Capital Asset Pricing Model (CAPM) and the Security Market Line (SML).

The CAPM states that the required return of a stock is equal to the risk-free rate plus the product of the stock's beta and the equity risk premium (ERP), which is the excess return of the stock market over the risk-free rate. Mathematically, the CAPM equation can be written as:

Required Return = Risk-free rate + Beta x (Market Return - Risk-free rate)

where Beta is the systematic risk of the stock, which measures how much the stock's returns vary with the returns of the overall market.

A beta of 1 means that the stock's returns move in line with the market, while a beta greater than 1 means that the stock is more volatile than the market, and a beta less than 1 means that the stock is less volatile than the market.

Using the given data, we can calculate the required return of Linke Motors as follows:

Risk-free rate = 3.00%

Market Return = 13.50%

ERP = Market Return - Risk-free rate = 13.50% - 3.00% = 10.50%

Beta = 1.30

Required Return = 3.00% + 1.30 x (10.50%) = 16.65%

Therefore, the required return of Linke Motors is 16.65%.

This means that investors expect to receive a return of at least 16.65% per year from the stock to compensate for its systematic risk, which is higher than the risk-free rate.

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what do a dry cleaning service, an automated carwash, and a taxi service have in common?

Answers

A dry cleaning service, an automated car wash, and a taxi service all provide services that are based on convenience and saving time for the customers.

To begin, a dry cleaning service is intended to save consumers time and effort in washing and maintaining their clothes.

Rather than washing, drying, and ironing their own clothes, consumers can drop off their garments at the dry cleaner and pick them up clean and pressed, saving them time and money.

Similarly, an automatic car wash offers consumers a quick and convenient option to clean their automobiles without having to invest their own time and effort doing so.

Finally, a taxi service offers consumers a quick and easy means to move from one location to another without having to drive themselves.

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1)The yearly cumulative distance traveled according to the current layout presented in PLAN A​ =

2)The yearly total material handling cost of the current layout presented in PLAN A​ =

3)The yearly cumulative distance traveled according to the current layout presented in PLAN B​ =

4)The yearly total material handling cost of the proposed layout presented in PLAN B​ =

5)The yearly cumulative distance traveled according to the current layout presented in PLAN C​ =

6)The yearly total material handling cost of the proposed layout presented in PLAN C​ =

Answers

To compare the yearly cumulative distance traveled and material handling costs of the three different layouts (PLAN A, PLAN B, and PLAN C), you will need to analyze each plan individually.



1) For PLAN A, calculate the yearly cumulative distance traveled by considering the distances between each workstation, the frequency of movements, and the annual production volume.



4) For PLAN B, determine the yearly total material handling cost by first calculating the distance traveled for each material movement, then multiplying by the respective material handling cost (e.g., labor, equipment) and annual production volume.



6) Similarly, for PLAN C, calculate the yearly total material handling cost by considering the proposed layout's distance traveled for each material movement, and then multiplying it by the material handling cost (e.g., labor, equipment) and annual production volume.



By comparing the results of these calculations, you can identify which plan has the lowest total material handling cost and is, therefore, the most efficient option.

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