suppose the velocity of money is 10 transactions per year, the price level for 2015 is $6, and real gdp in 2015 is $4,000,000. what is the money supply in 2015?

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Answer 1

The money supply in 2015 is $2,400,000 with the price level for 2015 is $6, and real GDP in 2015 is $4,000,000.

Using the equation for velocity of money, we can solve for the money supply in 2015:

Velocity of money = Nominal GDP / Money supply

We know that the velocity of money is 10 transactions per year, the price level for 2015 is $6, and real GDP in 2015 is $4,000,000. We can use the equation for nominal GDP to find the nominal GDP in 2015:

Nominal GDP = Price Level x Real GDPNominal GDP = $6 x $4,000,000Nominal GDP = $24,000,000

Now we can plug in the values for velocity of money and nominal GDP into the equation for velocity of money:

10 = $24,000,000 / Money supply

Solving for the money supply gives:

Money supply = $2,400,000

Therefore, the money supply in 2015 is $2,400,000.

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tyler towel company estimates its overhead to be $350,000. it expects to have 100,000 direct labor hours costing $1,500,000 in labor and utilizing 9,500 machine hours. calculate the predetermined overhead rates using

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The predetermined overhead rate for direct labor hours is $3.50 per direct labor hour, and for machine hours, it is $36.84 per machine hour.

To calculate the predetermined overhead rate, we need to divide the estimated overhead cost by the estimated base. In this case, we have two bases - direct labor hours and machine hours.

Predetermined Overhead Rate based on Direct Labor Hours = Estimated Overhead / Estimated Direct Labor Hours

= $350,000 / 100,000 hours

= $3.50 per direct labor hour

Predetermined Overhead Rate based on Machine Hours = Estimated Overhead / Estimated Machine Hours

= $350,000 / 9,500 machine hours

= $36.84 per machine hour

Therefore, Tyler Towel Company's predetermined overhead rates are $3.50 per direct labor hour and $36.84 per machine hour.

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which situations show a nurse leader using structural empowerment to increase employee satisfaction?

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Nurse leaders use structural empowerment to increase employee satisfaction in a number of situations. Structural empowerment is a crucial concept in nursing that focuses on improving work conditions for nurses and their engagement in decision-making.

What is Structural empowerment?

Structural empowerment refers to a leadership style that includes providing staff with the resources and support they require to do their jobs effectively.

Creating a shared governance model: Nurses should be involved in the decision-making process when it comes to patient care, policies and procedures, and staffing levels. This can be achieved through the creation of shared governance models that give nurses a voice in the decision-making process.

Establishing a culture of trust: leaders should foster an environment of trust and respect, where nurses feel valued and heard. This includes providing opportunities for feedback and open communication, as well as encouraging collaboration and teamwork.

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you wish to predict job satisfaction for each of your employees. which of the five facets of personality will probably be of the most interest in this case? group of answer choices agreeableness extraversion conscientiousness

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To predict job satisfaction for your employees, the most important facet of personality to consider is likely Conscientiousness. Conscientiousness is the tendency to be reliable, organized, and task-oriented. High levels of Conscientiousness are associated with higher job satisfaction, making it the most important personality trait to consider when predicting job satisfaction.

Conscientiousness is the most important personality trait to consider when predicting job satisfaction for your employees. High levels of Conscientiousness are associated with higher job satisfaction, meaning those with higher levels of Conscientiousness are more likely to be satisfied in their jobs.

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What is the rate of return when 15 shares of Stock A, purchased for $30/share, are sold for $500? The commission on the sale is $6. Rate of Return = [?] % Give your answer as a percent rounded to the nearest tenth.​

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In the given problem on rate of returns, rounding to the nearest tenth, the rate of return is approximately 1542.1%.

How to Calculate Rate of Returns?

To calculate the rate of return, we need to determine the total cost of the investment (including commission) and the total proceeds from the sale of the shares (minus commission), and then calculate the percentage change between the two.

The total cost of the investment is:

15 shares x $30/share = $450

Commission on sale = $6

Total cost = $450 + $6 = $456

The total proceeds from the sale of the shares are:

15 shares x $500/share = $7,500

Commission on sale = $6

Total proceeds = $7,500 - $6 = $7,494

The profit on the investment is:

Total proceeds - Total cost = $7,494 - $456 = $7,038

The rate of return is then:

Profit / Total cost x 100% = $7,038 / $456 x 100% ≈ 1,542.1%

Rounding to the nearest tenth, the rate of return is approximately 1542.1%.

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sadie received $54,000 of compensation from her employer and she received $485 of interest from a corporate bond. what is the amount of sadie's gross income from these items?

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Sadie's gross income, add the compensation from her employer ($54,000) and the interest from the corporate bond ($485) to get the total gross income of $54,485.00.


Sadie received $54,000 of compensation from her employer and she received $485 of interest from a corporate bond. The amount of Sadie's gross income from these items is $54,485.

Gross income is the amount of income before any deductions are made. Gross income is the money you earn before deductions such as federal income taxes, Social Security, and Medicare taxes are made.

Compensation is the amount paid to an employee for services rendered. Compensation includes salary or wages, bonuses, and any other benefit or remuneration given to an employee.

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a proposed project has an initial cost of $74,200 and cash inflows of $23,900, $34,700, and $40,200 for years 1 through 3, respectively. the required rate of return is 15.2 percent. based on irr, should this project be accepted? why or why not?

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For the financial information of the project provided above, it may be stated that the project should not be accepted, as the IRR for the project will be much lesser than the required return rate, i.e., 15.2 percent.

The required return of a project is necessary to be taken into consideration when there are positive cash flows for it. In the above case, the IRR is lesser than the required rate given in the financial information, thus, if it is lesser, then the firm will not add any value for itself, and it is advisable not to undertake any such project.

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Winnebago Industries recorded an impairment loss of $462,000 on its corporate plane $2,350,000 and had accumulated depreciation of Winnebago Industries Assume that the plane originally cost the company $1,598,000 at the time of the impairment charge. (WGo) of the impaiment charge. a. Why did the company record an impairment loss on the plane? b. Explain how c. What was the plane's fair value at the end of 20152 MBC the company determined the amount of he impairment loss.

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a. The company record an impairment loss on the plane due to higher carrying value of the plane than its fair value. b. Impairment loss is determined by comparing the carrying value to plane's fair value. c. The fair value at the end of 2015 was $ 710,000.

a. Winnebago Industries recorded an impairment loss on the plane because the carrying value of the plane (original cost minus accumulated depreciation) was higher than its fair value. This indicates that the plane has suffered a decline in its value, which needs to be recognized as a loss in the financial statements.

b. To determine the amount of the impairment loss, the company first calculated the carrying value of the plane by subtracting the accumulated depreciation from the original cost ($2,350,000 - $1,598,000). Then, they compared this carrying value to the plane's fair value. The difference between the carrying value and the fair value represents the impairment loss.

c. To find the plane's fair value at the end of 2015, we can use the impairment loss and the carrying value. Since the impairment loss was $462,000, we can add that to the carrying value ($2,350,000 - $1,598,000 + $462,000) to obtain the fair value. The plane's fair value at the end of 2015 was $710,000.

Note: The question is incomplete. The complete question probably is: Winnebago Industries recorded an impairment loss of $462,000 on its corporate plane. Assume that the plane originally cost the company $2,350,000 and had accumulated depreciation of $1,598,000 at the time of the impairment charge. a. Why did the company record an impairment loss on the plane? b. Explain how c. What was the plane's fair value at the end of 20152 MBC the company determined the amount of the impairment loss.

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esmeralda is taking a three month leave from work to travel across europe. the bureau of labor statistics counts esmeralda as

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Esmeralda is taking a three-month leave from work to travel across Europe.

The Bureau of Labor Statistics counts Esmeralda as...Esmeralda, who works full-time, is taking a three-month leave from work to travel across Europe. The Bureau of Labor Statistics considers her an employed individual.

Since she has a job but is taking a temporary leave, she is still regarded as an employed individual, and her job is considered as an active job. She'll be able to return to work when her holiday is over, and her employer has agreed to keep her job open for her.

Esmeralda, who works full-time, is taking a three-month leave from work to travel across Europe. The Bureau of Labor Statistics considers her an employed individual. Since she has a job but is taking a temporary leave, she is still regarded as an employed individual, and her job is considered as an active job.

She'll be able to return to work when her holiday is over, and her employer has agreed to keep her job open for her. The Bureau of Labor Statistics counts Esmeralda as a full-time employee even though she is taking a temporary leave.

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o analyze the direct and indirect costs and determine the actual cost of specific technology implementations, you would use a: total cost of ownership model. cost benefit analysis. capacity plan. break-even point. return on investment model.

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When analyzing the direct and indirect costs and determining the actual cost of specific technology implementations, you would use a Total Cost of Ownership (TCO) model. This model is widely used in the business world as a way to identify and analyze all costs associated with acquiring, implementing, and maintaining technology solutions.

The TCO model is a comprehensive and structured approach that provides a detailed understanding of the costs associated with technology implementation. This approach helps to identify all relevant costs, including direct costs such as hardware, software, and labor, as well as indirect costs such as training, maintenance, and support.

To calculate the TCO, you need to consider all the costs associated with a technology implementation over its entire lifecycle. This includes the cost of acquiring and implementing the technology, training and support, ongoing maintenance, and replacement costs.

In addition to the TCO model, there are other approaches that businesses can use to determine the actual cost of technology implementations. These include the cost-benefit analysis, capacity plan, break-even point, and return on investment (ROI) models.

The cost-benefit analysis involves comparing the benefits of a technology implementation to its costs. This approach is useful when the costs and benefits of a technology implementation are difficult to quantify.

A capacity plan is a forecasting tool that helps organizations to anticipate future technology needs. This approach is useful when planning for future technology investments.

The break-even point is the point at which the benefits of a technology implementation equal its costs. This approach is useful when evaluating the financial viability of a technology implementation.

The ROI model is used to evaluate the financial returns of a technology investment. This approach is useful when evaluating the profitability of a technology implementation.

In conclusion, when analyzing the direct and indirect costs and determining the actual cost of specific technology implementations, businesses can use a Total Cost of Ownership (TCO) model. This approach helps to identify and analyze all costs associated with technology implementation, including direct and indirect costs.

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Rubio, Inc., an accrual basis C corporation, reports the following amounts for the tax year. The applicable income tax rate is 30%. Book income, including the items below, is $87,500. Increase in book allowance for anticipated warranty costs 4,375; Interest income from City of Westerville bonds 8,750; Bribes paid to Federal inspectors 17,500.a. Indicate whether the following items create temporary or permanent differences. Increase in book allowance for anticipated warranty costs, Interest income from City of Westerville bonds, Bribes paid to Federal inspectorsb. Rubio's taxable income is?Permanent and Temporary Differences Between Pretax Accounting and Taxable IncomeThere are many differences between what is called pretax accounting income (income determined under generally accepted accounting principles) and taxable income (income determined following the regulations of the Internal Revenue Service). In general, these differences can be either permanent (which means they once they occur, they occur during that year, and do not impact the future) or they can be timing differences (which means the differences 'turn-around' in the future when certain events occur). We see a few examples of these differences in this Question.

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a. The following items create temporary or permanent differences: Increase in book allowance for anticipated warranty costs: Temporary difference Interest income from City of Westerville bonds: Permanent difference Bribes paid to Federal inspectors: Permanent difference.

b. Rubio's taxable income is $83,250Explanation:Increase in book allowance for anticipated warranty costs - This is a temporary difference because the expense is recognized in the current year for book purposes but is not allowed as a tax deduction until the warranty is actually fulfilled.

The increase in book allowance is added back to book income to arrive at taxable income. Interest income from City of Westerville bonds - This is a permanent difference because the interest income is recognized for both book and tax purposes in the same year.

Bribes paid to Federal inspectors - This is a permanent difference because bribes are not deductible for tax purposes. The amount paid in bribes is added back to book income to arrive at taxable income.

Rubio's taxable income is calculated as follows: Book income = $87,500 Increase in book allowance for anticipated warranty costs = $4,375

Interest income from City of Westerville bonds = $8,750

Bribes paid to Federal inspectors = $17,500

Total adjustments = $30,625

Taxable income = $87,500 - $30,625 = $56,875

Income tax rate = 30%

Rubio's income tax expense = $56,875 × 30% = $17,062.50

Rubio's taxable income is $83,250 ($56,875 + $26,375) after adjustments for temporary and permanent differences.

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it is very easy for evelyn to find inexpensive inputs for her business. evelyn's supply is therefore likely to be: elastic. perfectly elastic. inelastic. unit-elastic.

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It is very easy for Evelyn to find inexpensive inputs for her business. Evelyn's supply is therefore likely to be elastic.

What is elasticity?

Elasticity, in economics, is the measurement of the extent to which demand or supply changes in response to a change in price. If a given change in price results in a significant change in quantity demanded or supplied, the demand or supply is known as elastic.

However, if a given change in price does not result in a significant change in quantity demanded or supplied, the demand or supply is known as inelastic. A product is considered to be perfectly elastic when even a tiny change in price results in an infinite change in the quantity demanded.

When the price rises, customers abandon the item entirely, resulting in a demand elasticity of infinity. An inelastic supply is one that does not respond to a change in price. When supply is unit elastic, a change in the price of the good results in an equivalent change in supply.

In conclusion, as Evelyn can find inexpensive inputs for her business very easily, her supply is therefore likely to be elastic.

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assume your uncle recorded his salary history during a 40-year career and found that it had increased 10-fold. if inflation averaged 4% annually during that period, then over his career, his purchasing power: group of answer choices remained on par with inflation decreased increased about 2% annually increased about 3% annually increased about 1% annually

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The purchasing power of the salary increased at a rate of approximately 1% annually, compared to inflation.



The purchasing power of an individual's salary over a 40-year period increases or decreases in line with the rate of inflation. In this case, the salary increased 10-fold while the rate of inflation was 4% annually.

In other words, while the salary increased 10-fold over the 40-year period, the purchasing power of the salary would have increased at a slower rate, approximately 1% annually. This is because the rate of inflation increased 4% annually during the same period, which means the buying power of the salary increased at a slower rate.

For example, if a person had a salary of $10,000 at the beginning of the 40-year period, the salary would have increased 10-fold to $100,000 by the end of the period. However, because of the 4% annual rate of inflation, the purchasing power of the salary would not have increased by 10-fold. Rather, it would have only increased by approximately 1%, resulting in a purchasing power of around $107,000 at the end of the period.

In summary, assuming an individual's salary increased 10-fold over a 40-year period and inflation averaged 4% annually during the same period, the purchasing power of the salary would have increased at a rate of approximately 1% annually, compared to the rate of inflation.

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in evaluation, a limitation of traditional definitions of needs assessment (according to your textbook) is that they focus only on needs and lack any attention to assets?

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Traditional definitions of needs assessment, as outlined in your textbook, focus only on the needs of a particular person, group, or organization, without taking into account their assets.

This limitation can lead to an incomplete evaluation of the situation, as assets can be just as important in determining the best course of action. For example, if a company is looking to increase its profits, simply identifying its needs and weaknesses may lead to ineffective solutions.

This is because its strengths and resources can be just as influential in finding the most effective way forward. Taking into account the assets of the organization can provide a more balanced approach to the evaluation.

In addition, traditional definitions of needs assessment do not provide insight into how needs can be met with available resources. To maximize the effectiveness of the evaluation, it is important to assess how the organization’s assets can be used to address the identified needs.

In conclusion, traditional definitions of needs assessment are limited in that they focus solely on needs and lack any attention to assets. It is important to also consider the assets of the organization in order to obtain a more accurate evaluation.

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a brand decides to use email marketing as part of their digital marketing strategy. what will email marketing help this business do? select all that apply. 1 point drive sales create community analyze performance share information

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Email marketing can help this business A: drive sales, C: analyze performance, and D: share information.

Drive sales: Email marketing can be used to promote products or services, highlight special deals or promotions, and encourage customers to make a purchase.Share information: Email marketing can be used to keep customers informed about the brand's latest news, events, and product updates.Analyze performance: Email marketing campaigns can be tracked and analyzed to measure their effectiveness, such as open rates, click-through rates, and conversion rates.

Therefore, the correct options are: Drive sales, Share information and Analyze performance.

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operating income is gross profit a.less cost of goods sold. b.plus cost of goods sold. c.less operating expenses. d.less inventory.

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Operating income is gross profit less operating expenses. The answer is OPTION C.

A company's gross profit is its revenue less its direct manufacturing costs or cost of goods sold. The difference between gross profit and operating costs is the operating profit. Net profit is the total amount that remains after all expenses, such as taxes and interest, have been deducted from the firm.

Operating profit, also known as operating income, is the amount left over after operating costs are deducted from gross profit. Revenue less COGS, which represents a company's profit from manufacturing or core operations, is referred to as gross profit. Operating revenue is much easier to determine for merchants and small enterprises. Simply put, it is gross sales less refunds. The answer is OPTION C.

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a company's interest expense is $10,000. its income before interest expense and income taxes is $45,000. its net income is $14,400. the company's times interest earned ratio equals:

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The company's times interest earned ratio is 4.5.

The ability of a business to make debt payments on time is gauged by the interest coverage ratio or times interest collected. EBIT or EBITDA divided by the total interest expense might be used to determine it.

The times interest earned ratio is calculated by dividing the income before interest expense and income taxes by the interest expense.

Times interest earned ratio = Income before interest expense and income taxes / Interest expense

Substituting the given values:

Times interest earned ratio = $45,000 / $10,000

Times interest earned ratio = 4.5

As a result, the company's ratio of times interest earned is 4.5.

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frankini opened a coffee shop business in the small country of timpopo. business has been increasing, but he is continually squeezed by corrupt policemen wanting bribes for protection and greedy politicians continually making new rules to extract more money from his business. what would make business in timpopo better?

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To make business in Timpopo better, Frankini should seek legal assistance to help him with corrupt policemen wanting bribes for protection and greedy politicians continually making new rules to extract more money from his business.

Frankini should seek legal assistance to help him with corrupt policemen wanting bribes for protection and greedy politicians continually making new rules to extract more money from his business. Besides, he could also take other actions that include;

Developing good relations with the authorities and influential members of the society, and providing them with incentives.

Establishing a more extensive customer base through social media platforms and other forms of advertising.

Creating a more comprehensive business plan that incorporates economic, political, and social trends in the country.

Restructuring the organization to improve efficiency and productivity.

Providing high-quality products and services that meet customer needs and exceed their expectations.

Increasing transparency in business operations and financial reporting.

Focusing on innovation and creativity to gain a competitive advantage in the market.

Therefore,  By following these steps, Frankini can help make business in Timpopo better by addressing issues related to corrupt policemen and greedy politicians.

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in which of the following situations should an advertiser consider using automated bidding? to optimize bids on both sponsored product and sponsored brand campaigns, toward sales efficiency to optimize bids on sponsored product campaigns, toward brand awareness to optimize bids on sponsored brand campaigns, toward brand awareness to optimize bids on sponsored brand campaigns, toward sales efficiency

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An advertiser should consider using automated bidding in the following situations: To optimize bids on both sponsored product and sponsored brand campaigns, toward sales efficiency, to optimize bids on sponsored product campaigns, and toward brand awareness and to optimize bids on sponsored brand campaigns,

Automated bidding is the practice of using software to automate the process of setting bids on advertisements that will be displayed on search engine results pages (SERPs). Automated bidding offers several benefits, including the following:

1. It saves time by allowing advertisers to set up and manage campaigns more efficiently.

2. It increases efficiency by automatically optimizing bids based on data and trends.

3. It reduces costs by ensuring that advertisers are only paying for the most effective ads.

4. It improves performance by allowing advertisers to set specific goals and then automatically adjusting bids to meet those goals.

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a manager taking a human resource approach to team management should stress: a. leadership authority. b. reutilization of tasks. c. employee involvement. d. a focus on task-objectives.

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A human resource approach involves developing relationships between employees and their managers, encouraging open communication, giving employees more control over their work, and creating an environment where everyone has a sense of ownership in their work. Therefore the correct option is C.

The other three options - leadership authority, reutilization of tasks, and a focus on task-objectives - are all components of a successful team management system, but they should not be the primary focus when taking a human resource approach.

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average continuously compounded) growth rate of gdp taiwan use our growth accounting methodology to allocate growth in output per worker to tfp, capital per worker, and human capital. what factors are most important to explain the growth of output per worker in taiwan?

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The factors that are most important to explain the growth of output per worker in Taiwan include TFP, capital per worker, and human capital.

This is based on the growth accounting methodology used to allocate growth in output per worker. Here is a brief explanation of each factor:

Total Factor Productivity (TFP): TFP refers to the measure of how efficiently inputs (labor and capital) are transformed into outputs. In other words, it measures the productivity of an economy given the amount of inputs used. A higher TFP indicates that an economy is producing more with the same number of inputs or producing the same with less input. Therefore, a high TFP can lead to a higher growth rate of output per worker.

Capital per worker: Capital per worker refers to the amount of capital available for each worker in an economy. This includes things like machinery, equipment, and infrastructure. A higher capital per worker can lead to increased productivity and output per worker since workers have access to better tools and resources.

Human capital: Human capital refers to the knowledge, skills, and experience of workers in an economy. A highly educated and skilled workforce can lead to increased productivity and output per worker. Therefore, investments in education and training can lead to a higher growth rate of output per worker.

In conclusion, TFP, capital per worker, and human capital are all important factors that can explain the growth of output per worker in Taiwan. By focusing on these factors, policymakers can work to improve the productivity and competitiveness of the economy.

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controls designed to find errors or fraud that have occurred are referred to as blank controls. multiple choice question. preventive proactive detective reactive

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Controls designed to find errors or fraud that have occurred are referred to as c) detective controls.

Detective controls are designed to identify errors, irregularities, or fraudulent activities that have already occurred. They are reactive in nature because they are implemented after the fact, once the problem has already occurred.

Detective controls are an important part of an overall control framework, as they help to identify problems and allow for corrective action to be taken. However, relying solely on detective controls can be problematic, as they do not prevent problems from occurring in the first place.

In contrast, preventive controls are designed to stop problems from occurring by addressing the root causes of potential issues. Proactive controls are a type of preventive control that anticipates potential issues before they occur and takes action to prevent them.

Overall, a strong control framework should include a mix of preventive, proactive, and detective controls to ensure that risks are effectively managed.

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which social media metric is probably the most useful for determining whether a company is increasing its brand awareness on social media? multiple choice total followers on social media platforms total number of likes for social media posts total mentions of the company on social media total sales of products advertised on social media

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The total number of times a firm has been mentioned on social media is perhaps the most helpful social media statistic for assessing if it is raising its brand recognition there.

What is the brand awareness social media metric?

Use metrics like impressions, reach, mentions, and follower growth to track how many people are seeing your material if you want to raise exposure. Measure metrics like shares, comments, and clicks to see how many people are engaging with your posts if you want to increase engagement.

What social media marketing measure is the most crucial?

The most prevalent and frequently significant metrics to consider are response rate, share of voice, referrals and conversions, impressions and reach, and engagement and time. These combined will give you a 360º view of your social media performance.

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a computer hardware company is interested in decreasing its sales force turnover as it seems to be higher than the industry average. management looks at the incentives for the sales force and realizes that it takes, on average, sixty days to close a sale. currently there is no base salary for the sales force and they are paid only commission on their total sales. management decides on a blended approach and makes changes to balance salary and commissions carefully to achieve optimum sales volume, profitability, and customer satisfaction. over the next two quarters, there is no turnover and morale among the sales team is higher. this change in incentives is an application of:

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In a case whereby a computer hardware company is interested in decreasing its sales force turnover as it seems to be higher than the industry average this change in incentives is an application of reinforcement theory.

What is reinforcement theory?

Reinforcement theory is a psychological theory that explains how people learn and modify their behavior based on the consequences of their actions. It suggests that behavior is shaped by the consequences that follow it, and that people are more likely to repeat behaviors that are reinforced, or rewarded, and less likely to repeat behaviors that are punished.

The theory is based on the idea that behavior is determined by its consequences, and that positive reinforcement (rewarding desired behavior) and negative reinforcement (removing or avoiding a negative consequence) increase the likelihood of a behavior being repeated, while punishment (administering a negative consequence) decreases the likelihood of a behavior being repeated.

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corporations enjoy first amendment rights in that they have the ability to spend more freely on elections true or false

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The given statement "Corporations enjoy First Amendment rights in that they have the ability to spend more freely on elections" is true. This is because the government may not limit the political parties.

What are the First Amendment rights?

According to the 2010 Supreme Court ruling in Citizens United v. Federal Election Commission, the court held that corporations have the same First Amendment rights as individuals to spend money in support of or opposition to political candidates.

This decision opened the door for corporations to spend unlimited amounts of money on political campaigns. In Citizens United v. Federal Election Commission, the Supreme Court declared that the government may not limit political spending by corporations in candidate elections because doing so would violate the First Amendment.

Corporations and unions have First Amendment rights, the Court explained in Citizens United. They must be permitted to communicate with the public about political matters since speech concerning public affairs is more than self-expression; it is the essence of self-government.

The Constitution protects speech and the freedom of the press, which enables all members of the public, including businesses and unions, to express their viewpoints and participate in the debate on equal footing.

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explain how division works with a dividend and remainder by describing the process in your own words.

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Division is a basic arithmetic operation in which the dividend is divided by the divisor to obtain the quotient and the remainder. In mathematical notation, division is represented by the symbol ÷ or /, and the dividend, divisor, quotient, and remainder are represented by the letters a, b, q, and r, respectively.

The process of division involves dividing the dividend by the divisor, which results in a quotient and a remainder. The quotient is the result of dividing the dividend by the divisor, and the remainder is the amount left over after the division.

To perform the division, the divisor is first placed outside a long division symbol, and the dividend is placed inside the symbol. The dividend is then divided by the divisor, starting with the leftmost digit, and the quotient and remainder are calculated for each step.

The quotient is calculated by dividing the digit of the dividend by the divisor, and the remainder is calculated by subtracting the product of the divisor and the quotient from the digit of the dividend. This process is repeated for each digit of the dividend until all digits have been divided.

The final result of the division is the quotient and the remainder. The quotient represents the number of times the divisor can be divided into the dividend, and the remainder represents the amount left over after the division.

In conclusion, division is a fundamental mathematical operation that involves dividing the dividend by the divisor to obtain the quotient and the remainder. The process of division involves dividing the dividend by the divisor, starting with the leftmost digit, and calculating the quotient and remainder for each step.

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historically, the u.s. trade policy adopted the mercantilism view. group of answer choices true false

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Historically, the U.S. trade policy adopted the mercantilism view. This statement is True.

What is the mercantilism view?

Mercantilism is an economic theory and practice that emerged in Europe in the 16th century and flourished until the 18th century. It holds that a nation's wealth is defined by its stock of gold and silver, and that one nation's gain is another's loss.

In other words, mercantilism is a national economic policy that is concerned with increasing wealth by government regulation of all the nation's commercial interests.

Hence, in the mercantilism view, countries with trade surpluses (exporting more than they import) increase their gold and silver reserves, and thus their economic power, while countries with trade deficits (importing more than they export) become poorer and weaker.

As per the question, it is correct that historically, the U.S. trade policy adopted the mercantilism view. So, the answer is True.

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what is the purpose of the collective bargaining process? a.to agree on a labor contract b.to secure pay raises for workers c.to acknowledge the union as the collective bargaining unit d.to ensure strikes or other work stoppages are avoided

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The purpose of the collective bargaining process is  A. To agree on a labor contract.

The collective bargaining process is a negotiation between a group of employees, typically represented by a labor union, and their employer, with the goal of reaching a mutually beneficial agreement on various aspects of employment, including wages, benefits, and working conditions. Through this process, both parties have the opportunity to present their demands and negotiate to arrive at a fair and equitable outcome.

The purpose of the collective bargaining process is to ensure that the needs of both parties are met, while avoiding the need for strikes or other forms of work stoppages. By coming to a mutually beneficial agreement, employers can maintain their operations, while workers can enjoy improved working conditions and fair compensation.

The correct answer is: A. To agree on a labor contract.

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suppose that an excise tax is imposed on the sale of tickets in this market. how will the tax burden be shared between buyers and sellers? g

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When an excise tax is imposed on the sale of tickets in a market, the tax burden will be shared between buyers and sellers. The burden of the tax will depend on the tax rate, the price of ticket and the elasticity of demand.

Generally, the buyers will pay more of the tax burden since sellers have the freedom to increase the price of the ticket to make up for the taxes. Here's how they will be affected:

Buyer: The excise tax will increase the price that the buyer has to pay. Because the tax is levied on each ticket sold, the price per ticket will increase, and the buyer will end up paying more. The buyer, therefore, will bear some of the tax burden.Seller: When the tax is imposed, the seller's revenue will decrease. Because the price per ticket has increased, the number of tickets sold will decrease, and the seller will have less revenue. This means that the seller will also bear some of the tax burden. Therefore, the burden of the excise tax will be shared between the buyers and the sellers.

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0 / 1 point k buys a piece of landlocked property from l on the condition that l provide an easement across the property for ingress and egress. the easement isn't recorded. k later sells the property. is the easement still valid for the new owner?

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Yes, because such easements belong to property, not to individuals. So, the easement is still valid for the new owner.

Landlocked in the context of real estate refers to real estate inaccessible from public thoroughfares except for adjacent properties. This type of land is located behind a shopping street and can only be reached by passing through the shopping street. Inland properties are locked. That is, it is surrounded by other properties.

Landlocked parcels are usually the result/outcome of smaller parcels or the division of larger parcels into smaller parcels that are sold individually. Ideally, each small parcel should have access to public right-of-way, but sometimes this is not possible.

Inland properties are generally less valuable than surrounding properties due to inaccessibility. However, that does not mean that inland property is worthless.

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Complete question:

K buys a piece of landlocked property from L on the condition that L provide an easement across the property for ingress and egress. The easement isn't recorded. K later sells the property. Is the easement still valid for the new owner?

the outstanding bonds of harden fitness are priced at $1,014.66 and mature in 5 years. these bonds have a face value of $1,000, a coupon rate of 4.5 percent, and pay interest semiannually. the tax rate is 21 percent. what is the aftertax cost of debt?

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The aftertax cost of debt for these bonds is $769.27. To calculate this, first find the annual interest payments. With a face value of $1,000, a coupon rate of 4.5%, and paying interest semiannually, the interest payments are $45.



Multiply the annual interest payments by the tax rate of 21% to find the taxes on the interest payments, which equals $9.45. Then subtract the taxes from the annual interest payments to get the aftertax cost of debt: $45 - $9.45 = $35.55.
Multiply this aftertax cost of debt by the number of years the bonds mature in (5) to find the total aftertax cost of debt: $35.55 x 5 = $769.27. To calculate the aftertax cost of debt, the following equation is used:Cost of Debt(1 − Tax Rate) = Aftertax Cost of Debt.

To find out the aftertax cost of debt, follow the following steps:Step 1: Calculate the annual interest payment. Annual Interest Payment = Face Value of the Bond × Coupon Rate = $1,000 × 4.5% = $45Step 2: Calculate the semi-annual interest payment. Semi-Annual Interest Payment = $45 ÷ 2 = $22.50Step 3: Determine the Number of Semi-Annual Periods. The bond matures in 5 years, which is the equivalent of 10 semi-annual periods. The formula for calculating the Number of Semi-Annual Periods is as follows:

Number of Semi-Annual Periods = Maturity in Years × 2Step 4: Calculate the Present Value of the Bond. To calculate the present value of the bond, the following formula is used:Present Value of the Bond = (Annual Interest Payment ÷ Semi-Annual Discount Rate) × (1 − 1 ÷ (1 + Semi-Annual Discount Rate)^(Number of Semi-Annual Periods)) + (Face Value of the Bond ÷ (1 + Semi-Annual Discount Rate)^(Number of Semi-Annual Periods)))The discount rate will be half the annual coupon rate since interest is paid semiannually. Therefore, the semi-annual discount rate is 2.25% or 0.0225.Present Value of the Bond = ($22.50 ÷ 0.0225) × (1 − 1 ÷ (1 + 0.0225)^10) + ($1,000 ÷ (1 + 0.0225)^10) = $1,014.66Step 5:

Compute the Cost of DebtBefore proceeding, it's important to understand that the cost of debt is simply the yield-to-maturity (YTM) of the bond. The YTM is the compound annual return that an investor can expect if they purchase the bond and hold it to maturity.To find the yield-to-maturity of the bond, we will use a financial calculator or excel. Here, we will use an excel function called "YIELD.

"YIELD (Settlement, Maturity, Rate, Price, Redemption, Frequency, [Basis])Settlement = Date of PurchaseMaturity = Maturity DateRate = Coupon RatePrice = Present Value of the BondRedemption = Face Value of the BondFrequency = Semi-AnnualNumber of Semi-Annual Periods = 10Basis = 0 (Since the actual/actual day count convention is used)The cost of debt is calculated by subtracting the after-tax cost of debt from one. Aftertax Cost of Debt = Cost of Debt(1 − Tax Rate)Aftertax Cost of Debt = 0.031 × (1 − 0.21)Aftertax Cost of Debt = 0.02449 or 2.449%Answer: The aftertax cost of debt is 2.449%.

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