variable costs blank .multiple select question.can be related to manufacturing or nonmanufacturing activitieschange per unit as activity changescan only vary based on one measure of activitychange in direct proportion to some unit of measure

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Answer 1

Variable costs can be related to manufacturing or nonmanufacturing activities and can change per unit as activity changes. They can only vary based on one measure of activity and change in direct proportion to some unit of measure.

Variable costs: Can be related to manufacturing or nonmanufacturing activities, Change per unit as activity changes, Can only vary based on one measure of activity, Change in direct proportion to some unit of measure, So the correct options are: Can be related to manufacturing or nonmanufacturing activities, Change per unit as activity change, Can only vary based on one measure of activity, Change in direct proportion to some unit of measure

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payment history, credit usage, inquiries, and types of accounts are factors considered in calculating a credit score. which of the following options is also a factor?

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payment history, credit usage, inquiries, and types of accounts are factors considered in calculating a credit score. Another factor that is also considered in calculating a credit score is:
- Length of credit history



Length of credit history refers to the duration you have had credit accounts open, including the age of your oldest account, the age of your newest account, and the average age of all your accounts. This factor usually makes up about 15% of your credit score calculation.

This refers to the amount of time that a borrower has had credit accounts and how long those accounts have been open. A longer credit history generally indicates more responsible credit usage and can have a positive impact on a credit score.

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Give me a title and lyrics and I will put them into a song

Song has to be about Solby Golbrock or Larry Stylinson. lol..

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The Boy Who Never Studied

Verse 1:

Billy never cared much for studying, homework was always too boring.

He'd rather play games all day,

There were girls to impress, he had no time to stay.

Chorus:

The boy who never studied, how foolish he was.

He thought life was only about fun, if only he knew how much he'd lose.

Verse 2:

He met a girl named Jenny, she had eyes so pretty. Billy wasted all his time with her, Forgeting his books and soon would err.

(repeat chorus)

Verse 3:

When Jenny broke his heart, Billy had fell apart.

No more girls would give him a chance,

His future now left in a trance.

(repeat chorus)

Verse 4: Alone in his room one night, The error of his ways came to light. If only he had studied hard, A promising life was within his grasp, but now the window closed.

(repeat chorus)

Verse 5:

In the end Billy came undone,

All joy and hope now gone.

No dreams left to hold,

For the boy who never studied and grew old.

(repeat chorus)

Such a tragic tale of wasted youth, Lost are dreams, lost is truth. The moral here is clear, Study hard, uncertainties you'll steer clear.

jackson transfers his business accounts receivable to friendly finance company. friendly would be considered the assignee. True or False

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True. In this scenario, Jackson is transferring his business accounts receivable to Friendly Finance Company, which means that Friendly Finance Company is becoming the assignee of those accounts receivable.

An assignee is a person or entity to whom a right or property is transferred by another person or entity, known as the assignor and this process is known as assignment.In this case, Jackson is the assignor and Friendly Finance Company is the assignee. When a company transfers its accounts receivable to a finance company, it is known as factoring. Factoring is a financial transaction where a company sells its accounts receivable to a third party, usually a finance company, in exchange for immediate cash. The finance company then takes over the responsibility of collecting the payments from the customers who owe the money to the company.

By factoring its accounts receivable, a company can improve its cash flow and access immediate funds that can be used for various purposes, such as paying bills, purchasing inventory, or investing in the business. However, factoring also comes with some costs and risks, such as fees charged by the finance company and the possibility of losing some customers who may not like the idea of their debts being sold to a third party.

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You are trying to analyse a company which is one of the most established food and beverage companies in South East Asia region. The company reported a profit before tax of $6.4 million on revenues of $28 million in the most recent year; the tax rate is 17%. Both of the return on capital and cost of equity is 11%. The firm is in stable growth and expects to grow 3% a year in perpetuity. Estimate the Enterprise value/Sales ratio for this firm.

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In this situation where the firm is in stable growth and expects to grow 3% a year in perpetuity, the Enterprise value/Sales ratio for this firm is  2.37.

To calculate the Enterprise value/Sales ratio for the company, we first need to calculate the enterprise value (EV) and the sales (revenues).

Profit before tax = $6.4 million

Tax rate = 17%

Return on capital = Cost of equity = 11%

Revenue = $28 million

Growth rate = 3%

To calculate the EV, we can use the following formula:

EV = Net operating profit after tax (NOPAT) / (Cost of capital - Growth rate)

First, we need to calculate the NOPAT, which is the profit before tax minus the taxes paid:

NOPAT = Profit before tax x (1 - Tax rate)

= $6.4 million x (1 - 0.17)

= $5.312 million

Next, we need to calculate the cost of capital. Since the return on capital and cost of equity are the same, we can use the cost of equity as the cost of capital:

Cost of capital = Cost of equity = 11%

Now, we can calculate the EV:

EV = $5.312 million / (0.11 - 0.03)

= $66.4 million

Next, we need to calculate the Enterprise value/Sales ratio:

Enterprise value/Sales ratio = Enterprise value / Sales

= $66.4 million / $28 million

= 2.3714

Therefore, the Enterprise value/Sales ratio for the company is approximately 2.37.

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____________ bond gives the bondholder the right to cash in the bond before maturity at a specific price after a specific date Select one: a. treasury b. callable c. coupon d. puttable

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A puttable bond is a type of bond that allows the bondholder to redeem the bond before its maturity date at a predetermined price. This feature provides the bondholder with the flexibility to protect their investment from interest rate fluctuations and reduces the risk of holding the bond until its maturity.

A puttable bond gives the bondholder the right to sell the bond back to the issuer before maturity at a specific price after a specific date. This feature provides some flexibility for the bondholder to manage their investment if market conditions change or if they need to access their funds earlier than anticipated. The price at which the bond can be put back to the issuer is predetermined and typically depends on prevailing interest rates at the time of the put option's exercise.The bond that gives the bondholder the right to cash in the bond before maturity at a specific price after a specific date is a puttable bond.

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Medical Supply has applied for a loan. America's Bank has requested a budgeted balance sheet as of April​ 30, and a combined cash budget for April. As InstrumentMedical​ Supply's controller, you have assembled the following​ information:Data Table:a. March 31 equipment​ balance,$52,200​; accumulated​ depreciation,$41,000.b. April capital expenditures of $42,900 budgeted for cash purchase of equipment.c. April depreciation​ expense,$900.d. Cost of goods​ sold, 55​% of sales.e. Other April operating​ expenses, including income​ tax, total $13,000​, 30​% of which will be paid in cash and the remainder accrued at April 30.f. March 31​ owners' equity, $92,800.g. March 31 cash​ balance, $40,000.h. April budgeted​ sales, $91,000​, 70​% of which is for cash. Of the remaining 30​%,half will be collected in April and half in May.i. April cash collections on March​ sales, $29,600.j. April cash payments of March 31 liabilities incurred for March purchases of​ inventory, $17,400.k. March 31 inventory​ balance, $29,400.l. April purchases of​ inventory, $10,100 for cash and $36,700 on credit. Half of the credit purchases will be paid in April and half in May.Requirement 1. Show separate computations for​ cash, inventory, and​ owners' equity balances. Begin by calculating the cash balance.CashBeginning balanceCash inflows:Cash salesCollectionsCash outflows:Payment of March liabilitiesCash purchasesPayments for April (credit) purchasesPurchase of equipmentOperating expensesEnding balance

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To calculate the cash balance for the month of April, we need to consider the beginning cash balance and all the cash inflows and outflows for the month.

Here are the separate computations for cash, inventory, and owners' equity balances:

Cash:

Beginning balance: $40,000

Cash inflows:

Cash sales: $63,700 (70% of $91,000)

Collections: $29,600

Total cash inflows: $93,300

Cash outflows:

Payment of March liabilities: $17,400

Cash purchases: $10,100

Payments for April (credit) purchases: $18,350 ($36,700/2)

Purchase of equipment: $42,900

Operating expenses: $9,100 ($13,000 x 70%)

Total cash outflows: $98,850

Ending balance: $34,450

Inventory:

Beginning balance: $29,400

April purchases of inventory:

Cash purchases: $10,100

Credit purchases: $36,700/2 = $18,350

Total inventory purchases: $28,450

Cost of goods sold: 55% of $91,000 = $50,050

Ending balance: $7,800 ($29,400 + $28,450 - $50,050)

Owners' equity:

Beginning balance: $92,800

Net income: $2,550 (Sales revenue of $91,000 - Cost of goods sold of $50,050 - Operating expenses of $3,900 - Depreciation expense of $900)

Capital expenditures: $42,900

Ending balance: $53,450 ($92,800 + $2,550 - $42,900)

Therefore, the cash balance for April is $34,450.

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Software companies continually work to develop new features of their products that make it easier for users to interact and share their work. As more of these features are embedded in the software, what happens to the individual demand curve for the software products?
There is no change in the individual demand curve.
Demand curve becomes more elastic due to the bandwagon effect
Demand curve becomes less elastic due to the snob effect.
Demand curve shifts, but its degree of elasticity does not change.

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As software companies develop new features that enhance user experience and enable easier interaction and sharing, the individual demand curve for the software products is likely to shift. The demand curve becomes more elastic due to the bandwagon effect, as more people are drawn to the software due to its improved functionality and user-friendliness.

The bandwagon effect refers to the tendency for people to adopt a product or service when they see others using it. As new features are added and the software becomes more appealing, existing users are more likely to recommend the product, and potential users may perceive the software as more valuable. This increases the number of people willing to purchase the software, resulting in a rightward shift of the demand curve. The increased elasticity of the demand curve indicates that consumers are more sensitive to changes in price, and a small reduction in price can lead to a significant increase in the quantity demanded. In this scenario, the software becomes more competitive and attractive to a wider range of users, contributing to a higher adoption rate and more robust market presence for the software company.

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if a researcher were to take ten asian countries where per capita income and automobile ownership by per capita were known, trying to find the overall picture of market size for the market could probably be done by using which of the following methods?

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To determine the overall picture of market size for the automobile market in ten Asian countries, a researcher could use statistical methods such as regression analysis.

Regression analysis can help identify the relationship between two variables, such as per capita income and automobile ownership per capita, and predict the market size based on this relationship. To use regression analysis, the researcher would need to gather data on the per capita income and automobile ownership per capita for each of the ten Asian countries. They could then plot the data on a scatter plot to visualize the relationship between the two variables. If there appears to be a linear relationship between the two variables, the researcher could use linear regression to estimate the equation of the line that best fits the data. The slope of the line would represent the change in automobile ownership per capita for each unit increase in per capita income.

The researcher could use the equation of the line to predict the market size for each country based on its per capita income. For example, if the equation of the line suggests that a $1,000 increase in per capita income is associated with a 0.5 increase in automobile ownership per capita, the researcher could predict the market size for a country with a per capita income of $10,000 to be 5 automobiles per capita. Overall, regression analysis can be a powerful tool for analyzing the relationship between variables and making predictions about market size. However, it is important to keep in mind that correlation does not necessarily imply causation, and other factors beyond per capita income and automobile ownership per capita may also influence the automobile market size in each country.

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Firms in a particular industry all compete by fully rationalizing their value creation added chains. This is an example of Select one: a. market globalization b. multinational competetiveness industry divergence C. d. market divergence Question 50 Not yet answered Points out of 9 P Flag question What is the layer of CSR (corporate social responsibility) in which the firm establishes a code of conduct that it will employ in its internationalization processes in order to assure the greatest level of transparency? Select one: a. Strategic Corporate Social Responsibility (CSR) b. Risk management Corporate Social Responsibility (CSR) c. Task orientation d. Traditional philanthropy

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The competition among firms in a particular industry to fully rationalize their value creation added chains is an example of market convergence. Market convergence refers to the process by which markets become more similar in terms of products, technology.



The layer of CSR in which the firm establishes a code of conduct that it will employ in its internationalization processes in order to assure the greatest level of transparency is strategic Corporate Social Responsibility (CSR).

This involves aligning the firm's social and environmental objectives with its business strategy in order to create shared value for both the company and society.

By establishing a code of conduct that prioritizes transparency in its international operations, the firm can demonstrate its commitment to responsible business practices and build trust with stakeholders.

Risk management Corporate Social Responsibility (CSR) involves identifying and managing risks associated with the firm's social and environmental impacts, while traditional philanthropy involves charitable giving to support community causes.

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England Technologies manufactures capacitors for cellular base stations and other communications applications. The​ company's July 2018 flexible budget shows output levels of 09,000​, 10,500​, and 12,500 units. The static budget was based on expected sales of 10,500 units. The company sold 12,500 units during July. Its flexible budget and actual operating income were as​ follows:

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England Technologies' flexible budget for July 2018 showed various output levels, and the static budget was based on expected sales of 10,500 units


The budget refers to the company's financial plan for a specific period, such as the flexible budget for July 2018, which shows output levels of 9,000, 10,500, and 12,500 units. A flexible budget is designed to change with the level of activity, allowing for adjustments in cost behavior as production levels change.

The income refers to the company's earnings during a specific period, such as the actual operating income generated from selling 12,500 units in July 2018. Operating income is the profit a company makes from its normal business operations, excluding any non-operating income like interest or investments.

However, the company sold 12,500 units during July, resulting in an actual operating income higher than what was initially projected in the static budget.

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What is the removal of government control over industry?

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The removal of government control over industry, or deregulation, can have both positive and negative impacts on the economy and society. It is a complex issue that requires careful consideration and balancing of competing interests.

The removal of government control over industry is known as deregulation. It involves reducing or eliminating government regulations and oversight on industries, such as finance, telecommunications, and transportation. Deregulation is often implemented to promote competition and innovation, lower prices, and increase efficiency in the market.

The idea behind deregulation is that government intervention can create barriers to entry and limit competition, ultimately leading to higher prices and reduced innovation. By removing these barriers, companies can compete more freely, which can result in lower prices, improved quality, and greater consumer choice.

However, deregulation can also have negative consequences. Without government oversight, some industries may engage in unethical or unsafe practices that harm consumers or the environment. Additionally, deregulation can lead to market instability, such as the 2008 financial crisis, which was partially caused by deregulation of the financial industry.

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The following information has been provided by the City of Edward for its most recent December 31 fiscal year-end. The information provided relates to financial information needed to reconcile the net change in governmental fund balances to the change in net position of governmental activities.
Net change in total governmental fund balances $ 322,791 Change in net position of governmental activities 228,084 Capital outlay reported as expenditures 237,762 Long-term debt issuance (notes and leases) 314,083 Depreciation expense 36,955 Accrued expenses that do not require use of current financial resources 4,550 Revenues that do not provide current financial resources 23,119 Prepare reconciliation of the net change in governmental fund balances to the change in net position of governmental activities for the
CITY OF EDWARD
Reconciliation of the Statement of Revenues, Expenditures, and Changes in Fund Balances—Governmental Funds to the Statement of Activities
December 31
Net change in fund balances—governmental funds Amounts reported for the governmental activities in the statement of activities are different because: Governmental funds report capital outlays as expenditures. Some revenues in the statement of activities do not provide current financial resources and are not reported as revenues in the governmental funds. Debt proceeds provide current financial resources to governmental funds, but issuing debt increases long-term liabilities in the statement of net position. This is the amount of proceeds. Some expenses reported in the statement of activities do not use current financial resources and are not reported as expenditures in the governmental funds. Change in net position of governmental activities

Answers

The reconciled change in net position of governmental activities for the City of Edward is $381,543.

Reconciled change

To reconcile the net change in governmental fund balances to the change in net position of governmental activities for the City of Edward, we need to consider the provided information. Let's break it down:

Net change in total governmental fund balances: $322,791Change in net position of governmental activities: $228,084

To reconcile these two figures, we need to account for the following adjustments:

Capital outlay reported as expenditures: $237,762

Governmental funds report capital outlays as expenditures, but they are not considered expenses in the statement of activities. Therefore, we subtract this amount from the net change in total governmental fund balances.

Revenues that do not provide current financial resources: $23,119

Some revenues in the statement of activities do not provide current financial resources and are not reported as revenues in the governmental funds. Thus, we subtract this amount from the net change in total governmental fund balances.

Long-term debt issuance (notes and leases): $314,083

Debt proceeds provide current financial resources to governmental funds. However, issuing debt increases long-term liabilities in the statement of net position.

Accrued expenses that do not require use of current financial resources: $4,550

Some expenses reported in the statement of activities do not use current financial resources and are not reported as expenditures in the governmental funds. Therefore, we add this amount to the net change in total governmental fund balances.

Now, let's calculate the reconciliation:

Net change in governmental fund balances:

$322,791

Capital outlay reported as expenditures: -$237,762Revenues that do not provide current financial resources: -$23,119Long-term debt issuance (notes and leases): $314,083Accrued expenses that do not require use of current financial resources: $4,550

The reconciled change in net position of governmental activities is:

$322,791 - $237,762 - $23,119 + $314,083 + $4,550 = $381,543

Therefore, the reconciled change in net position of governmental activities for the City of Edward is $381,543.

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Veronica is a travel agent for a large website. She helps people book their flights, hotels, and car rentals, as well as any tours they may want to take on their vacation. What skill might be useful to Veronica in her career?

Question 3 options:

Veronica is artistic and enjoys painting.


Veronica is an excellent photographer.


Veronica studied graphic design in college.


Veronica is great with computers.

Answers

Answer:

Veronica is great with computers

Explanation:

ted paulson needed money to pay for unexpected medical bills. to obtain $12,500, he decided to sell some of his shares in the ridgemoor capital appreciation fund. when he called the investment company, he was told that the following fees would be charged to sell his b shares:

Answers

Ted Paulson needs to obtain $12,000 by: selling some of his B shares in the Ridgemoor Capital Appreciation Fund.

He has owned the fund for 21 months and there are different withdrawal fees based on the number of years he has held the shares.

Step 1: Determine the withdrawal fee percentage


Since Ted has held the shares for 21 months (which is less than 2 years or 24 months), he falls under the second year withdrawal fee category. In this case, the withdrawal fee is 4 percent.

Step 2: Calculate the contingent deferred sales load


To find the contingent deferred sales load, we'll multiply the amount Ted is withdrawing ($12,000) by the withdrawal fee percentage (4 percent).
Contingent deferred sales load = $12,000 * (4/100)

Step 3: Compute the result
Contingent deferred sales load = $12,000 * 0.04 = $480

So, the amount of the contingent deferred sales load for Ted's withdrawal of $12,000 to pay for his medical bills is $480.

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Complete question:

Ted Paulson needed money to pay for unexpected medical bills. To obtain $12,000, he decided to sell some of his shares in the Ridgemoor Capital Appreciation Fund. When he called the investment company, he was told that the following fees would be charged to sell his B shares:

Ridgemoor Capital Appreciation Fund Fees

First year 5 percent withdrawal fee

Second year 4 percent withdrawal fee

Third year 3 percent withdrawal fee

Fourth year 2 percent withdrawal fee

Fifth year 1 percent withdrawal fee

If he has owned the fund for 21 months and withdraws $12,000 to pay medical bills, what is the amount of the contingent deferred sales load?

Morning Star has developed an entire line of non-meat breakfast foods and markets them as a substitute for breakfast meats. This is an example of product positioning by:
A) product user
B) product class
C) use or application
D) cultural symbol

Answers

Morning Star developing an entire line of non-meat breakfast foods and marketing them as a substitute for breakfast meats is an example of product positioning by product class.

Product positioning refers to how a company or brand positions its products in the minds of consumers relative to other products or competitors. Product class positioning involves positioning a product as a member of a particular product category or class. In this case, Morning Star is positioning its non-meat breakfast foods as a substitute for breakfast meats, which positions them in the same product class as breakfast meats.

This type of positioning can be effective for reaching consumers who are looking for a substitute for meat-based breakfast foods, whether for health, ethical, or environmental reasons. By positioning their products in the same product class as breakfast meats, Morning Star is able to tap into the existing market for these types of products and offer a plant-based alternative.

Overall, product positioning by product class can be a powerful tool for companies looking to differentiate their products and carve out a unique niche in the market.

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Brand ________ is the added value endowed to products and services.
A) loyalty
B) equity
C) preference
D) identity
E) licensing

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Brand- B. equity is the added value endowed to products and services.

Brand value is the worth of, not entirely settled by the shopper's view of its quality and attractiveness. It is based on things like customer satisfaction, brand recognition, and loyalty.

Equity or brand value models can be used to examine a brand's strength and provide insights into its value. They likewise help with creating advertising systems at various levels.

The David Aaker model and the Kelvin Lane Keller model are the two most well-known equity models.

Consumer experiences and perceptions of the brand determine that value. Positive brand equity indicates that people value a brand.

Hence, option b. is the right choice.

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Identify all components which may make up a salesperson's financial compensation? (Choose every correct answer.)A) SalaryB) Medals of recognitionC) BonusD) Commission

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A salesperson's financial compensation can consist of various components, including salary, bonus, commission, and medals of recognition.

Salary is a fixed amount of money paid to the salesperson for their services, while bonuses are usually one-time payments awarded for achieving specific targets or milestones.

Commission, on the other hand, is a percentage of the sales revenue generated by the salesperson, providing a strong incentive for them to close deals and generate more revenue for the company.

Finally, medals of recognition are typically non-financial rewards that acknowledge the salesperson's achievements and contributions, such as being named "Salesperson of the Month."

All of these components can make up a salesperson's financial compensation, and the mix and weight of each component will depend on the company's compensation structure and sales strategy.

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Sadie is a freelance social media specialist. Companies can hire her to improve their social media presence. Why is it particularly important that Sadie, and other freelancers like her, have an emergency fund? * 2 points Freelancers charge a very low hourly rate, so Sadie probably doesn't get paid much Sadie doesn't have guaranteed work every day, so she needs money in case she goes a while between clients Sadie will need a large emergency fund in order to make her monthly insurance payments Sadie's job requires a lot of expensive specialty equipment that will always need replacing

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It is particularly important that Sadie, and other freelancers like her, have an emergency fund as Sadie doesn't have guaranteed work every day, so she needs money in case she goes a while between clients. The right answer is b.

Being a freelancer can make you considerably more susceptible to significant monetary changes, such as an unexpected loss of income. According to experts, you should keep three to six months' worth of spending in an untouchable savings account. An emergency fund might assist you in overcoming everyday challenges like the unexpected loss of a customer or late payments.

The goal of an emergency fund is to have enough money set aside to cover all of your monthly needs for at least six months, including your rent or mortgage, car payments, food bills, debt repayments, and any other monthly expenses that may arise.

The correct answer is option b.

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122. One advantage of role-playing as a training technique is that can create greater empathy and tolerance of individual differences. True False

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It is True that role-playing as a training technique allows individuals to step into the shoes of others and understand their perspectives and experiences.

This helps to develop empathy and tolerance towards individual differences, as individuals are able to see things from different points of view.

Additionally, role-playing provides a safe space for individuals to practie and learn new skills, which can be beneficial in various contexts such as professional or personal relationships.

Overall, the advantage of role-playing lies in its ability to promote understanding and acceptance of others, ultimately leading to better communication and relationships.

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during the financial crisis, the fed introduced three new policy tools connected with bank reserve accounts. which of the following is not one of those three new tools? open market operations overnight reserve repurchase agreement facility interest on reserve balances term deposit facility

Answers

During the financial crisis, the Federal Reserve introduced three new policy tools connected with bank reserve accounts. Among the options provided - open market operations, overnight reserve repurchase agreement facility, interest on reserve balances, and term deposit facility - open market operations is not one of those three new tools.


Open market operations have been a long-standing policy tool used by the Federal Reserve for managing the money supply and implementing monetary policy. It involves buying and selling government securities in the open market to either inject or withdraw money from the economy.


The three new policy tools introduced during the financial crisis were:

1. Overnight Reserve Repurchase Agreement Facility: This tool allows the Fed to engage in repurchase agreements with financial institutions, temporarily exchanging cash for securities with a promise to repurchase them at a later date. This helps manage short-term liquidity and maintain stability in the financial system.

2. Interest on Reserve Balances: By paying interest on the reserves that banks hold at the Federal Reserve, the Fed can incentivize banks to keep more funds on deposit instead of lending them out. This tool helps control the amount of credit available in the market, influencing the broader economy.

3. Term Deposit Facility: This facility allows banks to deposit excess reserves at the Federal Reserve for a fixed term, receiving a predetermined interest rate. This mechanism helps the Fed manage the amount of money in circulation by offering an alternative to traditional lending.

In summary, open market operations is not one of the three new policy tools introduced by the Federal Reserve during the financial crisis, while the overnight reserve repurchase agreement facility, interest on reserve balances, and term deposit facility are the three new tools that were introduced.

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Assume that the money supply in an economy is $250 billion, the price level is 1.25, and the average dollar is spent four times in a year. Based on this data, which of the following must be true? a. The nominal GDP is $78 bilion. b. The real GDP is $80 billion. c. The nominal GDP is $313 billion d. The nominal GOP is $500 billion. e. The real GDP is $800 billion

Answers

e. The real GDP is $800 billion.

Based on the given data, the money supply in the economy is $250 billion, the price level is 1.25, and the average dollar is spent four times in a year. We can use these terms to find the correct answer.

First, we can calculate the Nominal GDP using the formula:
Nominal GDP = Money Supply × Velocity of Money

Here, the velocity of money is the number of times the average dollar is spent in a year, which is given as 4. So, we have:

Nominal GDP = $250 billion × 4
Nominal GDP = $1000 billion

Now, we can calculate the Real GDP using the formula:
Real GDP = Nominal GDP / Price Level

Real GDP = $1000 billion / 1.25
Real GDP = $800 billion

Based on these calculations, the correct answer is:
e. The real GDP is $800 billion.

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D Question 3 1 pts Following the movement of fluid through the nephron, fluid is then directed into the collecting duct then toward the renal papilla. True False Question 4 1 pts True or False: A single collecting duct will collect the filtrate from multiple nephrons. O True O False

Answers

True. After passing through the nephron, fluid is directed into the collecting ducts, which converge and form a single collecting duct. This single collecting duct then carries the urine towards the renal papilla, where it is ultimately emptied into the renal pelvis and exits the body through the ureter.

The second statement, "that a single collecting duct will collect the filtrate from multiple nephrons," is also "True". Thus making the single collecting duct a crucial component of the urinary system. The collecting ducts also play a role in maintaining the body's water balance by regulating the amount of water that is reabsorbed or excreted in the urine. Understanding the function and anatomy of the nephron and collecting ducts is essential in diagnosing and treating various kidney diseases and disorders.

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What are the bad transfers of Manchester United. How they manage
to keep the team salaries and to give money for bad transfers?

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Some of the bad transfers of Manchester United include Ángel Di María, Alexis Sánchez, and Radamel Falcao. These players did not perform up to expectations and were considered expensive failures.

Manchester United manages to keep the team salaries and give money for bad transfers due to their strong financial position, which comes from various sources:

1. Commercial revenue: Sponsorship deals, merchandising, and partnerships with global brands provide a steady income for the club.

2. Broadcasting revenue: The club receives substantial payments from domestic and international television rights.

3. Matchday revenue: Ticket sales, hospitality, and concessions during home matches contribute to the club's finances.

4. Player sales: Manchester United occasionally sells players for significant transfer fees, which can offset the cost of bad transfers.

By balancing these revenue streams and carefully managing their budget, Manchester United can afford to absorb the financial impact of bad transfers while still maintaining competitive team salaries.

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________ is the ability to use logic and assess the implications of an argument.
A) Verbal comprehension
B) Inductive reasoning
C) Deductive reasoning
D) Perceptual speed
E) Spatial visualization

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C) Deductive Reasoning

Ralph puts money in his piggy bank for six years. He saves ip $57.25. When he breaks the bank in order to spend it is still worth the same. This represents _______

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Ralph puts money in his piggy bank for six years. He saves ip $57.25. When he breaks the bank in order to spend it is still worth the same. This represents investment indexed to inflation.

What does piggy bank worth the same after six years means?

When he broke the bank to spend the money, he found that the value of the money had remained the same, so, its means that the purchasing power of the money had not changed over the six-year period.

This means inflation did not erode the value of the money which means It is possible that Ralph had saved the money in a type of account that was indexed to inflation like savings bond or Treasury Inflation-Protected Security (TIPS).

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In recent years, the specification and estimation of demand curves have changed so that
O A marketing experts make frequent use of data, but its use for designing government policies has been diminishing.
OB. the private sector often lacks the means or knowledge necessary for estimating demand relationships
O c. analyses that used to be calculated in mainframe computers can now be carried out in a few seconds on a personal computer
OD. the growth and complexity of markets make those analyses ever more complex and difficult to calculate with accuracy

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In recent years, the specification and estimation of demand curves have evolved significantly, primarily due to advancements in technology and data availability. One major change is that analyses, which used to be calculated in mainframe computers, can now be carried out in a few seconds on a personal computer (C).

This has made it easier for businesses and researchers to quickly analyze and interpret data, leading to more informed decision-making. Additionally, the growth and complexity of markets have made demand analyses increasingly complex and difficult to calculate with accuracy (D). As markets expand and new products and services emerge, understanding the intricate relationships between factors affecting demand becomes more challenging. This complexity requires more sophisticated analytical tools and methods.

Marketing experts now make frequent use of data in their demand estimations (A). This is particularly useful for designing targeted marketing strategies and understanding consumer behavior. However, the use of data for designing government policies may be diminishing, potentially due to other priorities or limited resources. The private sector's ability to estimate demand relationships has also improved (B). While some businesses may still lack the means or knowledge necessary for accurate demand estimation, the increased accessibility of data and technology has made it easier for organizations to develop their capacity in this area. In summary, advancements in technology and data availability have changed the way demand curves are specified and estimated, leading to more accurate analyses and informed decision-making across various sectors.

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Selim believes that his hard work will lead to a better job performance. Selim is independently motivated so he does not need to be closely supervised in order to complete his job. Selim demonstrates an internal locus of control.
True or False

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The given statement "Selim believes that his hard work will lead to a better job performance. Selim is independently motivated so he does not need to be closely supervised in order to complete his job. Selim demonstrates an internal locus of control" is True.

Selim's belief that his hard work will lead to a better job performance indicates that he has an internal locus of control. This means that Selim believes that he has control over his own actions and outcomes, rather than external factors such as luck or the actions of others.

His motivation comes from within, which means that he is likely to take initiative and responsibility for his own performance, rather than waiting for instructions or guidance from his superiors. This self-directed approach is indicative of an independent, self-motivated mindset, which suggests that Selim is capable of working autonomously and making decisions that align with his personal goals.

Furthermore, Selim's ability to complete his job without close supervision indicates that he is reliable and capable of managing his own workload. This level of self-management requires a high degree of self-discipline and motivation, which are key traits of individuals with an internal locus of control. In contrast, individuals with an external locus of control may require more direction and guidance from others, and may struggle to take ownership of their work or decision-making processes.

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Shaw is a lumber company that also manufactures custom cabinetry. It is made up of two divisions: Lumber and Cabinetry. The Lumber Division is responsible for harvesting and preparing lumber for use; the Cabinetry Division produces custom-ordered cabinetry. The lumber produced by the Lumber Division has a variable cost of $3.40 per linear foot and full cost of $4.40. Comparable quality wood sells on the open market for $10.20 per linear foot.
Required:
1. Assume you are the manager of the Cabinetry Division. Determine the maximum amount you would pay for lumber.
2. Assume you are the manager of the Lumber Division. Determine the minimum amount you would charge for the lumber if you have excess capacity. Repeat assuming you have no excess capacity.
Minimum Price with Excess Capacity:
Minimum Price without Excess Capacity:
3. Assume you are the president of Shaw. Determine a mutually beneficial transfer price assuming there is excess capacity. (Round your answer to 2 decimal places.)

Answers

1. As the manager of the Cabinetry Division, the maximum amount you would pay for lumber would be the market price for comparable quality wood, which is $10.20 per linear foot. This is because if the internal lumber price is higher than the market price, it would be more cost-effective to purchase lumber from the open market.

2. As the manager of the Lumber Division:
- With excess capacity, the minimum amount you would charge for lumber is the variable cost, which is $3.40 per linear foot. This is because covering the variable cost still contributes to covering the fixed costs and brings in some profit.
- Without excess capacity, the minimum amount you would charge for lumber is the full cost, which is $4.40 per linear foot. This ensures that all costs, including fixed costs, are covered.

Minimum Price with Excess Capacity: $3.40 per linear foot
Minimum Price without Excess Capacity: $4.40 per linear foot

3. As the president of Shaw, a mutually beneficial transfer price with excess capacity would be between the Lumber Division's minimum price with excess capacity ($3.40 per linear foot) and the Cabinetry Division's maximum price ($10.20 per linear foot). To determine a specific transfer price, you could take the average of the two, which would be:

($3.40 + $10.20) / 2 = $6.80 per linear foot

Your answer: A mutually beneficial transfer price with excess capacity is $6.80 per linear foot (rounded to 2 decimal places).

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24. Sue sold a piece of business equipment for $26,000 in 2019. The equipment was purchased on February 4, 2017 for $35.000 She claimed the following depreciation deductions Year Depreciation 2017 $7.000 2018 $7,000 Compute the amount of the IRC S 1245 gain, if any, on the sale of the equipment O a $5,000 b. $7,000 0 $9,000 d. $14,000 24

Answers

The amount of the IRC Section 1245 gain on the sale of the equipment is $5,000

To compute the amount of the IRC Section 1245 gain on the sale of the equipment, follow these steps:

1. Calculate the total depreciation deductions claimed:
2017 Depreciation = $7,000
2018 Depreciation = $7,000
Total Depreciation = $7,000 + $7,000 = $14,000

2. Determine the adjusted basis of the equipment:
Purchase Price = $35,000
Adjusted Basis = Purchase Price - Total Depreciation = $35,000 - $14,000 = $21,000

3. Calculate the gain on the sale of the equipment:
Sale Price = $26,000
Gain = Sale Price - Adjusted Basis = $26,000 - $21,000 = $5,000

Based on these calculations, the amount of the IRC Section 1245 gain on the sale of the equipment is $5,000 (option a).

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which of the following markets were hit hard by the flight to quality in 2008?
a. municipal bond and commercial paper
b. t-bill and commercial paper
c. aaa rated corporate bond and municipal bond
d. t bill and municipal bond

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The markets that were hit hard by the flight to quality in 2008 were the municipal bond and Commercial Paper markets (option a).  during the 2008 financial crisis, investors sought safer investments due to the high levels of uncertainty and risk in the market.

These markets experienced a significant decrease in demand as investors sought safer investments such as Treasury bills and AAA-rated corporate bonds. While the municipal bond market was also impacted by the flight to quality, it was not as severely affected as the commercial paper market. T-bills and municipal bonds, experienced increased demand during the flight to quality and were considered safer investments.

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