which of the following monetary crises are seen as partial causes for the great depression? which are not?contributed to great depressiondrag appropriate answer(s) hereexcessive supply of loanable funds with little demandpress space to openlack of deposit insurancepress space to opena drastic spike in the m2 money supplypress space to openmoney held outside the banking systempress space to opendid not contribute to great depressiondrag appropriate answer(s) here

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Answer 1

The partial causes for the great depression include: Excessive supply of loan-able funds with little demand; Lack of deposit insurance and Money held outside the banking system. The correct options are A, B and D.

The Great Depression was a severe worldwide economic downturn that lasted for most of the 1930s. During the Great Depression, there was a  significant decline in industrial production, high unemployment rates, a sharp decrease in consumer spending, and a severe contraction in international trade. The crisis was characterized by widespread poverty, homelessness, and social unrest.

Thus, the ideal selection is option:  Excessive supply of loan-able funds with little demand; Lack of deposit insurance and Money held outside the banking system.

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Related Questions

excess cash held by a firm should be: group of answer choices reinvested by the firm in projects offering rates of return higher than the cost of capital reinvested by the firm in the financial markets distributed to bondholders in the form of extra coupon payments reinvested by teh firm in projects offering the highest rate of return, regardless of risk

Answers

Firms should strive to identify and invest in projects offering the highest rate of return, regardless of risk. By doing so, firms can maximize the value of their investments and increase shareholder value.


The excess cash held by a firm should be reinvested by the firm in projects offering the highest rate of return, regardless of risk. This is because the primary objective of a firm is to maximize its value and generate returns for shareholders. Therefore, it is essential for firms to identify and invest in projects that offer the highest returns relative to their risks.

When evaluating potential projects, firms need to consider the cost of capital. The cost of capital is the minimum rate of return required by shareholders or bondholders in order to invest in the firm. This cost of capital represents the expected return investors require to invest in the firm’s projects, and it is necessary to identify projects that offer returns greater than the cost of capital.

In addition to investing in projects offering rates of return higher than the cost of capital, firms should consider reinvesting excess cash in the financial markets. These investments may include purchasing stocks, bonds, or other securities. These investments are not necessarily designed to generate returns for the firm, but instead, may be used as a tool to generate profits from capital gains or to hedge against other risks.

Ultimately, firms should strive to identify and invest in projects offering the highest rate of return, regardless of risk. By doing so, firms can maximize the value of their investments and increase shareholder value.

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a furniture manufacturer with a reputation for making plain, lightweight foldable steel chairs decides to make cushioned chairs with printed upholstery. the new type of chair will be a . group of answer choices repositioned product discontinuous innovation product line extension new and improved product

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When a furniture manufacturer with a reputation for making plain, lightweight foldable steel chairs decides to make cushioned chairs with printed upholstery, the new type of chair will be a product line extension.

A product line extension is when a business adds new products to an existing product line in order to meet a specific customer need or to increase sales. In this case, the furniture manufacturer is extending its product line to include cushioned chairs with printed upholstery, which is a departure from the plain, lightweight foldable steel chairs they are known for.

This is not a discontinuous innovation because it is not a completely new product category or market. Rather, it is an extension of the manufacturer's existing product line. It is also not a repositioned product because the company is not changing the positioning or target market for their existing product line.The new cushioned chairs with printed upholstery are also not just a new and improved version of the existing chairs.

Rather, they are a new type of product altogether that serves a different customer need.To sum up, the furniture manufacturer's decision to make cushioned chairs with printed upholstery is an example of a product line extension.

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in cash from his savings account. what immediate effect does this transaction have on the monetary aggregate measures of

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When someone withdraws cash from their savings account, the immediate effect on the monetary aggregate measures of a country is a decrease in the M2 monetary aggregate measure.

Monetary aggregate measures: Monetary aggregate measures are indicators used to keep track of the money supply in an economy or a country. The three most common monetary aggregate measures are M1, M2, and M3. The amount of currency in circulation, traveler's checks, and checking account deposits are all included in M1. M2 is a broader measure that includes M1 as well as savings account deposits, small-denomination time deposits, and other time deposits. The M3 measure, on the other hand, is the broadest measure of the money supply, including all of the previous measures as well as large-denomination time deposits, institutional money market funds, and other larger liquid assets.

Savings account: A savings account is a bank account that is used to store money that is not needed for daily expenses. Savings accounts are a type of deposit account, which means that they are a bank account that earns interest. Savings accounts, unlike checking accounts, usually have restrictions on how often the account holder can withdraw money. In exchange for these limitations, savings accounts typically provide higher interest rates than checking accounts.

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on january 1, nees manufacturing lends $10,000 to roberson supply using a 9% note due in eight months. calculate the amount of interest revenue nees will record on september 1, the date that the note is due.

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The amount of interest revenue nees will record on september 1, the date that the note is due is $604.

To calculate the amount of interest revenue Nees will record on September 1, we can use the following formula:

Interest Revenue = Principal x Interest Rate x Time (in years)

In this case, the principal is $10,000, the interest rate is 9%, and the time is 8 months (0.67 years).

Therefore, the interest revenue that Nees will record on September 1 is:

Interest Revenue = $10,000 x 0.09 x 0.67

Interest Revenue = $604

Thus, Nees will record $600 of interest revenue on September 1.

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aaron medford has invested $600 in the corporate stock of a manufacturer of offshore oil drilling equipment. if the company goes bankrupt, the most medford could lose would be:

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If Aaron Medford has invested $600 in the corporate stock of a manufacturer of offshore oil drilling equipment, the most he could lose if the company goes bankrupt would be $600.

When a corporation wishes to raise money, it can do so by selling stocks, which are shares of ownership in the company. People who buy stocks are referred to as shareholders, and they own a portion of the company based on the number of shares they hold.

They also have a right to a portion of the company's profits in the form of dividends, which are payments made to shareholders.

The stock market is a market where corporate stocks are purchased and sold. Stock prices fluctuate based on a variety of variables, including the company's performance, news, and other economic factors.

This makes investing in the stock market a high-risk, high-reward opportunity because there is no guarantee that the value of the stock will rise, and there is a chance that it will fall.

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when operating expenses for an organization are reduced to a rate per day and compared with the amount in accounts payable, this computation:

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When operating expenses for an organization are reduced to a rate per day and compared with the amount in accounts payable, this computation is referred to as operating expense ratio.

The operating expense ratio is calculated by dividing the total operating expenses of the organization in a particular period (usually one year) by the total accounts payable in the same period.

This ratio helps to analyze the financial stability and efficiency of an organization as it measures the extent to which the operating expenses can be covered with existing funds.

The higher the operating expense ratio, the better as it implies that the organization has enough accounts payable to cover its operating expenses. On the other hand, a lower ratio may indicate that the organization may need to seek additional funding sources to cover its operating expenses.

Therefore, the operating expense ratio is an important factor to consider when evaluating an organization's financial situation.

By using this calculation, managers can better understand the financial health of their organization and make better decisions to improve their financial performance.

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compare this case to the norplant case in chapter 7. what similarities/differ- ences do you see in the marketing campaigns? in the lawsuits?

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The Norplant case, which is covered in Chapter 7, is similar to the case discussed in the question in that both cases involve contraceptives. Both Norplant and the case discussed in the question involve a pharmaceutical company promoting a product that can be used as a form of birth control.

However, there are several differences between the two cases. The Norplant case was focused around the marketing of the product, while the case discussed in the question involves a lawsuit over the product.


The marketing campaigns for the two cases were very different. For Norplant, the pharmaceutical company had an aggressive advertising campaign to promote the product, while the case discussed in the question does not appear to have any specific advertising campaign associated with it.

Additionally, the Norplant case resulted in multiple lawsuits, while the case discussed in the question does not appear to have any related lawsuits.

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suppose the current equilibrium price of natural gas per mmbtu is $5. if the government decides the price per mmbtu of natural gas cannot rise above $4, there would be:

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The current equilibrium price of natural gas per mmbtu is $5. If the government decides the price per mmbtu of natural gas cannot rise above $4, then there would be an excess demand for natural gas.

Equilibrium is a state of balance between supply and demand. When a commodity is at equilibrium, the quantity supplied equals the quantity demanded at a specific price. An equilibrium price is the price that results in the quantity demanded being equal to the quantity supplied.

The current equilibrium price of natural gas per mmbtu is $5. If the government decides the price per mmbtu of natural gas cannot rise above $4, then there would be an excess demand for natural gas. This is because the quantity of natural gas demanded would exceed the quantity supplied at the price ceiling of $4. Therefore, the government's decision would create a shortage of natural gas.

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suppose the government increases taxes. what will happen to disposable income and consumer spending? a. disposable income

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When the government increases taxes, disposable income and consumer spending will both be c) falls.

The correct option is c) falls.

When the government increases taxes, disposable income will be reduced. This is because individuals have to pay a larger amount in taxes and thus have less money to spend on other goods and services. As a result, consumer spending is likely to decrease.


Disposable income is the money that is available to be spent on goods and services after taxes are taken out. Therefore, when taxes are increased, disposable income is decreased.

Consumer spending is the total amount of money that is spent on goods and services. When disposable income is reduced, consumer spending will also be reduced. This is because people have less money to spend on the goods and services they would normally purchase.

In summary, when the government increases taxes, disposable income and consumer spending will both be reduced.

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Complete question:

Suppose the government increases taxes. What will happen to disposable income and consumer spending?

1. Disposable income

a) does not change.

b) increases.

c) falls.

bonds that are not secured by specific property are called group of answer choices debentures. blanket mortgage bonds. open-end mortgage bonds. chattel mortgage bonds.

Answers

Debentures are bonds that are not secured by specific property or assets and instead rely on the creditworthiness of the issuer. Thus, Option A is correct.

Debentures are a form of unsecured debt, meaning they do not have any collateral backing them up. Instead, investors rely on the issuer's ability to make interest payments and repay the principal amount at maturity. Debentures are typically issued by corporations or governments to raise funds for various purposes such as capital expenditures, mergers and acquisitions, or to refinance existing debt.

They are considered riskier than secured bonds but often offer higher yields to compensate investors for the added risk.

This question should be provided with answer choices, which are:

A) chattel mortgage bonds.B) open end mortgage bonds.C) debentures.D) blanket mortgage bonds.

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(9a) 1. which step in the stp process develops descriptions of the different segments, which helps firms better understand the customer profiles in each segment?

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The step in the STP process that develops descriptions of different segments and helps firms better understand customer profiles in each segment is the second step, which is Select Segmentation Method.

Selecting the right segmentation method is crucial to developing a clear understanding of customer groups, which helps firms create accurate and meaningful descriptions of each segment's characteristics, needs, and behaviors. This step is the foundation of the entire STP process since the selection of segmentation criteria affects all subsequent stages of the process, including targeting and positioning.

Without a clear understanding of customer profiles in each segment, it's challenging for firms to create targeted marketing strategies that resonate with the needs of their customers.

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the natural rate of unemployment (nru) occurs when elimination tool select one answer a the number of job seekers is greater than the number of job vacancies. b the number of job seekers is equal to the number of job vacancies. c the number of job seekers is less than the number of job vacancies. d frictional unemployment is no more than 2%.

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The natural rate of unemployment (NRU) occurs when elimination tool is  frictional unemployment is no more than 2%. (option d).

Frictional unemployment, which refers to the temporary unemployment that occurs as workers search for new jobs or enter the workforce, is a natural part of the labor market and is generally not included in the NRU calculation.

However, it is important to keep frictional unemployment at a reasonable level, typically around 2%, to ensure that workers can move between jobs and that employers can find the workers they need.

In summary, the NRU is the level of unemployment that exists when the labor market is in equilibrium, and there is no cyclical unemployment. It is determined by various factors and is typically measured by the number of job seekers being equal to the number of job vacancies.

So, the correct option is (d).

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bramble equipment leasing company leased equipment to crane healthcare system of january 1 for a four year period. what amount is the lease recorded on crane healthcare system's books on janurary 1 2025

Answers

The lease should be recorded on Sheridan Healthcare System's books at $1,125,695.28 on January 1, 2025.

The lease payments are $350,000 per year for 4 years, so the total lease payments are $1,400,000. Using the formula for present value of an annuity, we can calculate the present value of the lease payments:

PV = PMT x [(1 - (1 / (1 + r)n)) / r]

PV = $350,000 x [(1 - (1 / (1 + 0.08)4)) / 0.08] = $1,125,695.28

The healthcare system refers to the collection of individuals, organizations, and resources involved in providing medical care and promoting public health. This includes hospitals, clinics, pharmacies, medical professionals such as doctors and nurses, and government agencies responsible for regulating the industry and funding public health initiatives.

A well-functioning healthcare system should provide affordable and accessible medical care to all members of society, regardless of their income or social status. It should prioritize preventative care and early detection, as well as treating acute and chronic conditions. The healthcare system should also be equipped to respond to emergencies and public health crises, such as disease outbreaks or natural disasters. The healthcare system plays a crucial role in promoting health education and disease prevention, such as vaccination campaigns, health screenings, and public health education initiatives.

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Complete Question: -

Cheyenne Equipment Leasing Company leased equipment to Sheridan Healthcare System on January 1,2025 , for a four-year period. Equal annual payments under the lease are $350000 and are due on January 1 of each year. The first payment was made on January 1, 2025. The implicit rate of interest contemplated by Cheyenne Equipment Leasing and known to Sheridan Healthcare is 8%. Sheridan's incremental borrowing rate is 11%. The cost of the equipment on Cheyenne Equipment Leasing accounting records was $820000. Assuming that the lease is appropriately recorded as an operating lease, at what amount is the lease recorded on Sheridan Healthcare System's books on January 1, 2025?  

$1251985

$788182  no entry to record an operating lease. $1400000

daniel puts $9,000 into each of two different assets. the first asset pays 20 percent interest and the second pays 10 percent. according to the rule of 70, what is the approximate difference in the value of the two assets after 7 years?

Answers

The difference in the value of the two assets after 7 years is  $18,000. if daniel puts $9,000 into each of the two different assets.

The given data is as follows:

Money Daniel spent = $9,000

First asset pays  = 20 %

Second pays  = 10 %

Time period = 7 years

The rule of 70 defines that it is a fast way to calculate how long it takes for an asset to double in value given a certain period of the time rate of return. The rule says that to calculate the number of years and divide 70 by the annual rate of return.

The first asset = (70/20) = 3.5

After 3.5 years it is Doubled twice = 4 times

The second asset = (70/10) = 7

After 3.5 years it is Doubled once = 2 times

difference = 4 x $9,000 - 2 x $9,000

Difference= $18,000

Therefore we can conclude that the difference in the value of the two assets after 7 years is  $18,000.

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One of your customers is delinquent on his accounts payable balance. You've mutually agreed to a repayment schedule of $500 per month. You will charge 0.9 percent per month interest on the overdue balance.
If the current balance is $14,720, how many months will it take for the account to be paid off?

Answers

It will take approximately 30 months for this customer's accounts payable balance to be paid off. The current balance of $14,720 will be paid in installments of $500 per month with 0.9 percent interest being charged each month.

This interest will be computed each month, and applied to the balance. At the end of each month, the interest portion of the payment will be deducted from the balance, and the remaining amount will be applied to the principal, reducing the balance further.

This will continue until the balance is paid up, in approximately 30 months. This repayment schedule is based on the principle of compound interest, meaning that the interest is calculated not only on the principal amount, but also on the interest accrued from the previous months.

This repayment plan allows the customer to slowly reduce their balance over time and pay off their accounts payable balance.

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kenny and tyler, who do not get along, were assigned to work on a spanish project together. instead of asking for a new partner, kenny decided to approach tyler to mend their relationship. kenny was using

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Kenny and Tyler, who do not get along, were assigned to work on a Spanish project together. Instead of asking for a new partner, Kenny decided to approach Tyler to mend their relationship. Kenny was using a strategy called  collaborative problem-solving.

Collaborative problem-solving is the process of working with others to identify and resolve a problem. It involves the pooling of resources, knowledge, and skills of individuals to find a solution that is satisfactory to all parties involved.

Collaborative problem-solving typically involves a team of people who work together to identify the problem, gather information, analyze the data, and propose potential solutions. It is a highly effective approach to problem-solving as it brings together different perspectives and experiences, which can lead to more creative and innovative solutions.

In this approach, both parties come together and work out their differences in order to complete a common goal. In this case, Kenny and Tyler need to work together to finish their Spanish project.

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earnings per share, price-earnings ratio, dividend yield the following information was taken from the financial statements of zeil inc. for december 31 of the current fiscal year: common stock, $25 par value (no change during the year)$7,000,000 preferred $4 stock, $100 par (no change during the year)4,000,000 the net income was $1,000,000 and the declared dividends on the common stock were $70,000 for the current year. the market price of the common stock is $21.00 per share. for the common stock, determine (a) the earnings per share, (b) the price-earnings ratio, (c) the dividends per share, and (d) the dividend yield. if required, round your answers to two decimal places. a. earnings per share$fill in the blank 1 b. price-earnings ratiofill in the blank 2 c. dividends per share$fill in the blank 3 d. dividend yieldfill in the blank 4 %

Answers

The given problem relates to the calculation of earnings per share, price-earnings ratio, dividends per share, and dividend yield. The calculation for each of these is as follows: Earnings per share=Earnings on common shares/Number of common shares outstanding=($1,000,000 - $70,000) / $7,000,000 = $0.13 per share.

Price-earnings ratio=Market value per share/Earnings per share=$21.00/$0.13 = 161.54.Dividends per share=Dividend on common shares/Number of common shares outstanding=$70,000 / $7,000,000 = $0.01 per share. Dividend yield=Dividends per share/Market price per share= $0.01 / $21.00 = 0.048 or 4.80%.The solution to the given problem is shown below: a. Earnings per share = $0.13b. Price-earnings ratio = 161.54c. Dividends per share = $0.01d. Dividend yield = 4.80%.

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which of the following is not an example of the dark side of social media for public relations professionals? group of answer choices blog usage by discontented shareholders, stock manipulators, and angry customers secure, unedited sites where employees can discuss corporate policies and strategies urban legends about corporate horror stories spread by email rogue websites that confront organizations with negative information

Answers

A case study of social media's negative aspects for public relations experts safe, uncensored forums for staff to discuss company policies and strategies.

Competition with bloggers or influencers, an emphasis on deadlines rather than quality, and most crucially, the introduction of new success metrics are some notable negative effects of social media on public relations. Social media is regarded as essential in PR for managing the everyday operations of business by tearing down the barriers that still exist between a brand and the general public with the aid of various social media platforms. These platforms enable the PR sector to control its interactions with the media, clients, and the general public.

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which of the following argues that leaders assume that people are inclined to embrace change when they are respected as individuals with intrinsic worth, agency, and capability? top-down change deficit-based change emergent approach abundance-based change appreciative mindset

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The leadership approach that argues that leaders assume that people are inclined to embrace change when they are respected as individuals with intrinsic worth, agency, and capability is the appreciative mindset.

What is the leadership?

The appreciative mindset is a leadership approach that emphasizes building on existing strengths and resources rather than focusing on deficits or weaknesses. It assumes that people are capable and motivated to embrace change when they are recognized for their intrinsic worth and potential, rather than being treated as passive recipients of change.

Therefore, Leaders who adopt an appreciative mindset seek to engage and empower individuals and teams by creating a positive and supportive environment that encourages collaboration, creativity, and innovation. This approach is often used in organizational development and change management to foster positive change and build resilience in individuals and teams.

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joan has an adjustable-rate mortgage (arm). it has an initial interest rate of 7% adjusted annually with a 2/5 interest rate cap. if interest rates go up, what is the highest interest rate joan could pay in the second year?

Answers

Joan has an adjustable-rate mortgage (ARM).  the highest interest rate Joan could pay in the second year is 9.8%

A mortgage loan with an interest rate that is periodically altered based on an index that reflects the cost to the lender of borrowing on the credit markets is known as a variable-rate mortgage, adjustable-rate mortgage, or tracker mortgage. The base rate or standard variable rate set by the lender may be used for the loan.

The interest rate cap means that the interest rate cannot increase by more than 2/5 (or 0.4) percentage points in any given adjustment period.

If the initial interest rate is 7%, the highest interest rate Joan could pay in the second year would be:

7% + (0.4 x 7%) = 7% + 2.8% = 9.8%

So, the highest interest rate Joan could pay in the second year is 9.8%.

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a segment that a company wants to appeal to with its products and marketing activities toward are known as a market

Answers

The segment that a company wants to appeal to with its products and marketing activities is known as a target market.

What is a target market?

A target market refers to a specific group of people for which a business creates and delivers products or services. A target market refers to a well-defined set of customers who are interested in purchasing a specific product or service.

For instance, the target market for a luxury automobile brand may include middle-aged professionals with high incomes. The target market is a crucial aspect of any marketing strategy since it informs how businesses communicate with consumers, which mediums are utilized, and which goods or services are offered to those customers.

A company's marketing strategy is influenced by its target market.

Segmentation: Segmentation refers to the process of breaking a broad target market into smaller subgroups based on demographics, needs, priorities, interests, and other relevant criteria. Segmentation is used to recognize consumer needs, differentiate the brand, and increase sales efficiency.

Segmentation is a critical component of the marketing strategy since it allows businesses to target specific customers and tailor their messaging and product offerings to meet their specific needs.

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a company has 15 million authorized shares. it has 3 million treasury shares and has 10 million issued shares. it went public at $50 per share last year. it now trades at $35 per share. what is the current market value of its equity?

Answers

The current market value of the company's equity can be calculated by multiplying the number of outstanding shares (10 million) by the current share price ($35). Therefore, the market value of the company's equity is $350 million.

It is important to note that the authorized shares are the maximum amount of shares the company is allowed to issue, while the treasury shares are the company's own shares that have been previously issued and are then reacquired by the company. The issued shares are the number of shares that have been made available to the public.

The $50 per share that the company went public at last year is known as the initial public offering (IPO) price. The difference between the current share price of $35 and the IPO price of $50 is the loss in value that the company's equity has experienced over the last year.

It is also important to note that market value of the company's equity is not the same as the book value of the company's equity, which is the sum of the company's liabilities and its shareholders' equity. The book value does not take into account the fluctuations in the market and does not reflect the current market prices of the company's equity.

Overall, the current market value of the company's equity is $350 million. This can be calculated by multiplying the number of outstanding shares (10 million) by the current share price ($35).

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Kilroy uses the net method to record sales on account. kilroy sells goods on account for $1,000 with terms 2/10, n/30. the journal entry to record this transaction will include (select all that apply.) multiple select question. debit to sales, $1,000.
credit to sales, $980.
credit to sales, $1,000. credit to accounts receivable, $980. debit to accounts receivable, $1,000.
debit to accounts receivable, $980.

Answers

Answer: The journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000.

Explanation: When Kilroy sells goods on account for $1,000 with terms 2/10, n/30 and uses the net method to record sales on account, the journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. The terms 2/10, n/30 mean that if the customer pays within 10 days of the invoice date they will receive a 2% discount. If they do not pay within 10 days they must pay the full amount within 30 days of the invoice date.

Received message. The journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. When Kilroy sells goods on account for $1,000 with terms 2/10, n/30 and uses the net method to record sales on account, the journal entry to record this transaction will include a debit to accounts receivable, $1,000 and a credit to sales, $1,000. The terms 2/10, n/30 mean that if the customer pays within 10 days of the invoice date they will receive a 2% discount. If they do not pay within 10 days they must pay the full amount within 30 days of the invoice date.

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what are two ways that a purely competitive firm can determine the level of output at which it will realize maximum profit or minimum losses?

Answers

A purely competitive firm can determine the level of output at which it will realize maximum profit or minimum losses in two ways: marginal revenue and marginal cost. Marginal revenue is the increase in total revenue from selling one additional unit of a good or service.

Marginal cost is the increase in total cost from producing one additional unit of a good or service.


The maximum profit or minimum losses is reached when marginal revenue equals marginal cost. To find this point, the firm must analyze its marginal revenue and marginal cost curves and identify where the two curves intersect. This intersection point is the level of output where the firm will make maximum profit or incur the least losses.


The marginal revenue curve is downward sloping due to the law of diminishing marginal returns, while the marginal cost curve is upward sloping as the cost of producing one more unit of a good increases.

Thus, the intersection point of the two curves represents the most efficient point of production for the firm, as any additional output would result in a decline in profits due to lower marginal revenues and/or higher marginal costs.

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Refer to the above diagram, which shows demand and supply conditions in the competitive market for product X. Other things equal, a shift of the supply curve from S0 to S1 might be caused by a(n):
government subsidy per unit of output paid to firms producing X.
increase in the number of firms producing X.
decline in the price of the basic raw material used in producing X.
increase in the wage rates paid to laborers employed in the production of X.

Answers

According to the given graph, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X.

Let's understand how this conclusion was made: The above diagram represents the market for product X. The horizontal axis represents the quantity of product X, while the vertical axis represents the price of product X. The demand curve shows the relationship between the price of the product X and the quantity of X that consumers are willing to buy. It slopes downwards as the price of the product decreases, and the quantity demanded increases. The supply curve shows the relationship between the price of product X and the quantity of X that producers are willing to sell. It slopes upwards as the price of the product increases, and the quantity supplied increases. The point where the supply and demand curve intersects is called equilibrium. It represents the price at which the quantity demanded by the consumer is equal to the quantity supplied by the producer. At equilibrium, there is no shortage or surplus of the product in the market. It is represented by point E in the graph.

Other things being equal, a shift of the supply curve from S0 to S1 might be caused by an increase in the wage rates paid to laborers employed in the production of X. A rise in wage rates will lead to a rise in the cost of production of product X. Hence, firms would need to charge higher prices to cover the higher cost of production. Therefore, the supply curve will shift from S0 to S1.

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When calculating a feeder or service load for existing installations, if the maximum demand data for a 1-year period is not available, the calculated load shall be permitted to be based on the maximum demand (the _____ kilowatts reached and maintained for a 15-minute interval) continuously recorded over a minimum 30-day period using a recording ammeter or power meter connected to the highest loaded phase of the feeder or service, based on the initial loading at the start of the recording.highest average220.87(1) Ex

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If the maximum demand data for a 1-year period is not available, the calculated load shall be permitted to be based on the maximum demand (the highest average is 220.87(1) kilowatts reached and maintained for a 15-minute interval)

What is a feeder in electricity?


In the context of electricity distribution systems, a feeder is a circuit that carries electrical power from a substation to a distribution network or to a group of customers. A feeder is typically a set of electrical conductors (such as overhead wires, underground cables, or busbars) that are designed to deliver power to a specific area or group of customers.

Feeders are an essential component of electrical power distribution systems and are used to manage the flow of electricity from the substation to the loads. The size and capacity of a feeder depend on the amount of electrical power it is intended to deliver and the number of customers it is designed to serve.

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risks can be avoided by countering the threats facing an asset or by eliminating the exposure of an asset. question 1 options: true false

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The statement "risks can be avoided by countering the threats facing an asset or by eliminating the exposure of an asset" is true.

How can risks be avoided?

Risks can be avoided by implementing proper security measures. It can be done by countering the threats that the asset is facing or by eliminating the asset's exposure. The countermeasures employed by organizations aim to prevent or minimize the risks associated with their assets.

Some of the common countermeasures include:

Providing access control to protect against unauthorized accessConducting regular security assessments and audits of the organization and its Assets Use of firewalls, IDSs, and antivirus software to prevent cyber-attacksImplementing physical security measures such as video surveillance, access control, and burglar alarmsRegular training of employees to ensure that they understand the importance of security measuresMaintaining a backup and disaster recovery plan to help mitigate the consequences of a security breach.

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what is naches' return on equity? (write as a number with one decimal place. example: 30.2% would we written as 30.2)

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Hence we can say that the return on equity of Naches is 12.1%.

Return on Equity (ROE) is a metric used by analysts to evaluate a company's profitability based on the equity it has in the company. ROE demonstrates how much profit a firm produces for each dollar of equity invested. It is calculated as Net Income/Shareholders Equity. In the context of the given question, Naches' return on equity is being asked.

In the case of Naches, their ROE is 12.1%, which means that for every dollar of equity invested by shareholders, the company generated 12.1 cents of profit. This is a good metric to assess the company's profitability and how effectively it is using the equity invested in the business.

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entrepreneurs looking for a business that gives them the best opportunity to get rich should consider starting a business in

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Entrepreneurs looking for a business that gives them the best opportunity to get rich should consider starting a business in a high-growth industry.

Starting a business in a high-growth industry gives entrepreneurs the best opportunity to get rich. High-growth industries are ones that experience significant and sustained growth due to innovation or rising demand.

These businesses typically require a significant initial investment of capital but are often able to generate high returns over time.

Examples of high-growth industries include technology, healthcare, and e-commerce. Successful entrepreneurs in these industries often invest in resources and talent, allowing them to capture a larger portion of the market and capitalize on the growth potential of the industry.

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select all the correct answers. what were two effects of the lack of representation of the third estate in the estates-general?

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The lack of representation of the Third Estate in the Estates-General had two major effects. it caused the Third Estate to become increasingly angry and it led to an unequal taxation system

First, it caused the Third Estate to become increasingly angry and frustrated over the lack of power they had in their government. This anger was expressed in the National Assembly and ultimately led to the French Revolution.

Second, it led to an unequal taxation system. The Third Estate was forced to pay more taxes than the other two estates, which led to an increasing sense of unfairness and resentment.

This increased tension between the different estates and ultimately resulted in the collapse of the Ancien Régime.

In summary, the lack of representation of the Third Estate in the Estates-General had two major effects. It caused the Third Estate to become increasingly angry and frustrated, leading to the French Revolution.

It also led to an unequal taxation system which caused resentment and tension between the different estates and resulted in the collapse of the Ancien Régime.

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