Monetary policy is the process of adjusting the money supply to increase or decrease economic activity.
The central bank's macroeconomic policy is known as monetary policy.
The government of a country use this demand-side economic strategy to hit macroeconomic targets including inflation, consumption, growth, and liquidity. It entails controlling the interest rate and money supply.
Interest rates in the economy are affected by monetary policy, including interest rates on savings accounts, corporate loans, and mortgages.
Changes in interest rates have an impact on how people invest their money or spend their money, which has an impact on inflation, economic growth, and employment.
The Reserve Bank of India, which is the country's central bank, formulates the monetary policy, which is related to the monetary affairs of the country.
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An exception to the parol evidence rule allows evidence of oral agreement that merely explains the meaning of written terms without changing the terms. evidence of oral agreements made on contracts that qualify for mandatory arbitration. evidence of oral agreements made on contracts that qualify for court-annexed mediation. evidence of oral agreements made at the time of or prior to a written contract that changes the meaning of written terms. evidence of oral agreements that are designed to favor the party that drafts a contract.
Answer:
evidence of oral agreement that merely explains the meaning of written terms without changing the terms.
Explanation:
The parol evidence rule describes that that case related to the parties are introduced into the court that means the evidence in order to change it, explain it at issue time.
So as per the given situation, since the question ask the exception to this rule so the first option is correct as in this it is mentioned that the terms would remain unchanged
Therefore the first option should be considered
An exception to the parol evidence rule allows the evidence of oral agreement that merely explains the meaning of written terms without changing the terms. This is the correct option. The parol evidence rule is a legal principle that governs the use of oral and written evidence in contract disputes.
According to this rule, parties that enter into a written agreement are precluded from using extrinsic evidence, which is evidence outside of the written agreement, to contradict, alter, or add terms to the agreement. The reason for the parol evidence rule is to ensure that the intentions of the parties to a contract are accurately reflected in the written agreement
. There are some exceptions to the parol evidence rule that permit the use of extrinsic evidence in contract disputes. One of these exceptions allows the use of evidence of an oral agreement that merely explains the meaning of written terms without changing the terms. This exception is known as the "explanation exception. "The explanation exception allows the parties to a contract to introduce extrinsic evidence that is used to explain the meaning of terms that are included in a written agreement.
This evidence is not considered to be in violation of the parol evidence rule since it is not intended to contradict, alter, or add terms to the written agreement. The evidence is merely used to help the court interpret the meaning of the terms that are included in the written agreement.
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Sue wants to work as a chemical engineer for either a large corporation or the government. What would you advise her to
do while she is earning her bachelor's degree to gain some real-world experience in the field of chemical engineering while still earning
college credits ?
a) Apply for a cooperative education experience, through her university, at a company or an agency that will provide her real work
experience in her field of study
b) Study hard and wait until she earns her degree to get experience
c) Take a job on campus working in the office typing papers for engineering professors
d) Take a part-time job working nights at a pharmacy
Answer:
A
Explanation: The most common reason tbh.
Answer: A
And just trust
Salary is an example of _____ income. labor, rental, interest, none of the above
Answer:
rental
Explanation:
Business EDG 2021
A salary is an example of labor income. Thus, option A is correct.
What is an income?An income can be defined as the amount which is earned by a person. It can be with respect to any job that he or she has done. It can also be from an investment. It is the amount that is taxable and is being paid to the government
Salary can be defined as the amount an employee or a person who renders a service gets paid. It is for the person who has some expertise in a particular role, and for that, they get a salary.
A salary is an example of labor income. It is because most salaries are based on the services provided. A labor income is also one who renders their service. As a result, salary will be a separate column which will be present.
Therefore, option A is the correct option.
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Claire opened her own Starbucks franchise in her community. She is pleased with how quickly she was able to open her franchise and that she
was able to establish a good customer base from the start because of name recognition. However, since she started this business to be her
own boss, Claire is likely to
A. Invest in his own capital and national and local advertising programs
B. Take sole responsibility for all the decisions in the business
C. Embrace the franchisors restrictions because they lead to a greater chance for success
D. Resent the management training and support the franchiser provides
E. Get frustrated with the restrictions of the franchise
Claire is likely to Embrace the franchisors restrictions because they lead to a greater chance for success option(c) is correct.
Who was Claire?Claire was a person who gradually opened her Starbucks actually in her community she established a good customer base merely of her name in that organization.
As she is her own boss she accordingly embraces the franchisors restrictions which actually lead for more and more success of her.
Therefore Option(c) is correct.
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Real GDP in 2015 is $100b and real GDP in 2016 is $110b. In 2016, nominal GDP grows by 3%. What can you say about inflation rate?
a. Not enough information to say anything
b. Inflation is -7%
c. Inflation is constant
d. Inflation is 13%
e. Inflation is 10%
The correct answer is (b) Inflation is -7%. To determine the inflation rate, we need to calculate the change in the price level from one year to another. We can do this by using the formula: Inflation rate = ((Nominal GDP / Real GDP) - 1) x 100
First, we need to find the nominal GDP in 2016. Since we know that nominal GDP grew by 3%, we can calculate it by adding 3% to the 2015 nominal GDP:
Nominal GDP in 2016 = $100b + 3% x $100b = $103b
Next, we can calculate the inflation rate using the above formula:
Inflation rate = (($103b / $110b) - 1) x 100 = -6.36%
Therefore, the correct answer is (b) Inflation is -7%. The negative sign indicates that there was deflation (a decrease in the general price level) from 2015 to 2016. This means that the increase in the nominal GDP was due to an increase in the quantity of goods and services produced, rather than an increase in prices.
It is worth noting that this result contradicts the intuitive notion that a positive nominal GDP growth rate implies positive inflation. This is because inflation reflects the change in the price level, while nominal GDP reflects both the change in prices and the change in output. In this case, the increase in output was larger than the increase in prices, leading to deflation despite positive nominal GDP growth.
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The most problematic sources are those that: A. Provide the least information about their author and original source of information B. Contain information that is biased C. Contain information only from secondary sources D. Provide one outlook on the information being presented
The most problematic sources are those that provide the least information about their author and original source of information. A material or device that emits radiation, whether ionising or non-ionizing, and that needs to be licensed by the Australian Radiation.
The protection and Nuclear Safety Authority is referred to as a problematic source. Investments, operations, and financing These three streams of business cash flow can significantly impact the development and viability of your organization. The sources of company finance include retained earnings, equity, term loans, debt, letters of credit, debentures, euro issuance, working capital loans, the venture capital investments, etc.
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Answer: I believe the answer is A.
Explanation: I really hope this helps and have a fabulous day!
how do citizens, business, and other interests influence lawmaking and policy, and how has government regulated their actions?
Citizens, businesses, and other interest groups play a crucial role in shaping lawmaking and policy by advocating for their positions and influencing the decision-making process. They often do this by communicating with elected officials, participating in public hearings, and lobbying for or against particular legislation or regulations.
Government regulates their actions through various mechanisms, including laws, regulations, and enforcement agencies.
For example, businesses may be subject to environmental regulations, labor laws, or consumer protection laws, while citizens may be subject to criminal or civil laws.
The balance between regulation and freedom is an ongoing debate in many societies. While regulation is necessary to protect public interests, too much regulation can stifle innovation and economic growth.
Therefore, it is essential to strike a balance between regulation and freedom to ensure that the interests of all parties are appropriately addressed.
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What is the difference between monetary
and fiscal policy?
A Monetary policy is controlled by the
federal government while fiscal policy
is controlled by the Federal Reserve.
B Monetary policy is controlled by the
Federal Reserve while fiscal policy is
controlled by Congress and the
President.
C They are effectively the same thing.
D Fiscal policy was invented to combat
inflation. Monetary policy was
invented to improve GDP.
Answer:
B.
Explanation:
Monetary policy is an action taken by the central bank to bring the money supply under control. Under this policy, the central bank also oversees the macroeconomic goals of the nation. The organization that controls the monetary policy is the Federal Reserve of the United States.
Fiscal policy, on the other hand, is a term used to refer to spendings and taxation. Fiscal policy is undertaken by the executive and legislative branches of the government. The executive and legislative branch of the government includes both the President and the Congress.
Therefore, option B is correct.
define finance education for class 8
if times interest earned falls below around 1.5, a company will likely be at risk of not being able to pay its liabilities.
When the times interest earned falls below approximately 1.5, a company is likely at risk of not being able to pay its liabilities.
The times interest earned ratio is a measure of a company's ability to cover its interest expenses with its operating income. A ratio below 1.5 indicates that the company's earnings are not sufficient to meet its interest obligations. This situation raises concerns about the company's financial health and its ability to fulfill its debt obligations in a timely manner. If a company consistently operates with a times interest earned ratio below 1.5, it suggests a higher risk of defaulting on its liabilities.
Maintaining a times interest earned ratio of at least 1.5 is crucial for a company's financial stability and solvency. Falling below this threshold indicates a heightened risk of being unable to meet interest payments, potentially leading to financial distress or even bankruptcy. Companies should closely monitor their times interest earned ratio and take appropriate measures, such as improving profitability or restructuring debt, to ensure they can fulfill their financial obligations and maintain a healthy financial position.
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Can someone pls solve 2.10 for me ?
Answer:
A, B, F
Explanation:
What are the two factors used to calculate productivity?
A. Goods produced and number of customers
B. Resources invested and goods lost
C. Goods produced and employees hired
D. Goods produced and resources invested
Goods produced and resources invested re the two factors used to calculate productivity.
How productivity is measured?Productivity is measured from different factors in the organization like the profit generate from the sales, number of customer increases, the amount of money invested in the company, the goods that are consumed of sell within span of time and others.
Thus, option D is correct.
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Answer:
Goods produced and resources invested
Explanation:
information on the type of industry is provided for a sample of 50 fortune 500 companies.
This claim is accurate, but its applicability is constrained because it only includes a sample of 50 Fortune 500 companies. This statement's selection of 50 businesses only represents a small part of the complete list of Fortune 500 industry.
An economic sector known as a "industry" produces a particular good or offers a particular service. Industries can include everything from mining and agriculture to banking and technology. They are in charge of generating income and providing jobs, and they are essential to the growth and development of an economy. Investment choices and company strategies can be influenced by having a clear understanding of the various industry kinds, their relative size, and their importance. In order to maintain sustainable development, it is crucial to monitor and control the actions of industries because they can have a big impact on society and the environment. For policymakers and scholars, the distribution of industries within a nation or region can be a useful indicator of the economic climate and trends.
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QUESTION 7 of 10: Which is NOT a use for market research?
a) Identifying what services customers want
Ob) Deciding what merchandise to sell
O c) Determining tax deductions
O d) Forecasting sales
Submit
Answer:
The answer would be b, determining tax deductions
Explanation:
All three of the other points are ways you can find out customers needs and wants, however tax deduction is used to figure out how much tax is owed.
which of the following is true under the periodic review system? group of answer choices a lower level of safety stock is needed to buffer against uncertainty in demand over a longer planning horizon, compared to the eoq system a higher level of safety stock is needed to buffer against uncertainty in demand over a longer planning horizon, compared to the eoq system it is more expensive to administer compared to the continuous review system the only uncertainty is the magnitude of demand during the delivery lead time
Under the Periodic Review System, a higher level of safety stock is typically needed to buffer against uncertainty in demand over a longer planning horizon.
This system is used to manage inventory by monitoring stock levels and triggering a replenishment order only when a certain reorder point is reached. However, as the planning horizon increases, so does the uncertainty of demand, which is why a higher level of safety stock is needed. This system can be more expensive to administer than other inventory management systems due to the cost of monitoring stock levels and the cost of placing replenishment orders.
However, the benefits of having a well-managed inventory can outweigh the costs. The uncertainty in demand during the delivery lead time is one of the main sources of risk in the Periodic Review System.
The complete question is provided in the image below.
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The facts that a proprietorship, as a business, pays no corporate income tax, and that it is easily to raise capital, are two key advantages to that form of business.
a. True
b. False
Answer: False
Explanation:
While Proprietorship do indeed have the tax advantage of not having to pay Corporate income tax, the same cannot be said for the ease at which they can raise capital.
In general, Proprietorships find it hard to raise capital as investors will be worried of investing into a one person run operation. They would rather prefer that their investments were protected by the law and that the company had enough experienced people on board as well which is why they would prefer a Corporation.
Even getting loans as a Proprietorship can be hard because banks will set a high rate for the business to cater for a default risk.
If you use the constant dividend growth model to value a stock, which of the following is certain to cause you to DECREASE your estimate of the current value of the stock? a. Decreasing the required rate of return for the stock. b. Decreasing the estimate of the amount of next year's dividend. c. Increasing the firm's long run earnings growth rate. d. Decreasing the rate of inflation in the economy. e. none of the above
If you use the constant dividend growth model to value a stock b. Decreasing the estimate of the amount of next year's dividend is certain to cause you to decrease your estimate of the current value of stock. hence, the correct option is b.
If you use the constant dividend growth model to value a stock, the following option is certain to cause you to DECREASE your estimate of the current value of the stock:
b. Decreasing the estimate of the amount of next year's dividend.
In the constant dividend growth model, the value of a stock is determined by discounting the expected future dividends. If you decrease the estimate of the amount of next year's dividend, it means you expect a lower dividend payment in the future. As a result, the future cash flows used to calculate the stock's value will be lower, leading to a decrease in the estimated current value of the stock. hence, the correct option is b.
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The average student college loan rate is 4%. You borrowed $18,000 per year for tuition, room, & board. If the interest is computed as simple interest, annually, how much interest will you owe when you graduate. Assume 4 years interest on the freshman year loan, 3 years on the sophomore loan, 2 years on the junior loan, and 1 year on the senior loan.
Answer:a) 7200
Explanation:
In which part of a résumé would you mention details of any prizes or awards that you won in professional competitions?
Answer:
"Scholarships or Competitions" would be the appropriate choice.
Explanation:
As even the title indicates, this would be the segment of your CV or resume wherever you mention the related honors, accomplishments, or prizes you have received for performing above the norm. It requires scholarships, contests, career-related honors, or perhaps even raises to management place throughout the job. Even with your remarkable accomplishments, users shouldn't have to build a special segment.Answer:
Honors and activities
Explanation:
Hope this helps :)
A rectangular property is 300' long x 250' wide. Zoning requires a minimum lot size of 15,000 sq. Ft with minimum road frontage of 60'. How many lots would fit on this property?
A rectangular property is 300' long x 250' wide. Zoning requires a minimum lot size of 15,000 sq. Ft with minimum road frontage of 60'. 5 lots would fit on this property.
How can I determine the size of my lot?
Simply multiplying your lot's length by its breadth will give you the size of your lot in acres. This will provide you with your lot's square footage. To determine the exact number of acres on your land, multiply this figure by 43,560.
How many parcels make up an acre?
New single-family homes typically have lots that are 0.19 acres in size, or 8,276 square feet. This means that one acre can accommodate about five average-sized housing lots.
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The dimensions of a rectangle are 300' long by 250' wide. A minimum lot size of 15,000 square feet and a minimum road frontage of 60 feet are required by zoning. This land might accommodate 5 lots.
How can I figure out how big my lot is?The size of your lot in acres can be calculated by adding the length and width of your lot together. You will receive the square footage of your lot as a result. Divide this amount by 43,560 to get the precise number of acres on your property.
What percentage of a parcel is an acre?Lot sizes for brand-new single-family homes are approximately 0.19 acres, or 8,276 square feet. This indicates that five typical-sized home lots can fit on one acre.
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What role does customer satisfaction play in public relations? Why is it important? Provide two reasons.
Answer:
Trust.
Explanation:
See its important so people can know you as a generally trustable person. Also, when a customer is they more than likely feel the need to come back. So if your selling product it will generate more customers and money.
An electronics store sells specialty headphones for $100. They usually sell 5
pairs per day and purchase 150 pairs from their suppliers per month.
According to the law of supply, which outcome would be most likely if the
store could sell the headphones for $120 without losing customers?
A. The store would purchase 175 pairs per month,
B. The store would sell 3 pairs per day.
C. The store would sell 7 pairs per day,
D. The store would purchase 100 pairs per month.
D. The store would purchase 100 pairs per month
As the electronics store sells specialty headphones for $100. They usually sell 5 pairs per day and purchase 150 pairs from their suppliers per month. According to the law of supply, if the store could sell the headphones for $120 without losing customers then it would have to sell 7 pairs per day.
What is Law of supply?
Law of supply is a fundamental principal of Economic theories. It states that keeping all the other factors at constant, an increase in the the price of the product results in the increased supply of that product.
What is the Formula of Law of Supply?Qs = x + yP
Where:
n Qs = the quantity supplied
n X = quantity
n P = price
n Y = variable
Hence option C is the correct answer.
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Which of the following is one of the primary reasons behind the merger between Adidas and Reebok? A) To gain a stronger foothold in the basketball market B) To expand their product line into outdoor gear C) To increase their presence in the United States D) To improve their sustainability practices
The primary reason behind the merger between Adidas and Reebok was to increase their presence in the United States.
Adidas, a German-based company, had been struggling to gain market share in the US, which is the largest sportswear market in the world. By acquiring Reebok, which already had a strong presence in the US, Adidas was able to expand its customer base and distribution network in the country. While the merger did lead to some expansion of product lines, such as Adidas entering the basketball market, the primary focus was on increasing market share in the US. Sustainability practices were not a major factor in the merger decision.
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when a country such as the united states exports subsidized grains, it hurts a developing country importing the grain by
When a country such as the United States ex-ports subsidized grains, it hurts a developing country import-ing the grain by decreasing pro-duction of the grain in the deve-loping country.
Grain pro-duction in the United States has decr-eased since 1990, partly beca-use the amo-unt of water used for irrigation has dec-reased during the same period.
What is a developing country?A developing country also call-ed a less devel-oped country or emerging market has a low-er gross domestic product (GDP) than deve-loped countries, with a less mature and sophisticated eco-nomy. Micronesia, Sudan, and Cambodia are exam-ples of developing countries that have faced hard-ships on their path to be-coming fully deve-loped countries.
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Systemic risk reflects the risk that a particular event could:A)cause losses at a firm due to inadequate management control.B)spread adverse effects among several firms or among financial markets.C)cause a loss in value due to market conditions.D)have a larger effect on the futures position than on the position being hedged
Systemic risk reflects the risk that a particular event could spread adverse effects among several firms or among financial markets. The correct option is B.
Systemic risk refers to the risk that an event or shock in a specific institution, market, or sector can spread and have adverse effects on other interconnected firms or the entire financial system. It goes beyond the risk associated with individual firms or market conditions and encompasses the potential for contagion and interconnectedness in the financial system. Systemic risk highlights the possibility of a domino effect, where the failure or distress of one entity can have far-reaching consequences, affecting multiple entities and markets. It emphasizes the interdependencies and linkages within the financial system that can amplify and transmit risks.
Systemic risk can arise due to a variety of factors, such as the interconnectedness of financial institutions, excessive leverage, lack of market transparency, and inadequate regulatory oversight, among others. To mitigate systemic risk, regulators often implement measures to increase transparency, reduce leverage, and improve capital requirements for financial institutions.
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what do risk managers need to do to help their company successfully launch a new product ? (is the new product going to be a WINNER or a LOSER)
Answer:
WINNERplease mark brainliest me :)
What can a boosted post help an advertiser achieve?
A boosted post helps an adviser to connect with the audience and gain trust.
Boosted post is a kind of post that is used on social media platforms in order to enhance the page of the platform and to attract audience to the page. Boosted post can help better communication with the audience along with the increase in a greater number of messages, calls and texts. Boosted posts help for better advertisements of the product. For example, A Chocolate brand may use Boosted posts to gain audience as well as consumers. Boosted posts helps an adviser to be discovered among people, to establish a benchmark in the market and to gain more and more customers. It's a kind of marketing strategy used for publicity purpose.
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The primary goal of managerial accounting is to provide information to a.investors b.external auditors c.management d.creditors
The prime objective of managerial accounting is to provide and render information to internal decision-makers which is option (c): "management."
What is the prime objective of managerial accounting?Managerial accounting is a type of accounting that involves the identification, analysis, and interpretation of an entity's data by internal users such as managers in order to achieve the entity's goals and objectives.
Management uses the information provided by managerial accounting to make important business decisions. Budgeting and forecasting are two elements of managerial accounting,
which differs from financial accounting in that it uses historical data and is primarily intended for external users such as creditors and shareholders.
As a result, managerial accounting's major purpose is to offer information to internal decision makers also known as management.
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the purpose of marketing theory is to generalize relationships between concepts in a way that is applicable to a wide variety of business and often other settings. group startstrue or falsetrue, unselectedfalse, unselected
The given statement, "The purpose of marketing theory is to generalize relationships between concepts in a way that is applicable to a wide variety of business and often other settings." is true because a small firm will be able to make more sensible business decisions if you understand certain fundamental marketing concepts.
A business's best assumptions about what to do with the market data and information it creates nevertheless play a role in marketing, even if it is more of a science than its more creative rivals, advertising, public relations, and promotions.
Data gathering and analysis in marketing is done to assist businesses in making sales. This data aids in the development of new goods or the modification of current ones, the setting of prices, the selection of distribution methods, and the development of a company's brand or image. Customer demographics, sales figures, competition information, and industry statistics are just a few of the data sources used by businesses for marketing.
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Within a ________________________ economy, we often see both producers and consumers responding to the incentive of price changes.
Within a ________________________ economy, we often see both producers and consumers responding to the incentive of price changes.
Answer:
market economy