In target pricing, manufacturers deliberately adjust the composition of a product to achieve the estimated price that consumers are willing to pay for it. This pricing strategy involves determining the selling price of a product based on the costs incurred in manufacturing, marketing, and distribution, as well as the profit margins desired by the manufacturer.
Target pricing involves analyzing the market demand for a product and understanding the consumer's willingness to pay for it. The manufacturer then sets the target price and works backwards to determine the maximum cost that can be incurred to produce the product. This approach helps manufacturers optimize profitability while remaining competitive in the market.
Target pricing also allows manufacturers to offer a line of products at a number of different specific pricing points. This approach is particularly useful for companies that want to appeal to a wide range of consumers with different budgets and preferences. By offering products at different price points, manufacturers can increase their market share and capture a larger share of the consumer base.
Overall, target pricing is an effective strategy for manufacturers who want to optimize their profitability while remaining competitive in the market. By understanding consumer demand and setting prices accordingly, manufacturers can appeal to a wide range of consumers while still achieving their desired profit margins.
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Jessica has brought in $10,000 of her personal funds to expand her business. How will it affect the accounting equation?
A. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↑ (10,000)
B. Assets = Liabilities ↑ (10,000) + Owners’ Equity ↓ (10,000)
C. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↓ (10,000)
D. Assets = Liabilities ↑ (10,000) + Owners’ Equity ↑ (10,000)
E. Assets↑ (10,000) = Liabilities ↑ (10,000) + Owners’ Equity
Answer:
A. Assets ↑ (10,000) = Liabilities + Owners’ Equity ↑ (10,000)
Explanation:
The funds brought in will increase the cash held by the business. Cash is an asset, meaning assets will increase by $10,000.
The $10,000 will be an additional capital contribution from Jessica. The business's capital will go up by $10,000. It means equity will increase by $10,000.
(a) A family consist of a baby, a child attending nursery school and working parents, decide to prepare a budget for 3 months has a limited income and decides to purchase a food processor instead of a television set.
Suggest TWO possible reason for this decision.
Answer:
bhosdi ke kute gal chode
To find the net worth of a company, liabilities are subtracted from assets true or false
Answer:
To find the net worth, subtract the liabilities from the assets
Explanation:
Assets – Liabilities = Net Worth
If the assets are greater than the liabilities, the net worth is a positive number (which is good). But if net worth is a negative number, the business is not doing well.
Do you know your net worth Subtract your liabilities from yours?Net worth is a measure of what you own, minus what you owe; it's calculated by subtracting all of your liabilities from your total assets. Your home is probably your most valuable asset; other key assets include investments, automobiles, collectables, and jewellery.
What are assets and liabilities?
In its simplest form, your balance sheet can be divided into two categories: assets and liabilities. Assets are the items your company owns that can provide future economic benefits. Liabilities are what you owe other parties.
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The previous graph you constructed should show that net exports from Japan would be negative if the price of yen increased to a high enough level,
such as an amount greater than $10 per 1,000 yen. If you convert this price into the form typically quoted in the newspaper, this price corresponds to_____yen per dollar.
Answer:
0.1 yen per dollar? if i got it wrong sorry
Explanation:
Since 10 divided by 1000 would be 0.1 yen wait is it the other way around?
The COVID-19 pandemic has accelerated existing trends in the labour market such as e-commerce, automation, and remote work. It is plausible to think that working from home at least part of the workweek will be a common feature of the labour market in the post-Covid era. Firms that are willing to offer flexibility in the number of hours worked from home may be able to reduce wages while maintaining their work force.
The COVID-19 pandemic has had a significant impact on the labor market and has accelerated existing trends such as e-commerce, automation, and remote work.
It is plausible to think that working from home at least part of the workweek will be a common feature of the labor market in the post-Covid era. The firms that are willing to offer flexibility in the number of hours worked from home may be able to reduce wages while maintaining their work force. As the pandemic forced the world into lockdowns and made remote work a necessity, businesses had to adapt to survive. Working from home became an alternative for people to keep their jobs while staying safe, and it became a trend that businesses had to implement quickly. Additionally, remote work helps employees save money and time as they do not have to spend on transport, among other things.
Remote work has given businesses the flexibility they need to operate successfully and has made it easier to keep their employees safe during these uncertain times. Since working from home can have significant benefits for both businesses and employees, it is plausible that it will be a common feature of the labor market in the post-Covid era. Furthermore, firms that are willing to offer flexibility in the number of hours worked from home may be able to reduce wages while maintaining their workforce. Businesses that provide their employees with this kind of flexibility can save money on overhead costs and still maintain a high level of productivity.
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How much interest you pay depends on_________
Answer:
The Interest Rate and how much you owe.
Explanation:
If you have a rate of 10% a month
and you owe $100, the next month you owe $110
or if you owe $50, then next month you owe $55
Which type of business does not hold owners accountable for the debts of
the business?
OA. Sole proprietorship
OB. LLC
OC. Partnership
A
OD. Private company
Answer:
Limited Liability Company (LLC)
Explanation:
A limited Liability Company (LLC) is a business structure in the United States that protects its owners from the personal responsibility for its repayment of debts and liabilities. It is a hybrid entity that has the characteristics of a corporation, partnership and sole proprietorship. The regulation of LLC's varies from one state to another. An entity or individual can be a member of an LLC with notable exceptions from banks and insurance companies. The primary reason for registering a business under LLC is to limit the personal liability of the owners as well as the partners. LLC may have some attractive features but they also possess some great disadvantages as well. Depending upon the state law, an LLC may be dissolved upon the death or bankruptcy of a member.
Refer to table 17-8. If player b chooses right, player A should choose
a.
Up and earn a payoff of 1.
b.
Middle and earn a payoff of 5.
c.
Middle and earn a payoff of 7.
d.
Down and earn a payoff of 4
If player B has a higher probability of choosing right or the probability of receiving a higher payoff for middle is much lower, then the optimal choice for player A may be different.
Option (b) and (c) is correct.
To determine the optimal choice for player A, we need to analyze the game and consider the payoffs associated with each possible combination of choices.
If player B chooses right, player A's options are to choose up, middle, or down. Let's examine each option:
If player A chooses up, they earn a payoff of 1.If player A chooses middle and the payoff is 5, player A earns a higher payoff than if they choose up.If player A chooses middle and the payoff is 7, player A earns an even higher payoff than if they choose middle and the payoff is 5.If player A chooses down, they earn a payoff of 4.Given these payoffs, it is clear that the optimal choice for player A depends on the probability that player B will choose right and which payoff they will receive if they choose middle.
If player B is equally likely to choose each option and the middle payoff is equally likely to be 5 or 7, then the expected payoff for each choice is:
Choosing up: (1/3) * 1 = 1/3
Choosing middle: (1/3) * 5 + (1/3) * 7 = 6/3 = 2
Choosing down: (1/3) * 4 = 4/3
Therefore, the optimal choice for player A in this scenario is to choose middle.
Therefore, the correct answer will be option (b) and (c).
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This qustion is incomplete and completed qustion is:
Refer to table 17-8. If player b chooses right, player A should choose
a. Up and earn a payoff of 1.
b. Middle and earn a payoff of 5.
c. Middle and earn a payoff of 7.
d. Down and earn a payoff of 4
When consumers are evaluating alternatives, they will clarify the information they have gathered in what three ways?.
The three ways in which consumers clarify information when evaluating alternatives are:
by coming up with brand names that might meet their criteria. by suggesting criteria to use for the purchase. by developing consumer value perceptions. What is Consumer Alternative?This refers to the different choices which a consumer has because of the access he has to wide range of similar products.
With this in mind, we can see that when consumers are making evaluations and want to clarify information about the alternatives they can take, they come up with brand names, suggest criteria and then then develop consumer value perceptions.
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mendez company has identified an investment project with the following cash flows. year cash flow 1 $ 780 2 1,050 3 1,310 4 1,425 a. if the discount rate is 8 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. if the discount rate is 17 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c. if the discount rate is 25 percent, what is the present value of these cash flows? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
a. The present value of the cash flows at a discount rate of 8 percent is $3,055.45.
This value is calculated by discounting each cash flow using the formula PV = CF / (1 + r)^n, where PV is the present value, CF is the cash flow, r is the discount rate, and n is the time period. At a discount rate of 17 percent, the present value of the cash flows is $2,408.29. This value is obtained by applying the same discounting formula to each cash flow. With a discount rate of 25 percent, the present value of the cash flows amounts to $2,010.11. Again, the discounting formula is used to calculate the present value of each cash flow. In summary, the present value of cash flows is influenced by the discount rate. A higher discount rate leads to a lower present value, reflecting the higher cost of capital and the increased importance of earlier cash flows in the calculation.
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coffee to
growing more
16)
16]
2 TGH are a public limited company which makes sports shoes (trainers). It makes
a variety of designs for the mass market. The mass market is for young people
who want fashionable sports shoes as well as those who play sport. The Directors
segment of customers who have a medical problem with their feet and need
recently decided to target a niche market which is for a particular market
b) Identify two examples of the different markets for TGH products.
c) Identify and explain two reasons why TGH sell to a niche market.
d) Identify and explain two advantages to TGH of segmenting the market
e) Do you think the Directors of TGH were right to target a niche market
or should they have stayed with just a mass market? Justify your answer.
specially designed shoes,
a) What is meant by a 'niche market'?
for sports shoes.
Revision checklist
In this chapter you have learned:
the role of marketing-identifying and satisfying customer needs as well as
Answer:
Is this reading then answering questions or....
Explanation:
I dont get the question sry but I'll try to help
You work for a power distribution company with a large regional presence. Every year your team spends $300000 per year on inspection of wooden poles in mid-west of Western Australia. Assume your corporate real discount rate is 4%. Perform your calculations in real terms. Assume the conventions for when, in time, investment is made and annual costs are charged that have been used in the GENG5507 pre-work materials and workshop. E.g. capital is invested at time zero. a) What is the net present cost over the next 5 years of continuing to inspect the wooden poles? : [a] (1 mark) Express your answer in millions of $ to 3 dp and do not put a $ symbol in your answer. b) You are reviewing a capital investment proposal to replace wooden poles with metal poles. It is anticipated that these metal poles will only require inspection once every 5 years. So the first inspection is in year 5 of the cost model. : [b] (1 mark) What is the net present cost over the next 5 years of replacing all the wooden poles in the mid-west if the capital cost of replacing the wood with metal is $700000 ? Express your answer in millions of $ to 3dp and do not put a $ symbol in your answer.
The NPV = 1,332,081.81 dollars, which is 0.156 million dollars (rounded to 3 decimal places)
a) The net present cost over the next 5 years of continuing to inspect the wooden poles is 0.156 million dollars. To calculate this, we have to find the present value of the inspection cost in each of the next five years and then sum those present values. The formula for present value is:
PV = (FV) / (1 + r)^n
Where PV is the present value, FV is the future value, r is the discount rate, and n is the number of years. In this case, FV is $300,000 per year, r is 4%, and n ranges from 1 to 5. Using the formula, we get:
PV1 = (300,000) / (1 + 0.04)^1 = 288,461.54
PV2 = (300,000) / (1 + 0.04)^2 = 277,008.14
PV3 = (300,000) / (1 + 0.04)^3 = 265,992.25
PV4 = (300,000) / (1 + 0.04)^4 = 255,400.24
PV5 = (300,000) / (1 + 0.04)^5 = 245,218.64
Summing these present values, we get the net present cost over the next 5 years of continuing to inspect the wooden poles to be:
NPV = PV1 + PV2 + PV3 + PV4 + PV5 = 1,332,081.81 dollars, which is 0.156 million dollars (rounded to 3 decimal places).
b) The net present cost over the next 5 years of replacing all the wooden poles in the mid-west with metal poles, if the capital cost of replacing the wood with metal is $700,000, is 0.120 million dollars.
To calculate the net present cost, we need to find the present value of the capital investment and the present value of the inspection cost. The capital investment is made at time zero, so its present value is simply $700,000. The inspection cost occurs once every five years, so we need to find the present value of four inspection costs using the formula:
PV = (FV) / (1 + r)^n
Where FV is $300,000, r is 4%, and n is 5. Using the formula, we get:
PV1 = (300,000) / (1 + 0.04)^5 = 229,128.22
PV2 = (300,000) / (1 + 0.04)^10 = 175,470.35
PV3 = (300,000) / (1 + 0.04)^15 = 134,171.48
PV4 = (300,000) / (1 + 0.04)^20 = 102,882.71
Summing these present values, we get the net present cost over the next 5 years of replacing all the wooden poles in the mid-west to be:
NPV = 700,000 + PV1 + PV2 + PV3 + PV4 = 1,341,653.78 dollars, which is 0.120 million dollars (rounded to 3 decimal places).
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Abe has been selected to be part of an online discussion forum designed to find out more information about
leasing cars. He was asked more qualifying information for this study than he was asked last year when
participated in an online survey.
True
False
The Statement is TRUE
It is unclear whether Abe was asked more qualifying information for the online discussion forum about leasing cars than he was asked in the previous year's online survey.
It is possible that Abe was asked more qualifying information for the online discussion forum about leasing cars than he was asked in the previous year's online survey.
However, there is not enough information to definitively state whether this is true or false.
Qualifying questions are commonly used in research studies to ensure that participants meet certain criteria or have relevant experiences to the topic being studied.
It is not uncommon for different research methods to have different types and amounts of qualifying questions.
Therefore, it is important to consider the specific details of each study and the research design to determine whether Abe was indeed asked more qualifying information for the online discussion forum about leasing cars than in the previous year's online survey
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Devonte is balancing his checking account. His account statement does not include a deposit of $107.00 that he made on November 1st. What is Devonte’s actual account balance?
Answer:
✓ $1,330.26
Explanation:
Answer:
$1,330.26
Explanation:
5. Paulie Mateja purchased a digital camera for $699.99. The store charged 4.65% sales tax. What was the camera's total pur- chase price? A $703.64 B $732.54 C $753.64 D $767.54
Answer:
B : 732.54
Explanation:
1. 4.65% over 100% times with 699.99 = 32.55
2. plus 32.55 with 699.99
Define the word extractive!
Thanks!
Pleasing or appealing to the senses
What are major securities traded in the capital market?.
Financial products like stocks and debt securities are primarily sold on capital markets.
What Are Capital Markets?Savings and investments are transferred between providers of goods and services and people in need on capital markets. Banks and investors are common examples of suppliers, which are individuals or organizations with capital to lend or invest. Businesses, governments, and people all look for capital in this market. Primary and secondary markets are the components of capital markets. Stock and bond markets are the two types of capital markets that are most frequently used. By bringing suppliers and those looking for capital together and giving them a place to exchange securities, they aim to increase transactional efficiency.
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explain advertisement
Answer: Advertisement is a marketing communication. It is used to promote businesses and their products. Used to promote more effectiveness in a businesses profit and their sales. May be seen in the form of commercials or billboard announcements in everyday life.
On his first day as a police officer, Rudy learned about the importance of rank in the force. Beat officers were the lowest-ranking members, detectives the next level, then sergeants, then lieutenants, and then the captain. When a higher-level police officer issued an order, lower-ranking members of the force jumped. That’s just the way it was, and no one questioned the chain of command. This is an example of the_____________ element of the path–goal theory.a. leadership styleb. environmentalc. outcomesd. employee
The example given illustrates the leadership style element of the path-goal theory.
So, the correct answer is A.
What's the path-goal theory?The path-goal theory focuses on how a leader's behavior affects the motivation and satisfaction of their followers in achieving their goals.
The example highlights the hierarchical structure of the police force, where higher-ranking officers have the power to issue orders that lower-ranking officers must follow without question.
Therefore it's example has correct answer A.
This autocratic leadership style is a clear example of the path-goal theory's directive leadership style, where leaders provide specific guidance and structure to their followers.
This leadership style is effective when the tasks are ambiguous or complex, and followers need clarity and direction. However, it may also lead to reduced motivation and satisfaction among followers if they feel like they lack autonomy or input in the decision-making process.
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Harry assigns his rights under a contract with irma to his college roommate, jake. neither harry nor jake notifies irma of the assignment. the assignment group of answer choices will become effective after thirty days, even if no notice is given to irma. will not be effective until notice is given to irma. is invalid. is effective immediately.
When Harry assigns his rights under a contract with Irma to his college roommate, Jake and neither Harry nor Jake notifies Irma of the assignment, it's invalid.
What is a contract?It should be noted that a contract simply means a promise that's enforceable by law. It should be noted that a contract is legally binding.
Here, when Harry assigns his rights under a contract with Irma to his college roommate, Jake and neither Harry nor Jake notify Irma of the assignment, it's invalid. The other party was not informed.
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An investor purchased 100 shares of Paradigm Publishing Corporation (PPC) on October 17, 2020. The price was $83 per share. On April 11, 2021, the investor wrote one PPC Nov 85 call for 3. At expiration date, the PPC stock is selling for $80 per share, and the investor liquidates the stock at the market price and the option at its intrinsic value. The net tax consequences are A) $300 long-term loss. B) $300 long-term gain. C) no gain, no loss. D) $200 short-term gain.
Based on the information given the net tax consequences are: C) no gain, no loss.
First step is to compute the breakeven point
Breakeven point=Purchase price-premium received
Breakeven point=$83-[($83-$80)]
Breakeven point=$83-$3
Breakeven point=$80
Based on the given details we were told that the PPC stock is selling for $80 per share and based on the above calculation the breakeven point was also $80.
Therefore the tax consequences is no gain or no loss because PPC stock was sold out at the breakeven point.
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Using the PV function, if the interest rate is an annual rate and the payments are quarterly, what should you type after the cell address?
A. /12
B. /6
C. /4
D. /2
If the interest rate is an annual rate and the payments are quarterly, in the PV function, you should type C. /4
How to use the PV function in spreadsheet ?The PV function in spreadsheet is used to calculate the present value of an investment or a series of payments. The function requires several arguments, including the interest rate, the number of payment periods, and the payment amount.
If the interest rate is an annual rate but the payments are made quarterly, you need to adjust the interest rate to reflect the quarterly payment periods. To do this, you divide the annual interest rate by the number of payment periods per year. In this case, since the payments are quarterly, you would divide the annual interest rate by 4.
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When a U.S.-based employer implemented a new standardized safety policy, its Argentinian affiliate balked because it felt that safety should be controlled by the employees doing the work. What obstacle is the U.S. affiliate encountering?
Answer:
culture
Side Note:
(Policy is not the same as regulation; in this case, policy was interpreted differently because of cultural differences.)
Tiffany is considering investing in one of two investment projects. She has two options: The first project is conducted by the Australian government, which generates a certainty profit of $70k, and the second project is managed by a private firm which generates $85k an hour with a 50 percent chance and $45k an hour with 50 percent chance. Assume that Tiffany can only invest in one project, helping her in making decisions in the following scenarios. (Hint: you can ignore the unit k when calculating the value)
(a) Suppose Tiffany’s utility of a payment x is u(x)=1.5·√x . Which project will she prefer according to the expected utility theory? (remain two digits for decimals)
According to the expected utility theory, Tiffany will prefer the second project managed by the private firm.
Which project will Tiffany prefer according to the expected utility theory?According to the expected utility theory, Tiffany's preference between the two investment projects can be determined by calculating the expected utility for each project. The first project, conducted by the Australian government, offers a certain profit of $70k. Using Tiffany's utility function u(x) = 1.5√x, the expected utility for the first project is approximately 14.83. The second project, managed by a private firm, has two possible outcomes: earning $85k per hour with a 50% chance or $45k per hour with a 50% chance. Calculating the expected profit of the second project yields $65k. Substituting this value into the utility function gives an expected utility of approximately 15.74. Comparing the expected utilities, Tiffany would prefer to invest in the second project due to its higher expected utili
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What is a tax refund?
Answer:
A tax refund is essentially a payment to the taxpayer when the taxpayer pays more tax than they owe.
Explanation:
May I have brainliest please? :)
A tax refund is essentially a payment to the taxpayer when the taxpayer pays more tax than they owe.
What is tax refund?An amount given to a taxpayer to make up for any overpayments made to the federal or state governments is known as a tax refund. Refunds are frequently perceived by taxpayers as a windfall or a lucky break, but in reality, they often equate to a loan that the taxpayer made to the government at no interest.
It depends on the discrepancy between the annual tax due and the amount of tax withheld throughout the year. If the amount of tax payable is less than the latter sum, the individual receives a tax refund.
When too much money is withheld from their taxes, the taxpayer gets a refund at the end of the year.
Thus, A tax refund is essentially a payment to the taxpayer.
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How will you be able to become the cost leader of the market in which you deal?
A.
by focusing on customer loyalty
B.
by analyzing your competitive advantage and identifying which strategy works best for your business
C.
by concentrating on serving a particular segment of customers better
D.
by producing a product that has a higher perceived value to the customers when compared to the already existing products
E.
by producing your goods at the lowest price in the market
Answer:
well it would be A i think
Explanation:
Answer:
E. by producing your good at the lowest price in the market
Explanation:
Plato
Bridgett received her bank statement with a previous balance of $181.36. Total deposits were $475.00. Total checks written were $165.25. The service charge was $7.00. How much money does Bridget have in her checking account?
Your answer:
-$121.39
$484.11
$491.11
Answer:
$484.11
Explanation:
Calculation to determine How much money does Bridget have in her checking account?
Previous balance of $181.36
Add Total deposits $475.00
Less Total checks written $165.25
Less service charge $7.00
Checking account balance $484.11
Therefore How much money does Bridget have in her checking account is $484.11
The capital budgeting decision process can be described as how a firm's day-to-day financial matters should be managed. how a firm should finance its assets. which productive assets a firm should purchase. all of the above.
Answer:
The correct answer is the third option: which productive assets a firm should purchase.
Explanation:
To begin with, the name of "Capital Budgeting Decision Process" refers to a series of analyses techniques that will help the responsible to decide which options are the best to take when it comes to decision making process. Therefore that with this method the information recollected is used in order to determine which project will be best to take on. And it does by analyzing the financial data of the company and its environment, so that is why that is quite good comparing to other process of decision making in the same circumstances.
explain internal economics and internal diseconomics
Answer:
These are the cost advantage that an organization obtains due to their scales of operation . Diseconomies are the cost disadvantages that firms build up due to an increase in firm size or output . This result in the production of goods and services at increased per unit costs . Economics of scale leads to cost reduction .
Explanation:
Thaats what upp
Answer:
These occur when mass producing a good results in lower average cost. Economies of scale occur within an firm (internal) or within an industry (external). Internal Economies of Scale - As a business grows in scale, its costs will fall due to internal economies of scale.
Explanation:
In a financial​ panic, you would expect the money multiplier to _____________ and the money supply to ____________​, which would cause the excess reserves ratio to ______________. Thus depositors are likely to ___________________their holdings of currency.
In a financial panic, you would expect the money multiplier to decrease and the money supply to contract, which would cause the excess reserves ratio to increase. Thus depositors are likely to increase their holdings of currency.
During a financial panic, there is a rush among depositors to withdraw their funds from banks, which causes a decrease in bank deposits. This, in turn, reduces the amount of reserves available to banks, which limits their ability to lend and create new money. As a result, the money multiplier decreases, and the money supply contracts. In order to meet the demand for cash withdrawals, banks must increase their excess reserves ratio, which means holding a larger proportion of deposits as cash. This can lead to a shortage of reserves, making it harder for banks to lend and create new money. To protect themselves, depositors may increase their holdings of currency, further reducing the amount of reserves available to banks and exacerbating the contraction in the money supply.
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