Over time, a growth in productivity would result in rise output and a fall in the level of all prices. Option c is Correct.
The quantity of goods and services productivity in the economy at each price level is represented by an upward-sloping curve called the short run aggregate supply curve. The aggregate supply curve over the short term moves as the price level rises, increasing output and employment.
In the long term, the economy will have reached its natural level of employment and potential output after achieving complete wage and price flexibility and market adjustment. At the production potential, the long-term aggregate supply curve is a vertical line. Option c is Correct.
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Correct Question:
In the long run, an increase in productivity would cause output to ________ and the aggregate price level to ________.
a. fall; rise
b. rise; rise
c. rise; fall
d. fall; fall
describe what the consequences are in terms of consumer surplus, producer surplus, and dead weight loss for increase in tax
When the government increases taxes on a good or service, the amount of consumer surplus decreases and the amount of producer surplus decreases.
What is tax?Tax is a mandatory financial charge or some other type of levy imposed upon a taxpayer by a governmental organization in order to fund various public expenditures. A failure to pay, along with evasion of or resistance to taxation, is punishable by law. Taxes consist of direct or indirect taxes and may be paid in money or as its labour equivalent. Most countries have a tax system in place to pay for public, common or agreed national needs and government functions. Some levy a flat percentage rate of taxation on personal annual income, but most scale taxes based on annual income amounts. Countries or subunits often also impose wealth taxes, property taxes, sales taxes, value-added taxes, payroll taxes or tariffs.
This is because the increased taxes make the good or service more expensive to the consumer, so they are willing to pay less for it. At the same time, the producer is receiving less money for the good or service, so their profits are also reduced.
The result of this is that the total economic welfare of society is reduced as some of the potential gains from trade are lost. This is what is known as deadweight loss, as society has lost out on the potential gains from the exchange of the good or service.
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Country a has a gdp of $8 billion (measured in u.s. dollars) and a population of 55 million. country b has a gdp of $9 billion (measured in u.s. dollars) and a population of 4 million. calculate per capita gdp for each country.
The per capita GDP for Country A is $145.45 and for Country B is $2,250.
To calculate the per capita GDP for each country, we need to divide the GDP by the population.
For country A:
Per capita GDP = GDP / Population
Per capita GDP = $8 billion / 55 million
Per capita GDP = $145.45
Therefore, the per capita GDP for country A is $145.45.
For country B:
Per capita GDP = GDP / Population
Per capita GDP = $9 billion / 4 million
Per capita GDP = $2250
Therefore, the per capita GDP for country B is $2250.
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a bank promises to pay 5.5% pa compound interest on deposits of £2337 if saved for 3 years. how much will the savings be worth at the end of the period mentioned? write your answer correct to 2 decimal places.
Answer:
£2,744.20
Explanation:
savings amounts after 3 years can be calculated using the formula below.
A = P x ( 1 + r) ^ n
Where A is the amount after three years
P = principal amounts: £2337
r: interest rate: 5.5% or 0.055
n is the number of periods: 3 years
A =£2337 x( 1 + 0.055)^3
A =£2337 x(1.055) ^3
A=£2337 x 1.174241
£2,744.20
Amount after 3 years will be £2744.20
Zweig company's adjusting entries include a debit to accounts receivable and a credit to service revenue. this means that zweig:_______
This means that Zweig provided services for which it did not yet receive payment. If Zweig recorded service revenue as a debit, it meant that Zweig had been paid for the already-performed service.
Adjusting entries are modifications to previously written entries in your journal. Journal entries record the inflow and outflow of funds into and out of the various accounts in your business. Making an adjustment entry ensures that the operations of your company are accurately and timely recorded. Your records will show you paying for expenses before they are actually incurred or collecting unearned earnings before you can use the money if you don't make adjustment entries.
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For 2021, Sherri has a short-term loss of $2,950 and a long-term loss of $6,600.
a. How much loss can Sherri deduct in 2021?
b. How much loss will Sherri carry over to 2022, and what is the character of the loss carryover?
a. Sherri can deduct the total loss of $9,550 in 2021. She can use the losses to offset any capital gains she may have earned in the same year, and up to $3,000 of the remaining loss can be used to offset ordinary income.
b. Sherri will carry over the remaining loss of $6,550 to 2022. This loss will retain its character as either short-term or long-term, depending on the original nature of the losses. Sherri can use the loss carryover in 2022 to offset any future capital gains or ordinary income.
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A company in an industry where there is little pressure for efficiency and where variations in country markets is significant would choose a ________ international strategya. globalb. transnationalc. centralized single countryd. Multidomesticd. Multidomestic
A company in an industry with little efficiency pressure and where there are significant differences between country markets would opt for a global international strategy.
The phrase global strategy refers to three different categories: global, multinational, and international strategies. In essence, these three tactics help an organisation accomplish its goal of global expansion. It is helpful to distinguish between three types of worldwide expansion that result from a company's resources, capabilities, and current international position while formulating "global strategy." The company's strategies outside of its native markets can be viewed as international if it is still primarily focused on those markets. A dairy business might, for instance, sell some of its extra milk and cheese supplies outside of its home nation. But the domestic market continues to be its primary strategic focus.
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Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy
Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.
Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:
Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:
What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?
1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.
Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.
2. The real return on my investment in Amazon.com Inc was a net loss of 7.12% or $667.60.
3. The company I selected to buy its stock three years ago was Amazon.com Inc.
4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.
5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.
6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.
What is the stock investment?Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.
The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).
Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)
Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)
Tax (10%) = $1,024.40 ($10,244 x 10%)
Inflation (3%) = $307.32 ($10,244 x 3%)
Administration fee on sales (2%) = $204.88 ($10,244 x 2%)
Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)
Loss on returns = $667.60 ($8,707.40 - $9,375)
Loss percentage = 7.12% ($667.60/$9,375 x 100)
Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.
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A U. S. Electronics firm is considering moving its production abroad. Its production function is
q= L^0. 8K^0. 2 (based on Hsieh, 1995), so its MPL= 0. 8^0. 2/ L^0. 2 and its MPK=0. 2L^0. 8/ K^0. 8.
In the United States, w= 8$ and r=2. In Mexico, the wage is 20% lower than in the United States but the firm faces the same cost of capital: w*= $6. 40 and r*=2. What are L and K and what is the cost of producing q=100 units in both countries? In the U. S. , L isnothing:_______
In the U.S., the value of L is not given in the provided information.
To determine the values of L and K, we can start by setting up the production function equation and solving for the unknown variables. Given the production function q = L^0.8 * K^0.2, we need to find the values of L and K that satisfy the equation when q = 100 units.
To calculate the values for L and K in both countries, we need to equate the marginal product of labor (MPL) and the marginal product of capital (MPK) to their respective factor prices. In the U.S., MPL = 0.8^0.2 / L^0.2 = w = $8, and MPK = 0.2 * L^0.8 / K^0.8 = r = $2.
By substituting the given values of w and r, we can solve for L and K in the U.S. However, since the value of L is not provided, we cannot determine its specific value in the U.S.
To find the cost of producing 100 units in both countries, we can use the production function and substitute the values of L and K for each country. However, without knowing the value of L in the U.S., we cannot determine the exact cost of production in the U.S. for 100 units.
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Question 1 of 3
The bank limits deposits to $200 per day. Ash has $300
to deposit. What should she do?
Select a response.
A Make multiple deposits over a few days
B Not agree to the Terms and Conditions
According to the information provided, Ash should make several deposits spread out over a few days. Thus option A is correct.
Ash can divide the deposit into two separate transactions because the bank only allows deposits of $200 per day and she has $300 to deposit. She is permitted to deposit $200 on the first day and the final $100 on the second day.
She will be able to successfully complete her deposit and stay inside the bank's deposit cap with this method. The correct response is, "Make several deposits over a few days."
Therefore, option A is appropriate.
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if a local shop buys a used motorcycle for $1,000, makes repairs and refurbishes it, then resells it for $2,500, the shop contributes
If a local shop buys a used motorcycle for $1,000, makes repairs and refurbishes it, then resells it for $2,500, the shop contributes $1,500 to the economy. This is because the shop is adding value to the motorcycle by repairing and refurbishing it, which increases its resale value.
When the shop resells the motorcycle for $2,500, they are contributing to the gross domestic product (GDP) of the economy. The GDP is the total value of goods and services produced within a country's borders in a specific period of time.
The materials that the shop purchased to repair the motorcycle likely came from another business, such as a supplier, and the labor required to make the repairs was likely performed by an employee, who will use their earnings to purchase goods and services from other businesses.
This creates a multiplier effect where the initial sale of the motorcycle generates additional economic activity throughout the economy.
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According to the digital disconnect and the lecture, the global digital divide is the result of _____.
According to Digital Disconnect, the global digital divide is the result of the hyper-commercialization of Internet development that only serves affluent populations/groups.
The Digital Disconnect refers to experts' examination of current theory, research, and practice in socio-digital inequality. The Digital Disconnect provides a thorough analysis of capitalism's exploitation of the Internet. As per the Digital Disconnect, it is the hypercommercialism of mainstream computing technologies that causes the global digital divide. The global digital divide refers to global discrepancies, particularly between developing countries, and developed in access to computing and information resources such as the Internet, as well as the opportunities that such access provides.
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How much notice does the Worker Adjustment and Retraining Notification
(WARN) Act require employers give their employees when a facility is
closing?
A. 120 days
B. 90 days
C. 60 days
D. 30 days
Answer:60 days
Explanation:
ap3x
Answer:
The question may also ask:
The Worker Adjustment and Retraining Notification (WARN) Act requires that companies meet notice requirements of how many days before reducing a workforce?
The answer is still 60 days
Explanation:
How to find out if your income tax refund will be garnished?
Your refund will likely be taken by the BFS if you're past due on any of the aforementioned payments. After filing your taxes, you'll also get a notice.
How can I tell if my return will be withheld?The organization you owe money to must write to you 60 days after you have an unpaid debt before sending it to the TOP. Information about how to make payments will be included in the letter.
Can the government keep a portion of your tax refund?If you owe federal or state government organizations past-due money, the U.S. government may take your tax refund as payment. The TOP assists these organizations in recovering their debts by withholding funds from a federal payment to pay the debt.
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Assume you are a manager reviewing the financial performance for your company and you notice the following information in the past year.
• Revenues grow approximately 10% per year
• Gross margins remain the same year over year
• Net profit declines by 3% per year
What might these numbers mean and what specific steps would you take in the analysis the situation?
As a boss, investigating the money related display for your association, the going with information in the earlier year could have different ramifications and ideas: Gross profit margin: The gross profit margin is the percentage of sales revenue that is left over after deducting the cost of goods sold.
If the gross profit margin is lower, it could indicate that the company needs to raise prices or lower the cost of goods sold to remain profitable. You could conduct a cost analysis to determine where there are opportunities to lower the cost of goods sold. Net profit margin: The net profit margin is the percentage of sales revenue that is left over after taking into account all costs. A lower net profit margin could indicate that the company is making fewer sales or spending more money.
You can investigate what is happening by completing a business examination to sort out where deals are lower and thought of ways of raising them. You can also look at your expenses to see where they are higher and where you can reduce them. Return on Equity: Return on esteem is an extent that shows the return made on the financial backer's hypothesis. If the return on equity is lower, it could indicate that the business is not making enough money to repay shareholders' investments.
You can look at shareholder equity to see if you can increase it or reallocate it, or you can do a profitability analysis to figure out where profits are lower and come up with ways to raise them. A monetary proportion investigation can likewise be utilized to decide the effectiveness, dissolvability, and liquidity of the business. The monetary proportion examination will uncover the condition of the business' funds and feature regions needing improvement. Overall, if you look at the financial performance of the company, you can see where improvements are needed, plan how to fix them, and take corrective action to ensure the long-term financial health of the company.
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What is the name for the process that includes product returns, recycling and material reuse, and waste disposal
please help me,its economics, what is the other for real GDP and nominal GDP
Answer:
The main difference between nominal GDP and real GDP is the adjustment for inflation. Since nominal GDP is calculated using current prices, it does not require any adjustments for inflation. ... Using a GDP price deflator, real GDP reflects GDP on a per quantity basis.
It is known that 64% of Americans personally worry a great deal about federal spending and the budget deficit. Which of the following needs to be satisfied in order to be able to use the Central Limit Theorem to describe the sampling distribution of the proportion of Americans who personally worry a great deal about federal spending and the budget deficit? Select all of the answers that apply.
1. np ≥ 5 and nq ≥ 5
2. X follows a binomial distribution
3. The sample needs to be representative of all Americans
4. n ≥ 30 or X follows a normal distribution
The conditions that need to be satisfied to use the Central Limit Theorem for the sampling distribution of the proportion of Americans who worry a great deal about federal spending and the budget deficit are: 1. np ≥ 5 and nq ≥ 5, and 2. n ≥ 30 or X follows a normal distribution.
The Central Limit Theorem states that the sampling distribution of a proportion approaches a normal distribution if certain conditions are met.
These conditions are: 1. The sample size should be sufficiently large, typically n ≥ 30, or if the population distribution is unknown, we need to have np ≥ 5 and nq ≥ 5, where p is the probability of success (proportion of Americans who worry a great deal) and q is the probability of failure.
2. The underlying distribution of the variable being sampled should be approximately binomial. This implies that X, the number of Americans who worry a great deal, should follow a binomial distribution.
The requirement for the sample to be representative of all Americans is not directly related to the conditions for using the Central Limit Theorem.
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Rachel initiated the practice of company visits as part of reaching out to her company’s loyal customers . She set up a campaign that invited people to send in their experiences with her company’s product. Everyone who sent in their experiences would win a chance to visit the company and learn about the processes involved in the making of the product. Which CSR concept has Rachel displayed here?
Rachel has displayed the
___________ concept of CSR.
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Rachel has displayed the explicit concept of corporate social responsibility.
What is corporate social responsibility?
Corporate social responsibility (CSR) is a self-policing corporate strategy that enables an organization to be socially accountable to its customers, employees, and stakeholders. Companies can be aware of their impact on the economic, social, and environmental aspects of society by engaging in corporate social responsibility, often known as corporate citizenship.
When a firm practices corporate social responsibility (CSR), it means that it operates in a way that benefits society and the environment rather than detracting from it.
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In 1910, the price of a Model T Ford was $950. By 1917, the average price for the same car was $360. In 1910, fewer than 19,000 Model T's were sold. In 1917, over 730,000 were sold. What conclusion can you draw from this information?: (A)The cost of living must have gone down between 1910 and 1917. (B)Henry Ford was making less money in 1917 than he was in 1910 (C)It cost the Ford Motor Company less to produce a Model T in 1917 than it did in 1910. (D)There is no relationship between the price of the Model T's and the number sold.
The conclusion that can be reached is that (C)It cost the Ford Motor Company less to produce a Model T in 1917 than it did in 1910.
The price of a good or service is usually directly proportional to its cost. This means that if something was costly to produce or to provide, the price that the company providing will charge will be high as well.
The reason for this is that the company needs to make a profit so they charge a higher price than the cost in order to make back the cost and some profit. This is called cost plus pricing.
In 1910, the Model T Ford cost $950 but in 1917 the same car cost $360. This means that the cost must have been less in 1917 than it was in 1910 which was why the Ford company was able to charge less for it.
The correct answer is therefore C.
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Answer:
option c is the correct answer
i think this helps u
Why do managers get paid more?
A. They have worked longer.
B. Their job is harder.
C. They control the paycheck.
The answer is B. Their job is harder.
The reason for this is that managing people can be very challenging. There is a lot of unpredictable behavior on their part most of the time. It is difficult to get your subordinates to do the work you ask them to do. It requires a high level of skill and experience.
At what point does an idea-driven enterprise run into problems and At what point does a market-driven enterprise run into problems?
Idea-driven businesses face unique challenges during growth. ... Their innovation is born from a deep desire to change the way people think about ... to shed light on the different stages of idea-driven business and what problems each stage ...
Idea-driven firms confront particular difficulties as they expand. Their creativity is the result of a strong desire to alter how people think, to shine a light on the many stages of the idea-driven company, and the issues that each level faces.
What is firm?A firm is a for-profit business entity that offers professional services, such as a corporation, limited liability company (LLC), or partnership. Most businesses only have one location. On the other hand, a business company is made up of one or more physical locations that are all owned by the same person and have the same EIN (EIN).
The term "firm," when used in a title, is frequently connected to companies that offer expert legal and accounting services, but it may also refer to a wide range of companies, including consulting, marketing, and graphic design firms, among others.
The name of the company is often used for commercial purposes, but the level of legal protection—for owners or employees—depends on the ownership structure that was used to establish the company. Corporations, for example, offer a higher level of legal protection than other forms of organizations. The idea of a mature company with a strong foundation already exists.
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company z has a cross purchase buy-sell agreement in place among its three founding partners. if the agreement is funded with individual life insurance, what would it require?
Since, Company Z has a cross purchase buy-sell agreement, and it is funded with individual life insurance then Each partner must own a policy on the other partners.
Using a cross-purchase agreement, a company's stakeholders or other owners can procure the preferences or securities of a partner who eventually died, has become disabled, or resigned. In order to ease that transfer of value, the method frequently varies depending on a policy of life insurance in the occasion of a death.
A cross-purchase agreement is generally used during business continuity plans to clarify how share capital can be dispersed or obtained by the remaining survivor's partners, such as a fractional distribution based on each partner's shareholding portion of the company.
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During a trough: production is high. production is low. inflation is low. unemployment is low.
whats the answer ?
Answer:
The trough is the bottom of the recession period, unemployment is at its highest, inflation is low. ... expansion (recovery) is when output is increasing, unemployment begins to fall and later inflation begins to rise.
In addition to paying $100 per month for health insurance. Jaine is responsible for paying her first $500 of medical bill every year before her insurance covers any coast. The $500 Jaine must pay is called the
Answer:
It is called a co-pay.
Explanation:
"A copay is a fixed out-of-pocket amount paid by an insured for covered services." - https://www.investopedia.com
Suppose there is an increase in the saving rate. This increase in the saving rate must cause an increase in consumption per capita in the long run when
The statement is incorrect. An increase in the saving rate does not necessarily cause an increase in consumption per capita in the long run.
The relationship between saving and consumption is complex and depends on a range of factors, including interest rates, investment opportunities, and government policies.
In some cases, an increase in saving may lead to a decrease in consumption, particularly in the short term, as people may delay spending until they have accumulated more savings. However, in the long run, the impact of saving on consumption is less clear and depends on the broader economic context.
For example, if increased saving leads to higher investment and productivity growth, it may ultimately lead to higher levels of consumption. Overall, the relationship between saving and consumption is complex and depends on a range of factors.
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QUE ES UN CHOQUE ELECTRO SEVERO
RAPIDO RAPIDO AYUDA POR FAVOR
ES DE ELTRICIDAD PERO LE PUSE ESA MATERIA PORFAVOR AYUDAME
Answer:
un choque electro es un choque electrico
Franchising is widely used in the casual dining and fast food industry, yet Starbucks is quite successful with a large number of company-owned stores. In 2019 Starbucks had more than 8,500 company-owned stores in the United States. How do you explain this difference
Franchising is widely used in the casual dining and fast- food industry,yet Starbucks is quite succesful with a large number of company ownedstores.
What is Franchising?Franchising is a marketing concept that can be used by a company as a business expansion strategy.
In his study of over 20,500 small businesses, he discovered that 65.3 percent of franchises survived four years, compared to 72 percent of independent businesses. Retail franchises fared worse, with a survival rate of 61.3 percent compared to 73.1 percent for independent retail businesses.
A business franchise model, also known as franchising, is a contractual business model or relationship in which an established brand, known as the 'franchisor,' allows an independent business owner, or franchisee, to use its branding, business model, and other intellectual property.
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reasons for youth unemployment
Which question can help a writer analyze a prompt and develop a claim for an argumentative essay?
O Does the conclusion restate the claim?
O What is the main purpose of the essay?
O is supporting evidence included?
O is the claim clearly stated?
The question that can help a writer develop a claim for argumentative essay is " is supporting evidence included?"
What is an is an Argumentative essay?An Argumentative essay is one characterised by responding to a prompt or questions of a fellow in other to get ideas or win points from their claims.
In a good arguments, both parties are expected to come out more enlightened about the topic they argued about.
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Anyone have an idea how to create a NPV Spreadsheet which intakes a 6% discount factor.
My actual question is very similar to this, If someone could give me a step by step breakdown it would be much appreciated
The way to calculate an NPV Spreadsheet using the NPV Function are:
=NPV(discount rate, series of cash flow)Step 1: Set a discount rate in a cell.Step 2: Establish a series of cash flows (must be in consecutive cells).Step 3: Type “=NPV(“ and select the discount rate “,” then select the cash flow cells and “)”.What is an NPV Function?This refers to the excel function that is used to calculate the net present value and the discount rates for cash flows.
Hence, we can see that given that you have the discount factor, the annual operating costs, and annual benefits, you would then need to add the present value of all +ve cash flows and subtract the present value of all -ve cash flows.
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