Sarif Industries' 1-year forward earnings per share is $1.32.
To determine Sarif Industries' 1-year forward earnings per share, we need to consider the company's current share price, dividend growth rate, reinvestment rate, and investors' required rate of return.
The correct answer is (a) 1.32. To calculate the 1-year forward earnings per share, we can use the Gordon Growth Model.
The formula for the Gordon Growth Model is: Earnings per Share (EPS) = Dividends per Share / (Required Rate of Return - Dividend Growth Rate).
Given that the dividend growth rate is 4.8%, the required rate of return is 8.3%, and the reinvestment rate is 23% (which implies a retention rate of 77%), we can calculate the dividend per share as 23% of the earnings per share.
By substituting these values into the Gordon Growth Model formula, we find: EPS = (0.23 * EPS) / (0.083 - 0.048). Solving this equation, we get EPS = 1.32.
Therefore, Sarif Industries' 1-year forward earnings per share is $1.32 which is option (a). This represents the expected earnings per share for the next year, taking into account the reinvestment rate, dividend growth rate, and investors' required rate of return.
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What is one way people can reduce the amount of taxes they owe in a year?
A. Give money to charity
B. Earn a higher income
C. Purchase luxury goods
D. Work longer hours
Answer:
A
Explanation:
Donating money to charity is one method people might lower their annual tax burden. Therefore, (A) is the correct option.
What is Tax?Taxes are required payments made to individuals or enterprises by a government agency, whether local, regional, or federal. Income, capital gains, or the estate are all subject to taxes.
One of the ways to reduce the amount of tax payable is to donate money to a charity.
Therefore, (A) is the correct option.
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How can a person become a dentist
Explanation:
It generally takes eight years to become a dentist: four years to earn a bachelor's degree as an undergraduate and four years to earn a DDS or DMD in dental school. If you're interested in specializing, you'll also need to complete a dental residency (more on that below).
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Indexing and filing are complementary to each other justify
Indexing and filing are complementary to each other because indexing provides a systematic method of categorizing and organizing information, while filing provides a physical location for storing that information.
Indexing is the process of identifying and assigning descriptive labels or codes to items of information to facilitate their retrieval. Filing, on the other hand, is the physical arrangement of those items of information in a designated location.
Indexing helps to create a logical structure for organizing information, enabling users to easily locate and retrieve specific items of information. For example, indexing can be used to categorize information based on subject, author, date, or any other relevant attribute. This helps to ensure that related information is grouped together and can be easily accessed when needed.
Filing, in turn, provides a physical location for storing the information that has been indexed. Once items of information have been indexed, they need to be filed in a way that makes them easily accessible. Filing systems can be organized in a variety of ways, such as alphabetical, numerical, chronological, or subject-based. The choice of filing system will depend on the nature of the information being filed and the needs of the users.
Together, indexing and filing provide a comprehensive system for managing and organizing information. Indexing ensures that information is categorized and labeled in a logical manner, while filing provides a physical location for storing that information.
Without indexing, filing can become chaotic, with information scattered randomly throughout the filing system. Without filing, indexing can be of little use, as there would be no organized system for storing and accessing the information that has been indexed. Therefore, indexing and filing are complementary to each other, working together to create an efficient and effective system for managing and organizing information.
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g you are considering adding a stock security to your client's portfolio. the stock last paid a dividend per share of $2.50 and dividends are expected to grow by 3% per year. investors are requiring a 10% return currently on this stock. the stock's current market price is $40.00. a) what is the intrinsic value of this stock?
The intrinsic value of the stock is $36.79.
To determine the intrinsic value of the stock, we need to use the dividend discount model (DDM) formula. The DDM calculates the present value of future dividends to estimate the stock's worth.
Step 1: Calculate the expected dividend for the next year.
Given that the stock last paid a dividend per share of $2.50 and dividends are expected to grow by 3% per year, we can calculate the expected dividend for the next year as follows:
Expected Dividend = Last Paid Dividend * (1 + Growth Rate)
Expected Dividend = $2.50 * (1 + 0.03)
Expected Dividend = $2.50 * 1.03
Expected Dividend = $2.575
Step 2: Determine the required rate of return.
Investors currently require a 10% return on this stock. This rate represents the minimum return they expect to receive for the level of risk associated with the investment.
Step 3: Calculate the intrinsic value of the stock using the DDM formula.
Intrinsic Value = Expected Dividend / (Required Rate of Return - Growth Rate)
Intrinsic Value = $2.575 / (0.10 - 0.03)
Intrinsic Value = $2.575 / 0.07
Intrinsic Value = $36.79
Therefore, the intrinsic value of the stock is $36.79.
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what is the poem about "a bird came down the walk"
Answer:
It is called A bird came down the Walk by Emily Dickinson
What is the effect of business cycles on economic growth?
Business cycles are the "ups and downs" in economic activity, defined in terms of periods of expansion or recession. During expansions, the economy, measured by indicators like jobs, production, and sales, is growing in real terms, after excluding the effects of inflation.
Economic activity goes through periods of boom and then contraction during business cycles. Both the general welfare of society and the welfare of private entities are affected by these developments. Typically, changes in a broad economic statistic, such as Real Gross Domestic Product, are examined to see how business cycles have changed over time.
Typical business cycle changes include broad upswings and downswings in a variety of macroeconomic indicators. Individual expansion/recession periods have varying lengths and intensities across time. There are several factors that might cause changes in the business cycle, including sudden and severe fluctuations in the price of oil or shifts in consumer attitude.
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Do you think every working American needs a 401(k) account or an IRA? Why or why not?
No links
Need ASAP
Answer:
Both 401(k) accounts and IRAs are retirement savings accounts that allow individuals to save for retirement on a tax-advantaged basis. Contributions to these accounts are tax-deductible, and the earnings on the investments grow tax-free until they are withdrawn during retirement.
There are some benefits to having a 401(k) account or an IRA. They allow individuals to save for retirement in a tax-efficient way, and can provide a significant source of income during retirement. In addition, many employers offer matching contributions to 401(k) accounts, which can be a valuable incentive to participate.
However, there are also some drawbacks to these types of accounts. For example, they are subject to market fluctuations and the investment risk is borne by the individual. In addition, there are limits on how much can be contributed each year, which may not be enough to provide for a comfortable retirement.
Whether or not every working American needs a 401(k) account or an IRA depends on individual circumstances. For some people, these accounts may be a valuable tool for saving for retirement. For others, different types of retirement savings accounts or strategies may be more appropriate. Ultimately, it is up to each individual to determine the best approach for their own retirement planning.
Decision Point: Using the Association to Grow the Business Several months after starting the advertising campaign, you meet with the director again. She says, "Our consumers are finally associating our cookie with a good-tasting experience over time. We see this in increased sales as well." She continues, "We feel that we can use this newly forged association in the consumer's mind between the cookie brand name and good taste in other ways to help grow our business, but we're not sure how. I'd like you to come up with some ideas." Which of the following options is the best choice to use the brand and its association in the consumer's mind with good taste? Select an option from the choices below and click Submit. License the brand to another company to use on a potato chip. Develop a line extension using the brand on a chocolate chip cookie. License the brand to a company that wants to use it on their lower cost baked goods.
The best choice to utilize the brand and its association with good taste in the consumer's mind would be to develop a line extension using the brand on a chocolate chip cookie. Option B.
By developing a line extension, the company can leverage the positive association consumers have between the brand name and good taste to introduce a new product variant that aligns with their existing offerings. Chocolate chip cookies are a natural fit as they maintain the core essence of the original cookie while adding a popular flavor variation.
This allows the company to tap into the existing customer base who already associate the brand with good taste and provide them with a new product option to explore.
Introducing a line extension also provides an opportunity for the company to expand its market reach and capture new customers who may be attracted to the brand's reputation for quality and taste. By leveraging the positive brand association, the company can differentiate its chocolate chip cookies from competitors and establish a strong presence in the market.
On the other hand, licensing the brand to another company to use on a potato chip or licensing it to a company that wants to use it on their lower-cost baked goods may dilute the brand's association with good taste. Associating the brand with lower-cost or unrelated products could create confusion among consumers and weaken the brand's overall image.
Therefore, developing a line extension with a chocolate chip cookie aligns with the brand's existing identity, capitalizes on the positive association with good taste, and provides the company with the opportunity to expand its product portfolio while maintaining brand consistency and consumer loyalty. So Option B is correct.
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to my brother jayjay
hahahahahhaha
that is very funny i am laughing so hard i am crying
Please pricing default-able bonds with 2 years, face value (F) of $1,000,000, firm value (V) of 1,200,000. The firm value’s volatility rate is 10% and risk-free rate is 5%. (1) the value of default-able bond; (2) the quasi debt-to-value ratio; (3) the probability of defaulting for the firm of debt issuing
The default-able bond's value can be calculated using the firm's value, face value, volatility rate, and risk-free rate. The quasi debt-to-value ratio and the probability of defaulting can also be determined.
To calculate the value of the default-able bond, we can use the Black-Scholes Merton model or a similar framework. By considering the face value, firm value, volatility rate, and risk-free rate, we can estimate the present value of the bond's expected cash flows, accounting for the probability of default.
The quasi debt-to-value ratio represents the proportion of debt to the firm's total value. It is calculated by dividing the face value of the bond by the firm's value.
The probability of defaulting for the firm can be determined by analyzing credit risk factors such as financial indicators, industry conditions, and market trends. This probability reflects the likelihood of the firm being unable to meet its debt obligations.
By evaluating these factors, investors and stakeholders can assess the value and risk associated with default-able bonds, understand the financial health of the firm, and make informed investment decisions.
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Everybody should leave this app and go to question cove. You do not need any points to ask questions and you get correct answers in as little as 30 seconds. Not to mention you can easily message somebody without any problems.
Answer:
what happened to karlie
Explanation:
Which career pathway is expected to have a growth rate that is average or below?
O Film Editing
O Visual Arts
O Telecommunications
O Television Announcing
Answer:
Telecommunications
Explanation:
The answer is telecommunications.
What is Telecommunication?
Telecommunication is the transmission of information by various types of technologies over the wire, radio, optical, or other electromagnetic systems.
What is the purpose of telecommunication?The purpose of a telecommunication system is to exchange information among users of the system. This information exchange can take place in a variety of ways, for example, multiparty voice communications, television, electronic mail, and electronic message exchange.
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Oxidative phosphorylation, as it occurs in modern eukaryotes, is a complex process that probably arose in simple stages in primitive bacteria. Which mechanism is proposed to have arisen first as this complex system evolved
In modern eukaryotes, oxidative phosphorylation is a complex process that involves the transfer of electrons from electron carriers such as NADH and FADH2 to oxygen molecules via a series of protein complexes located in the inner mitochondrial membrane.
This transfer of electrons results in the generation of a proton gradient, which is then used to power ATP synthesis by ATP synthase. However, this complex system is believed to have evolved in simple stages in primitive bacteria. It is proposed that the first mechanism to arise in this complex system is the phosphorylation of substrates by inorganic phosphate (Pi). This process, known as substrate-level phosphorylation, involves the transfer of a phosphate group from a high-energy substrate molecule such as ATP or GTP to another molecule. This mechanism is thought to have been present in primitive bacteria and is still used by some prokaryotes today. This mechanism may have been coupled with electron transport to generate a proton gradient across the cell membrane. This gradient could then be used to power ATP synthesis via a proton-driven ATP synthase.
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population growth can have both a positive and a negative impact on economic growth. a. true b. false
The correct answer is true. Population growth can have both, a positive and a negative impact on economic growth.
The yearly rate of change in real GDP per person is the measure of economic growth. This indicator of a country's economic growth rate considers both the rate of population increase and the growth in the total output of goods and services. It is an average measure that does not take into consideration potential changes in income distribution or different welfare costs or benefits that may come along with economic growth.
Some economists say that population expansion slows economic growth, while others assert the exact reverse. Therefore, according to the latter economists, immigration should be promoted rather than discouraged.
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Donna is a senior in high school. She works part-time at the local hospital as a nurse’s aide. She enjoys her job and hopes to continue working in the health care fi eld after graduation. Donna does well in school, especially in math and science. However, she fi nds more satisfaction in working with people at the hospital and helping others. Donna would like to become a nurse. Donna cannot afford to spend a lot of time and money on her education beyond high school. If she continues her education, Donna needs to keep working, too. What do you think Donna should do?
Answer:
apply for a scholarship, go to a community college, check out available financing options for colleges
Explanation:
Why is it important for cashiers and clerks to enjoy dealing with people?
-because they must handle large sums of money
-because they may only be working part-time
-because they are responsible for customer satisfaction
-because they need to get on-the-job training
Answer:
C. -Because They are responsible for customer satisfaction
Explanation:
Every Cashier is responsible for making sure that the customer Gets what he or she needs. and ever customer should be treated fairly. Every Customer should be happy when Getting Served.
A Company that makes shopping carts for supermarkets and other stores recently purchased some new equipment that reduces the labor content of the jobs needed to produce the shopping carts. Prior to buying the new equipment, the company used 4 workers, who produced an average of 67 carts per hour. Workers receive $12 per hour, and machine cost was $37 per hour. With the new equipment, it was possible to transfer one of the workers to another department, and equipment cost increased by $11 per hour while output increased by four carts per hour.
A) Compute the multifactor productivity (MFP) (labor plus equipment) prior to buying the new equipment.
b) Compute the % growth in productivity between the Prior to and after buying the new equipment.
a. the multifactor productivity (MFP) prior to buying the new equipment was X units per dollar. b. the percentage growth in productivity between prior to and after buying the new equipment is Y%.
A) The multifactor productivity (MFP) (labor plus equipment) prior to buying the new equipment was X units per dollar.
Multifactor productivity (MFP) is a measure of the output generated by a combination of labor and equipment inputs. To calculate MFP prior to buying the new equipment, we need to determine the total output and the total cost of labor and equipment.
Given information:
Number of workers before purchasing new equipment: 4
Average carts produced per hour: 67
Labor cost per hour: $12
To calculate the total output, we multiply the average carts produced per hour by the number of workers: 67 carts/hour * 4 workers = 268 carts/hour.
The labor cost per hour is $12 per worker. So the total labor cost per hour is $12/worker * 4 workers = $48.
The MFP prior to buying the new equipment is the ratio of total output to the total cost of labor and equipment: MFP = Output / (Labor cost + Equipment cost).
Since we are only considering labor in this case, the MFP formula becomes: MFP = Output / Labor cost.
MFP = 268 carts/hour / $48 = X units per dollar.
Therefore, the multifactor productivity (MFP) prior to buying the new equipment was X units per dollar.
B) The percentage growth in productivity between prior to and after buying the new equipment is Y%.
To calculate the percentage growth in productivity, we need to compare the MFP after buying the new equipment with the MFP prior to buying it.
Given information:
Increase in output with new equipment: 4 carts/hour
Increase in equipment cost: $11/hour
After buying the new equipment, the number of workers is reduced by 1, so there are 3 workers remaining.
The new total output can be calculated by adding the increase in output to the previous output: 67 carts/hour + 4 carts/hour = 71 carts/hour.
The new equipment cost is the previous equipment cost plus the increase: $37/hour + $11/hour = $48/hour.
Using the same MFP formula, we calculate the MFP after buying the new equipment: MFP = Output / (Labor cost + Equipment cost).
MFP = 71 carts/hour / ($36 + $48) = Y units per dollar.
To find the percentage growth in productivity, we compare the MFP after and before buying the new equipment:
Percentage growth in productivity = ((MFP after - MFP prior) / MFP prior) * 100.
Percentage growth in productivity = ((Y - X) / X) * 100 = Y%.
Therefore, the percentage growth in productivity between prior to and after buying the new equipment is Y%.
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How important is money
Answer:
very important
Explanation:
money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.
If you were marketing a product to a particular target market and you only knew the demographic characteristics, what product benefits (WIIFM, or “What’s in it for me?”) would you highlight in your marketing
The product benefits to be highlighted in the marketing based on demographic characteristics are
beneficial to particular agebeneficial to particular working classbeneficial to particular gender etcWhat is the demographic segmentation?In marketing, this refers to the segmenting of customers according to gender, age, ethnicity, family size, religion etc.
The use of demographic segmentation in marketing helps to provide the needs and want to consumers based on the demograph gathered from them.
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Name two responsibilities of an event marketer working in hospitality.
Coordinating travel plans and extending a warm welcome to visitors are two duties of an event marketer employed in the hotel industry.
What duties fall under the purview of an event marketer?
oversees all aspects of an event's management, including the planning phase, the execution of the event, and the evaluation following the event.
In order to ensure that the event is delivered effectively, operational and administrative tasks are managed. assures target audience is drawn to event and that it is in keeping with the company's broader marketing plan.
What are the duties of a marketing coordinator for events?
The operations, services, personnel, and activities of facility event rentals must be planned, monitored, and directed under the direction of the event and marketing coordinator.
Performance demands the capacity to act autonomously, with initiative and judgement, within predetermined parameters.
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ssume that the risk - free rate of interest is 3% and you estimate the market's expected return to be 9%. which firm has the highest cost of equity capital?
The firm with the highest cost of equity capital would be the one with a higher beta coefficient.
Beta is a measure of a stock's volatility in relation to the market. A beta greater than 1 indicates a higher volatility compared to the market, while a beta less than 1 indicates lower volatility.
To calculate the cost of equity, we use the Capital Asset Pricing Model (CAPM), which is as follows:
Cost of Equity = Risk-Free Rate + (Market Expected Return - Risk-Free Rate) x Beta
Assuming a risk-free rate of 3% and a market expected return of 9%, we can use the formula to calculate the cost of equity for different firms based on their beta coefficient. The firm with the highest beta coefficient will have the highest cost of equity.
For example, let's assume that Firm A has a beta of 1.5, while Firm B has a beta of 2.5. Using the CAPM formula, the cost of equity for Firm A would be:
Cost of Equity A = 3% + (9% - 3%) x 1.5 = 12%
Similarly, the cost of equity for Firm B would be:
Cost of Equity B = 3% + (9% - 3%) x 2.5 = 18%
Thus, Firm B has a higher cost of equity capital compared to Firm A, indicating that investors expect a higher return for taking on the higher risk associated with investing in the stock of Firm B.
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Why is fashion designer Kira's Plasinina father important
a. He is a businessman who helped her achieve her goals .
b. He liked her drawings .
c. He funded her ventures.
d. He was her inspiration
A grocery store orders their monthly food order from a distributor. The food is scheduled to be delivered by the next Friday. Which pathways in the Transportation and Logistic career cluster are involved in this entire process? Facility and Mobile Equipment Maintenance, Sales and Service; Transportation Operations; and Health, Safety and Environmental Management Transportation Systems/Infrastructure Planning, Management, and Regulation, and Facility and Mobile Equipment Maintenance Transportation Operations, Warehousing and Distribution Center Operations; Logistics Planning and Management Services; and Sales and Service Health, Safety and Environmental Management and Transportation Systems/Infrastructure Planning, Management, and Regulation
Answer:
For the food to be delivered successfully by the grocery store, the following pathways needs to be followed to achieve that:
Facility and Mobile Equipment Maintenance,
Sales and Service;
Transportation Operations; and Health,
Safety and Environmental Management Transportation.
Explanation:
This process is true because, there is need to ensure that, the facility and mobile equipment is well maintained to avoid breakdown of the equipment during transportation.
The last pathway to ensure successful delivery happens to be safety and environment management transportation since what is being dealt with happens to be food that is going to be eaten. Maximum care is taken to ensure there is no contamination whatsoever.
Answer:
Option A is correct
Explanation:
Just took the test :)
Happy New Year everyone, here's to 2021
The troupe’s account balance first reached $500 on Day 4. The last day the account balance was $500 was Day 8. (a)Determine C(5), C(6), and C(7). Explain how you determined these amounts. (b)Estimate C(1), C(2), and C(3). Explain how you determined these amounts. (c)The stage manager said that the amount of money taken out of the account each day between Day 8 and Day 11 was the same amount of money put into the account each day between Day 0 and Day 4. Recall that Day 11 is when the balance first reached $0. Without doing any calculations, how could you show the stage manager was incorrect?.
Answer:
its 4
Explanation:
A recent high school graduate is researching ways she can pay for her college education. She has received three small scholarships, but still needs to pay for
most of the tuition herself. Which of these options may be available to help her pay for her education? Select all that apply.
A. mortgage loan
B. Perkins loan
C. private loan
D. Stafford loan
E. payday loan
E business loan
Answer:
C and D
Explanation:
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China has been ruled by the Communist Party since the fall of 1949, but the relationship between China and the United States has been through drastic changes over the last seven decades. What was the nature of the relationship between the two countries in the early years of the Cold War, and how can the relationship between the two countries be summed up now?
In the early years of the Cold War, the relationship between China and the United States was tense. China was ruled by the Communist Party, which was seen as a threat to the United States and its allies. The United States and China were not allies, and the two countries had little diplomatic or economic contact.
The United States supported the Nationalist government of Chiang Kai-shek, which was fighting a civil war against the Communists led by Mao Zedong. After the Communist victory in 1949, the United States did not recognize the People's Republic of China and instead continued to support the Nationalists in Taiwan.
The relationship between the two countries began to improve in the 1970s when the United States recognized the People's Republic of China and established diplomatic relations with the country. This was a significant shift in U.S. policy and signaled a willingness to engage with China. Since then, the relationship between China and the United States has been marked by periods of cooperation and competition.
Today, the relationship between China and the United States is complex. The two countries are each other's largest trading partners and have deep economic ties, but there are also significant areas of disagreement and tension. The United States has accused China of unfair trade practices, intellectual property theft, and human rights abuses. China, for its part, has criticized the United States for interfering in its internal affairs and attempting to contain its rise as a global power.
Overall, the relationship between China and the United States can be summed up as one of cooperation and competition. The two countries have worked together on issues such as climate change and nuclear non-proliferation, but they also compete for influence in the Asia-Pacific region and in the global economy. The future of the relationship between China and the United States is uncertain, but it is likely to continue to be a key factor in world politics for years to come.
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in which type of estate does the holder has exclusive rights to ownership and possession of the land?
Answer:
Fee simple absolute.
Explanation:
In fee simple ownership, all rights to the land are exclusively unrestricted and unconditional. .
Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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Use the aggregate demand and aggregate supply model to illustrate the impact in the short run and the long run of the following events: (b) A wall st (b) A wall street stock market crash. P LRAS P, SRAS AD Y YN LRAS SRAS P, AD Y
A wall street stock market crash will cause a short-run decrease in output and prices, and a long-run decrease in output and a lower price level.
In the short run, a wall street stock market crash will decrease consumer wealth and confidence, which will lead to a decrease in aggregate demand (AD) for goods and services.
This will shift the AD curve to the left, resulting in a decrease in both equilibrium output (Y) and price level (P). This decrease in output and prices will lead to a temporary recessionary gap, with output falling below the potential output (YN).
In the long run, the wall street stock market crash will lead to a decrease in the expected rate of return on investment, which will cause firms to reduce their investment spending.
This will shift the short-run aggregate supply (SRAS) curve to the left. As a result, output will fall further and prices will decrease. In the long run, the economy will return to the potential output level (YN), but at a lower price level.
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What would be the net present value of a microwave oven that costs $159 and will save you $68 a year in time and food away from home
Answer:
159 - 68 = 91
Explanation: