The price of a call option on IBM with the same exercise price and expiration date is approximately $11.39.
To determine the price of a call option on IBM with the same exercise price and expiration date, we can use the put-call parity relationship.
Put-Call Parity states that the price of a call option minus the price of a put option with the same exercise price and expiration date should be equal to the difference between the current stock price and the present value of the exercise price. Mathematically, it can be expressed as:
C - P = S - PV(X)
Where:
C = Price of the call option
P = Price of the put option
S = Current stock price
X = Exercise price
PV(X) = Present value of the exercise price
In this case, the put option price is given as $7, the exercise price is $66, and the current stock price is $70.
We can rearrange the equation to solve for the call option price:
C = P + S - PV(X)
To calculate PV(X), we need to discount the exercise price using the risk-free rate. Since the expiration is in 6 months, the time factor is 0.5 (half a year).
PV(X) = X / (1 + r)^t
PV(X) = 66 / (1 + 0.013)^0.5
Calculating PV(X), we find that PV(X) is approximately $65.61.
Substituting the given values into the put-call parity equation, we can solve for C:
C = 7 + 70 - 65.61
C ≈ $11.39
Therefore, the price of a call option on IBM with the same exercise price and expiration date is approximately $11.39.
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100 points & brainliest.
Answer:
A
Explanation:
Answer:
the answer is the first option (A)
Explanation:
assume that there is a fixed rate of interest on contracts for borrowers and lenders. if unexpected deflation occurs in the economy, then who benefits?
If there is a fixed rate of interest on contracts for borrowers and lenders if unexpected deflation occurs in the economy, borrowers are hurt, but lenders benefit.
What do you understand about deflation?Deflation in economics can be understood as a decrease in the general price level of goods and services. Deflation occurs when the inflation rate falls below 0% or a negative inflation rate. Inflation reduces the value of currency over time, but sudden deflation increases it. This allows more goods and services to be bought than before with the same amount of currency.
Deflation is measured using economic indicators like the Consumer Price Index.
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r = 5% Find the time necessary for $1000 to double when it is invested at a rate of r compounded (a) anually, (b) monthly, (c) daily, and (d) continuously
it will take approximately 13.9 years for $1000 to double when invested at a rate of 5% compounded continuously.
(a) Annually:
Using the rule of 72, it will take approximately 14.4 years for $1000 to double at a rate of 5% compounded annually.
(b) Monthly:
The monthly interest rate is 5% / 12 = 0.4167%. Using the formula for compound interest, we get:
$2000 = $1000 x (1 + 0.4167%)^(n/12)
2 = (1 + 0.004167)^(n/12)
ln(2) = (n/12)ln(1.004167)
n = 12ln(2)/ln(1.004167)
n ≈ 139.2 months
So it will take approximately 139.2 months or about 11.6 years for $1000 to double when invested at a rate of 5% compounded monthly.
(c) Daily:
The daily interest rate is 5% / 365 = 0.0137%. Using the formula for compound interest, we get:
$2000 = $1000 x (1 + 0.0137%)^(n)
2 = (1 + 0.000137)^(n)
ln(2) = nln(1.000137)
n = ln(2)/ln(1.000137)
n ≈ 5076.8 days
So it will take approximately 5076.8 days or about 13.9 years for $1000 to double when invested at a rate of 5% compounded daily.
(d) Continuously:
We want to find the time it takes for $1000 to double, so we set A = 2P = $2000 and solve for t:
$2000 = $1000 x e^(0.05t)
2 = e^(0.05t)
ln(2) = 0.05t
t = ln(2)/0.05
t ≈ 13.9 years
Investment refers to the act of allocating resources (such as money, time, or effort) with the expectation of obtaining some form of benefit or return in the future. Typically, this involves taking on some degree of risk, with the goal of generating income, growing wealth or achieving some other financial or strategic objective.
There are many different types of investments, including stocks, bonds, real estate, commodities, and more. Each type of investment carries its own unique risks and potential rewards, depending on factors such as market conditions, economic trends, and individual investor preferences. Investors may choose to invest directly in assets or securities, or they may opt to invest through a fund or other financial intermediary.
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Compute the annual frequency of claims of Insurer B: NARRBEGIN: AUTO DATA Insurer A - Auto Claims and Losses # of claims Total Year Losses 1 450 $900,000.00 2 320 $700,000.00 3 500 $850,000.00 Insurer B - Auto claims and Losses Year Losses 1 370 $450,000.00 2 320 $350,000.00 3 430 $620,000.00 NARREND Select an answer and submit. For keyboard navigation, use the up/down arrow keys to select an answer. a 366.67 b 373.33 с 333.33 d 350 e 379.15
Computing the annual frequency of claims of Insurer B, we will have the answer as b) 373.33.
We need to add up the claims of insurer B and divide by 3 just like average of 3 years.
\(\frac{(370 + 320 + 430)}{3} \)
= 373.33
The number of claims that an insurer anticipates seeing is referred to as frequency. High frequency indicates that many claims are anticipated to be submitted. Based on historical cost data, the average cost of claims may be approximated.
Frequency of Claims is The word often refers to a ratio of claim counts to a chosen exposure base over a given time frame. The number of claims divided by the total exposure units yields the claim frequency rate, which can be calculated. With regard to frequency assertions – studies that determine how frequently or frequent something is — external validity is crucial.
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The oil and energy industries are under the regulatory authority of:.
Answer:
The Texas Railroad Commission
answer this question plz I don't know it
Answer:
1st: a
2nd: a
3rd: a
Explanation:
Answer:
share with your parents and other family members about this lesson your family may be interested about your atory your trimphs and struggles use this lesson on developing your academic andpersonal social skills your strengths and weaknesses can be a factor that can influence your decisions in the future
a movie theater company takes out a $200,000 loan from a bank. the bank requires four equal repayments of the loan principal, paid annually. how much of the loan principal is considered a current portion of a noncurrent note payable at the end of year 2? group of answer choices $50,000 $100,000 $150,000 $200,000
$100,000 of the loan principal is considered a current portion of a noncurrent note payable at the end of year 2. Here option B is the correct answer.
The bank requires four equal repayments of the loan principal, meaning that each annual payment covers 1/4 of the total loan amount.
At the end of year 2, two payments have been made, so 2/4 of the total loan amount, or 1/2 of the loan, is still considered a current portion of a noncurrent note payable. That would be $200,000 * 1/2 = $100,000.
In this case, the movie theater company took out a $200,000 loan from a bank and is required to make four equal repayments of the loan principal, paid annually. At the end of year 2, two payments have been made, so 2/4 of the total loan amount, or 1/2 of the loan, is still considered a current portion of a noncurrent note payable. That would be $200,000 * 1/2 = $100,000.
Complete question:
A movie theater company takes out a $200,000 loan from a bank. the bank requires four equal repayments of the loan principal, paid annually. how much of the loan principal is considered a current portion of a noncurrent note payable at the end of year 2? group of answer choices A - $50,000
B - $100,000
C - $150,000
D - $200,000
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Which of the following food systems career opportunities has the highest job growth rate?
butchers
chefs
food scientists
bakers
Question 2 of 10
Which of the following is an example of a value?
A. Sports
B. Public speaking
C. Coding skills
D. Responsibility
SUBMIT
Answer:
》resonsibility
............................
assume that sugar-based soft drinks are produced in a market shown on the graph above. answer the following questions based on the information given in the graph. (a) to reduce the consumption of sugary soft drinks, suppose the government imposes a $2 per-unit sales tax on soft drinks. (i) will the price of soft drinks increase by the full amount of the per-unit sales tax? explain. (ii) calculate the tax revenue the government can collect from the sale of soft drinks. show your work. (iii) will the consumer surplus increase, decrease, or stay the same after the per-unit sales tax? (iv) calculate the deadweight loss created by the per-unit sales tax. show your work.
Drinks will cost more for consumers to purchase, with the producer receiving a higher price plus tax. It will increase by exactly the same amount as the tax would if it were levied on producers rather than consumers.
What is tax?In order to pay for general government services, goods, and activities, local, state, and federal governments must collect mandated payments or charges from citizens and corporations.
With a skilled labor population and a sophisticated high-income economy, Romania is home to the 8th highest nominal GDP in the European Union after adjusting for purchasing power parity.
The tax levied, which is $2 per unit multiplied by the number of units sold, represents the tax revenue that the government will be able to collect.
Due to the leftward shift of the demand curve caused by lower demand, consumer surplus will decline. Deadweight loss is the price of market inefficiency, which in this case results in decreasing demand is a case.
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SOS
A country has a trade deficit of $20 billion with its trading partners over a
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country decreases its exports bus 10 billion.
B. The country increases its exports by $30 billion.
C. The country decreases its imports by $10 billion.
D. The country increases its imports by $30 billion.
B) the country increases its exports by $30 billion
Explanation:
I took a quiz
Answer:
increases its export 30 million
Explanation:
How do those who study workplace ergonomics help decrease workplace injury?.
Workplace injuries are used to prevent musculoskeletal problems at work. Ergonomics aids in the prevention of workplace injuries such as occupational diseases, accidents, mental stress, and major strains.
What is Ergonomics?
"Law of Work" is the most basic definition of ergonomics. Ergonomics is defined as the link between individuals and their workplace environment, with a focus on the workers' physical capabilities and comfort.
Workplace environment is healthy; employees should not be physically forced to perform duties; 8 hours of work per day is sufficient; otherwise, employees may experience mental stress as well as major workplace strains or injuries.
As a result, if workers are exposed to these known risk factors for MSDs, they are more likely to be injured at work.
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Which economic effect does a central bank hope to achieve by buying back large amounts of treasury security
A. It hopes to reduce the amount of money available for lending.
Explanation:
Usually, the central bank(Federal reserve) control the supply of money in circulation in the economy so that the nation's economy would be healthy. One of the ways through which the federal reserve controls the quantity of money in circulation is by selling or purchasing of government securities through a process known as open market operation.
If the federal reserve sells government securities such as treasury bills, in large quantities, its aim is to reduce the amount or quantity of money available to commercial banks for lending, hence mop up the quantity of money in circulation.
Also, if the federal reserve buys government securities, its aim is to make more money available in large quantities to commercial banks and other institutions, hence have more cash to lend people.
The economic effect that central bank are trying to effect by the process of buying back large amounts of treasury security is bring reduction to amount of money available for lending.
Treasury notes as well as bonds are securities that brings about payment of fixed rate of interest which is usually done every six months till the security reach a stage of maturity.The central bank do buy large amounts of treasury security so that the money that can be available for lending can be reduced.Therefore, this process are put in place to balance the economy.
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if the price of a segway is $400, which customer will receive the greatest consumer surplus from the purchase of a segway?
The customer who will receive the greatest consumer surplus from the purchase of a Segway is the one who values the Segway the most.
What is consumer surplus?A consumer's willingness to pay for a commodity or service and the price they actually pay for it are measured by the economic notion of consumer surplus. It stands for the degree of utility or enjoyment a consumer gets from a transaction, to put it another way.
For example, if a customer values the Segway at $450, and they are able to purchase it for $400, their consumer surplus would be $50. On the other hand, if another customer only values the Segway at $350, and they also pay $400 for it, their consumer surplus would be less, at $50.
The region above the market price and below the consumer's willingness to pay can be used to illustrate the consumer surplus (often represented by a demand curve). The greater the consumer surplus, the more eager the consumer is to pay. There won't be a consumer surplus, though, if the market price exceeds a consumer's willingness to pay.
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Give an example for each of the following types of transactions:
1. Increase in one asset, decrease in another asset
2. Inerease in asset, increase in liability.
3. Inerease in asset, increase in owner's capital
Answer:A)Increase in one asset, decrease in another asset.- purchase of machinery in cash . ie. increase in asset and decrease in cash
B)Increase in asset, increase in liability - purchase goods on credit ie. increase in stock and increase in creditors
C)Increase in asset, increase in owner's capital -issue of shares ie. increase in share capital and increase in cash .
D)Decrease in asset, decrease in liability -Payment to creditors ie, decrease in cash and decrease in creditors
E)Decrease in asset, decrease in owner's capital- drawings (withdrawn by partners ) ie, decrease in capital ad decrease in cash
F)Increase in one liability, decrease in another liability- Bills Payable issued to Creditors.ie., This will reduce one liability (Creditors) on the one hand and increase another liability (Bills Payable) on the other hand.
G)Increase in liability, decrease in owner's capital - Conversion of share capital into debentures.ie, increase in debentures and decrease in share capital .
H)Decrease in liability, increase in owner's capital.-Conversion of debentures into shares.,ie. increase in share capital and decrease in debenture (long term liability )
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Explanation:
Jasmine has provided you with Pick a Treat’s costs from last month:
Shop Rent - £2,000 Stock - £6,000
Packaging - £500 Salaries - £1,200
Utilities - £150 Insurance - £150
1. Calculate Pick a Treat’s total costs for last month. Show your working .
Answer:
£10,000
Explanation:
The total expenses will be the total cost of all the expenses which will be
=Shop rent + Stock + Packaging + Salaries +Utilities + Insurance
=£2,000 +£6,000 + £500 + £1,200 + £150 + £150
=£10,000
in order to assess the performance of their firms and their supply chains, what do managers need to do to determine the needs of those customers?
a. Look at each segment of the markets they serve
b. Help identify new customer requirements
c. Rely on traditional performance measures
d. Collaborate in pricing of products
The correct option to the given question about assess the performance of their supply chains is option a) . Take a look at each market category they serve.
A corporation can generally use one of six major models to direct its supply chain management procedures.
The continuous flow model, one of the more established supply chain strategies, works best for developed sectors. The continuous flow model assumes that a producer will consistently produce the same good and that customer demand will be relatively stable. Agile Strategy: This model works best for businesses that provide products that customers order or have unexpected demand. This model places a premium on adaptability because a business must be ready to change course at any time in the event of a specific requirement.
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How are scarcity and the laws of supply and demand connected?
Answer:
Scarcity and supply and demand are connected because they determine how much the product costs. First of all, scarcity describes supply. If a product is scarce and demand is high, the supplier would raise the costs for the product, but if there is plenty of supply, and low demand, the supplier would decrease the costs.
what happens to the equilibrium price and quantity when demand decreases and at the same time supply increases, and the demand shift is relatively smaller than the supply shift?
The equilibrium price falls, and the equilibrium quantity rises when demand decreases and at the same time supply increases, and the demand shift is relatively smaller than the supply shift.
What is equilibrium price?An equilibrium price is the result of balancing demand and supply. Prices have a tendency to return to this equilibrium unless some aspects of demand or supply change. When either demand or supply, or both, shifts or moves, the equilibrium price changes.
When the supply of goods equals the demand, the market is said to have reached equilibrium. The process by which equilibrium prices are reached is a competitive process.
Therefore, when demand decreases and at the same time supply increases, the equilibrium price falls, and the equilibrium quantity rises.
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Making Decisions It is Friday, Homecoming, and the big game with a rival school is tonight. You have an after-school job, and you have been saving for the big event for the past month. BUT, you had to purchase two new tires for your car; and now you only have $40 to spend. You need to get gas, pay to get into the game, and you had planned to take your date out to eat after the game before you go the Homecoming dance. Answer each question in complete sentences using proper grammar and punctuation: 1. Do you have enough money to do all that you had planned? 2. If gas costs $3.00 per gallon, what factors will determine how much gas you purchase? 3. We will assume that you and your date will get into the game for free since you are students. Will you have enough to take your date to dinner after the game, once you purchase gas for your car? 4. Would you be better off to cancel the whole night's plans? Justify your answer...tell why you made your choice.
Answer:
1. No
2.If you are on a budget it depends if you want to purchase $50 or another amount, while if you want to fill up the gas tank it depends on the cars' capacity. Some cars can take up to 11 gallons of gas, so if wanting to fill up the tank you would need to spend $33.
3. no because i will have 6 dollars left.
4. yes and chill at home with my date, im sure he/she will understand unless they will help pay for it or ask parents.
JUSTIFYING ANSWER= i choose to be this way because first off i would save my money once i even found about homecoming.
Explanation:
give four features of subsistence production
Answer:
The main features of Subsistence Farming are as follows:
In subsistence farming, landholdings tend to be small and scattered.
The farmers tend to use traditional methods of agriculture.
The output is not very high and it is consumed within the family........
The _____ risk has been encountered if a business has no answer to fight back against its competition.
financial
operational
compliance
strategic
When a business is unable to fight back against its competitors effectively, then a strategic risk has been encountered.
What is a strategic risk?This refers to the risk that the strategies of a business will not allow it to be competitive in the market.
When competitors come up with new processes and a business is unable to match them, this is therefore strategic risk.
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Simply Imagine wants to grow their company but is hindered by increasing labor costs and import quotas.
Simply Imagine should consider becoming a(n)
(A) countertrader (B) wholly owned subsidiary (C) strategically(D) mulimatiomnal (E) franchiser
Answer:
multinational
Explanation:
A multinational business operates in at least one other country apart from its home country. The company will have factories/ offices in different countries and its headquarters in the domicile state. The operations of a multinational are coordinated at its headquarters.
By becoming a multinational, simple imagine can expand in countries with relatively cheap labor. It will overcome the import quota challenge by operating from a country without restrictions or from the source state.
mrs. gomez, a widow, paid $189,500 for her home 20 years ago. she recently sold this home and moved in with her son on a permanent basis. assume the taxable year is 2021.
Mrs. Gomez purchased her home 20 years ago for $189,500. Since then, the value of her home may have changed due to factors such as inflation and changes in the real estate market.
Since Mrs. Gomez recently sold her home and moved in with her son, it implies that she no longer owns the property. This means that she may need to report the sale of her home on her taxes for the taxable year 2021. When a home is sold, the seller may be subject to capital gains tax, depending on the details of the transaction.
To determine if Mrs. Gomez owes any taxes on the sale of her home, we need more information, such as the selling price, any capital improvements made to the property, and her income level. Additionally, tax laws may vary depending on the country and state, so it is essential to consult a tax professional or use tax software to accurately calculate any tax liability.
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Mrs. Gomez, a widow, purchased her home 20 years ago for $189,500. She recently sold her home and permanently moved in with her son in 2021.
1. Mrs. Gomez bought her home 20 years ago for $189,500.
2. We can assume that the purchase took place in the year 2001 (2021 - 20 years).
3. Now, let's calculate the current value of the home.
4. To determine the appreciation of the home, we need to know the average annual rate of home price appreciation.
5. Without this information, we cannot provide an exact current value for the home.
6. However, we can say that over the course of 20 years, it is likely that the value of the home has increased.
7. The increase in value would depend on various factors such as the real estate market, location, and improvements made to the property.
8. Mrs. Gomez sold her home and now resides with her son on a permanent basis.
Mrs. Gomez sold her home after owning it for 20 years, but the current value cannot be determined without information on the average annual rate of home price appreciation. However, it is likely that the home has appreciated in value over time. She has now moved in with her son on a permanent basis.
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HELP PLEASE
What should happen after one determines a company's quality control process
meets the company's quality standards?
Each member of the quality control team must confirm that the process is
effective before the process can become permanent.
An internal team should review the results of product testing and look for ways
to refine and improve upon the quality control process.
An internal team should review the results of product testing and sign off on the
process to confirm it is effective.
The process should not be revised again.
Answer:
It should be "An internal team should review the results of product testing and look for ways to refine and improve upon the quality control process."
Explanation:
When one determines a company's quality control process meets the company's quality standards then an internal team should review the results of product testing and look for ways to refine and improve upon the quality control process. The correct option is b.
What is quality control?Quality control is a critical component of a well-run business. A quality control program helps ensure your small business delivers a consistent product, service and customer experience.
In addition, developing quality control processes allows the business to operate without someone's daily presence, so expanding to new locations, delegating responsibilities and even selling the business when the time comes is easier. Business growth requires paying careful attention to dollars and people, and quality control helps ensure we are monitoring both. If the products or services are of poor quality, we will spend a lot of time and money redoing them, cutting your profit margins.
Quality control processes can be used in all types of companies, whether they are product-based or service-based, B2B or B2C.
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Why can communicating with someone with a different background than yours present challenges?
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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Samantha deposits $1,500 into the Park Street Bank. The account pays 1.12% annual interest, compounded daily. To the nearest cent, how much is in the account at the end of three non-leap years?
Answer:
=$1,551.255
Explanation:
The amount can be calculates using the formula
A = p x ( 1 + r) ^n
Where A = Amount
P= principal: $1500
r=1.12% or 0.0112 per year. Dairy interest rate = 0.0112/365
n = 365 days x 3 = 1095
A= 1500 x( 1 + 0.0112/365)^1095
A =$1500 x ( 1.00003068493)^1095
A =$1500 x 1.034170
A =$1,551.255
What will likely happen to the slope or position of the AD curve in the following circumstances? (LO9-2) a. The exchange rate changes from fixed to flexible. b. A fall in the price level doesn't make people feel richer. c. A fall in the price level creates expectations of a further-falling price level. d. Income is redistributed from rich people to poor people e. Autonomous exports increase by 20. f. Government spending decreases by 10
Income is redistributed from rich people to poor people likely happen to the slope or position of the AD curve .
As the components of aggregate demand—consumption spending, investment expenditure, government spending, and spending on exports minus imports—increase, the aggregate demand curve, or AD curve, moves to the right. With the decline of these components, the AD curve will turn back to the left.
The most important takeaway from this example is that a shift in the aggregate demand curve to the right results in a larger real GDP and upward pressure on the price level. A change in aggregate demand to the left, on the other hand, causes a decrease in real GDP and a rise in the level of prices. As the cost of borrowing rises, an increase in real interest rates lowers the investment spending. As a result, aggregate demand is decreased along with aggregate spending.
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an analysis provided by the company's management is included in the multiple choice question. management discussion and analysis. notes to the financial statements. summary of significant accounting policies.
The correct response is a. Management discussion and analysis. In management discussion and analysis, an analysis presented by the company's management is included.
The act of attentively examining something to get greater knowledge or a deeper comprehension of it, or your conclusion after doing so: Our financial experts objectively reviewed the investment plan's performance. I found Clare's assessment of the situation to be interesting. When anything is broken down into its component elements, analysis is the act of asking WHY and HOW questions to arrive at your own conclusions. Analysis is the process of breaking down a complex topic or object into simpler parts in order to better understand it. The four types of analytics are descriptive, diagnostic, prescriptive, and predictive.
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