the economy of rockville produces four goods, blocks, clocks, locks, and socks. suppose that you are given the following data for the years 2021 and 2022. assume that 2021 is the base year.2021 2022price quantity price quantityblocks $2.00 10 blocks $4.00 5clocks $20.00 5 clocks $10.00 20locks $5.00 20 locks $6.00 25socks $1.00 30 socks $2.00 40a. Find nominal GDP for 2015.b. Find nominal GDP for 2016.c. What is the rate of growth (percent change) in nominal GDP?d. Find real GDP for 2015.e. Find real GDP for 2016.f. What is the rate of growth (percent change) in real GDP?g. Find the GDP price deflators for 2015 and 2016.

Answers

Answer 1

Nominal GDP for the year 2015 = $250. Nominal GDP for the year 2016 = $450. The rate of growth (percent change) in nominal GDP is 80%. The rate of growth (percent change) in real GDP is 130%. GDP price deflators for 2015 and 2016 are 100 and 78.26, respectively.

a. Nominal GDP for 2015:

Calculation of nominal GDP for the year 2015:

Nominal GDP = (Price of Blocks × Quantity of Blocks) + (Price of Clocks × Quantity of Clocks) + (Price of Locks × Quantity of Locks) + (Price of Socks × Quantity of Socks)

Nominal GDP for the year 2015 = (2 × 10) + (20 × 5) + (5 × 20) + (1 × 30)

Nominal GDP for the year 2015 = 20 + 100 + 100 + 30

Nominal GDP for the year 2015 = $250

b. Nominal GDP for 2016:

Calculation of nominal GDP for the year 2016:

Nominal GDP = (Price of Blocks × Quantity of Blocks) + (Price of Clocks × Quantity of Clocks) + (Price of Locks × Quantity of Locks) + (Price of Socks × Quantity of Socks)

Nominal GDP for the year 2016 = (4 × 5) + (10 × 20) + (6 × 25) + (2 × 40)

Nominal GDP for the year 2016 = 20 + 200 + 150 + 80

Nominal GDP for the year 2016 = $450

c. The rate of growth (percent change) in nominal GDP:

Rate of growth (percent change) in nominal GDP = ((Nominal GDP for 2016 - Nominal GDP for 2015) ÷ Nominal GDP for 2015)) × 100Rate of growth (percent change) in nominal GDP = ((450 - 250) ÷ 250) × 100Rate of growth (percent change) in nominal GDP = 80%

Ans: The rate of growth (percent change) in nominal GDP is 80%.

d. Real GDP for 2015:Calculation of real GDP for the year 2015:

Real GDP = (Price of Blocks in the Base Year × Quantity of Blocks) + (Price of Clocks in the Base Year × Quantity of Clocks) + (Price of Locks in the Base Year × Quantity of Locks) + (Price of Socks in the Base Year × Quantity of Socks)

Real GDP for the year 2015 = (2 × 10) + (20 × 5) + (5 × 20) + (1 × 30)Real GDP for the year 2015 = 20 + 100 + 100 + 30

Real GDP for the year 2015 = $250

e. Real GDP for 2016:

Calculation of real GDP for the year 2016:

Real GDP = (Price of Blocks in the Base Year × Quantity of Blocks) + (Price of Clocks in the Base Year × Quantity of Clocks) + (Price of Locks in the Base Year × Quantity of Locks) + (Price of Socks in the Base Year × Quantity of Socks)

Real GDP for the year 2016 = (2 × 5) + (20 × 20) + (5 × 25) + (1 × 40)

Real GDP for the year 2016 = 10 + 400 + 125 + 40

Real GDP for the year 2016 = $575

f. The rate of growth (percent change) in real GDP:

Rate of growth (percent change) in real GDP = ((Real GDP for 2016 - Real GDP for 2015) ÷ Real GDP for 2015)) × 100Rate of growth (percent change) in real GDP = ((575 - 250) ÷ 250) × 100

Rate of growth (percent change) in real GDP = 130%

Ans: The rate of growth (percent change) in real GDP is 130%.

g. GDP price deflators for 2015 and 2016:

GDP deflator for 2015 = (Nominal GDP for 2015 ÷ Real GDP for 2015) × 100GDP deflator for 2015 = (250 ÷ 250) × 100

GDP deflator for 2015 = 100GDP deflator for 2016 = (Nominal GDP for 2016 ÷ Real GDP for 2016) × 100

GDP deflator for 2016 = (450 ÷ 575) × 100

GDP deflator for 2016 = 78.26

Ans: GDP price deflators for 2015 and 2016 are 100 and 78.26, respectively.

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Related Questions

what does the term money neutrality mean? changes in the money supply impact everyone in an economy in a similar way. changes in the money supply have no real effects on the economy in the long run. changes in the money supply and the price level are inversely related and proportional, meaning that a 10% increase in the money supply decreases prices by exactly 10%. because the bank of canada is relatively free from oversight, it can take actions that are unpopular if they are in the best interest of the country.

Answers

The term "money neutrality" refers to the concept that changes in the money supply have no real effects on the economy in the long run.

Definition of money neutrality

Money neutrality refers to the idea that changes in the money supply have no real effects on the economy in the long run. This means that the economy is not significantly impacted by changes in the amount of money circulating within it.

This means that although changes in the money supply might temporarily impact prices or output levels, in the end, they will not significantly alter the overall performance of the economy. In other words, a 10% increase in the money supply does not necessarily translate to a 10% decrease in prices.

The Bank of Canada, like other central banks, may take actions that are unpopular if they believe these actions are in the best interest of the country, but the principle of money neutrality suggests that these actions will ultimately have limited long-term impact on the economy.

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According to the "Negotiating Family Relationships" website you visited, if you and your siblings receive your allowance according to the amount of chores completed, your family is practicing the ___________ Model of Human relationships a. Equality Matching b. Authority Ranking c. Market Pricing d. Communal Sharing Please select the best answer from the choices provided A B C D.

Answers

The type of human relationship which a family practises if it gives allowances based on the amount of chores completed is known as:

C. Market pricing

What is Market Pricing?

This refers to the type of strategy which is based off on the valuation which is given based on the competitive strategy and the value of the product is evaluated in relation to others.

With this in mind, we can see that based on the given description of the family and the allowances received which  is based on the amount of chores completed, this is known as market pricing model of human relationships.

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Which problem is more likely to affect a partnership than a corporation?
O A. It is overly expensive and complicated to get started.
O B. Shareholders may remove the owners from the company.
O C. There are too many legal regulations controlling the business.
O D. The business may end if one owner chooses to leave.

Answers

Answer:

D.The buisness may end...

Explanation:

Have an amazing day :)

The answer is Option D.

What is the main difference between a corporation and a partnership?

In a partnership, co-owners report their share of the business's income and losses on their personal tax returns. A corporation, which is formed by filing articles of incorporation, is a legally separate business entity owned by shareholders. An elected board and board-appointed officers manage the corporation.

What is a disadvantage of a corporation compared to a partnership?

Corporations cost more to set up and run than a sole proprietorship or partnership. For example, there are the initial formation fees, filing fees, and annual state fees. These costs are partially offset by lower insurance costs. Formal organization and corporate formalities.

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generally, how many months of bank statements do lenders use for bank statement loans?

Answers

Lenders typically examine bank statements from the last two months during the home loan application process.

Money market, checking, and savings accounts that hold funds that you will use to qualify for the loan must be shown on your bank statements.

What is a loan for a 12-month bank statement?

In order to determine a borrower's net income, which is the sum of money earned after taxes and business-related expenses have been paid, lenders who offer bank statement loan programs look at the borrower's bank statements over a period of 12 to 24 months.

What do bank statement underwriters look for?

These bank statements will be examined by the lender to confirm the information provided on your loan application about your income and expenses. They will also look at the information about your account balance to make sure you have enough liquid assets to cover your down payment and closing costs.

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Public policy is a basic set of goals, plans and actions undertaken by
a government
incentives and penalties a religious authority
common laws

Answers

Public policy is a basic set of goals, plans, and actions undertaken by a government to address various issues and improve the well-being of its citizens.

In the process of implementing public policy, governments often use incentives and penalties to encourage desired behaviors and discourage undesired ones. These incentives and penalties can be in the form of financial rewards, subsidies, tax breaks, or fines and sanctions.

Religious authorities may also influence public policy, particularly in countries where religion plays a significant role in the government or the lives of the citizens. They can propose policies that align with their beliefs and values, which may be incorporated into the government's policy-making process.

Common laws, on the other hand, are a system of laws that are based on customs, traditions, and precedent. These laws can also impact public policy, as they may provide a legal framework for the government to build upon when creating new policies.

In summary, public policy is the set of goals, plans, and actions taken by a government, which can be influenced by incentives and penalties, religious authorities, and common laws.

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Match each word with the phrase that best defines it.
service
a measure of how financially worthy a
person is to receive loans
credit score
the act of stealing and using someone
else's personal information
identity theft
a condition of financial failure
bankruptcy
a resource that is provided to meet
consumers' needs

Answers

Answer:

Credit score  - A measure of how financially worthy a  person is to receive loans .

Identity theft  - the act of stealing and using someone  else's personal information .

Bankruptcy  - A condition of financial failure

Consumers' needs - A resource that is provided to meet .

Explanation:

The Credit score is described as the numerical expression which represents an individual's creditworthiness. This number is determined by the evaluation of past credit files of the person which makes him/her worthy or not worthy to seek loans from the bank.

Identity theft is a term employed for describing an illegal or fraudulent use of a person's identity or personal information for seeking financial or other advantages(obtaining credit, medical services, file taxes, etc.) associated with that person.

Bankruptcy is demonstrated as the term used for 'legal declaration or recognition of the condition of insolvency of an individual or financial organization.' In this situation, the person or organization fails to repay the debts.

Consumer needs are described as the resources(product or service) that the consumers require to meet a particular need. In economic terms, it is the customer's desire for a resource or good for a specific benefit or advantage. For example: a fan would help the consumer to eliminate the feeling of heat.

Which type of savings plan offers the lowest interest rate?


A.
Checking account

B.
Money market account

C.
Savings account

D.
Certificate of deposit

Answers

A. Checking Account

How does decreasing your credit card balance affect your income statement? (1 point)

It increases your monthly expenses, increasing the amount you spend each month.
It increases your monthly expenses, giving you more money to spend on other things.
It decreases your monthly expenses, increasing the amount you spend each month.
It decreases your monthly expenses, giving you more money to spend on other things.

Answers

The way in which decreasing your credit card balance would affect your income statement is that: D. It decreases your monthly expenses, giving you more money to spend on other things.

What is a credit card?

A credit card simply refers to a small, rectangular flat card that is issued by a financial institution to its eligible customers, in order to avail them an opportunity to purchase goods and services on credit, especially based on the agreement that this amount of money would be paid back at a specific time and interest rate.

Generally speaking, a credit card balance can be defined as the total amount of money that an individual owe his or her credit card company. This ultimately implies that, a decrease in credit card balance would cause a decrease in monthly expenses, which avails the credit card holder more money to spend on other things.

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Answer: 1. a loan from one entity electronically matched to another entity without a financial institution in the middle

2. a payday loan

3. an unsecured installment loan

4. It decreases your monthly expenses, giving you more money to spend on other things.

5. Determine or estimate the current value of everything you own.

6. Their ability to repay a loan

7. your prior record of paying your bills and paying off your debts

8. your age and gender

9. You can request one online or over the phone.

10. He should contact the credit bureau that issued the credit report, the companies that issued the seven fraudulent cards, his local police, and the federal government at identitytheft.gov.

11. -the lender that provided the incorrect information

-the credit bureau that prepared the report

12. right away

13. She won a $20 billion settlement for California homeowners whose homes were inappropriately foreclosed on.

14. The longer the term, the more you will pay in interest.

15. It will cost you less money overall.

16. A store credit card generally comes with a higher interest rate.

17. You will save money if you pay the balance off quickly.

18. -Clarifying the confusing language found on credit card applications.

-Forcing lending companies to disclose interest rates and hidden fees.

19. It banned credit card companies from raising interest rates after missed payments.

20. -a fixed annual charge for the use of a credit card

-a charge if the minimum payment is not paid by the due date

21. paying off the balance before interest can accrue

22. $30

23. Determine which card has the higher interest rate and pay the extra money to that card first.

Explanation: All these answers are correct!

The manufacturing overhead budget at Franklyn Corporation is based on budgeted direct labor-hours. The direct labor budget indicates that 3,300 direct labor-hours will be required in January. The variable overhead rate is $8 per direct labor-hour. The company's budgeted fixed manufacturing overhead is $43,170 per month, which includes depreciation of $3,590. All other fixed manufacturing overhead costs represent current cash flows. The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be:

Answers

Answer:

$65,980

Explanation:

Calculation for what The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be

Using this formula

Cash disbursements for manufacturing overhead= Variable + Fixed

Let plug in the formula

Cash disbursements for manufacturing overhead=(3,300*$8) + ($43,170 - $3,590)

Cash disbursements for manufacturing overhead= $26,400 + $39,580

Cash disbursements for manufacturing overhead= $65,980

Therefore The January cash disbursements for manufacturing overhead on the manufacturing overhead budget should be $65,980

consider an asset which has no initial cost but for which there is an expenditure of $2,000 at the end of the first year. the net cost at the end of year 2 is $4,000. with an interest rate of 5%, what is a levelized cost payment payable at the end of years 1 and 2, which has the same present value as the actual cost stream at the end of period 0.

Answers

The required details about asset is mentioned in below paragraph.

Any real or intangible asset that can be used to generate positive economic value qualifies. Assets are ownership values that can be converted into currency (although cash itself is also considered an asset). The monetary value of a company's assets is recorded on its balance sheet. It safeguards a person's or a company's money and other assets.

Assets are classified into two types: tangible assets and intangible assets. Tangible assets are classified into two types: current assets and fixed assets. Current assets include cash, inventories, and accounts receivable, whereas fixed assets include land, buildings, and equipment.

3636.36 is the correct answer

Consider an asset which has no initial cost but for which there is an expenditure of $2,000 at the end of the first year.

The net cost at the end of year 2 is $4,000.

The two payments with interest   = cashflow /(1+r)^n

= 4000/(1+0.05)^2

= 4000/(1.05)^2

= 4000/1.10

=  3636.36

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What is the difference between traditional manufacturing and a cottage
industry?
A. Manufacturing is done on a lower scale.
B. Manufactured products are better quality.
C. Manufactured items are worth more.
D. Manufacturing is done on a larger scale.
SUBMIT

Answers

Answer:

its a D

Explanation:

The difference between traditional manufacturing and a cottage industry is manufacturing is done on a larger scale. Thus, option D is correct.

What is cottage industry?

A cottage industry is a small manufacturing company run by an individual or family, usually from their house rather than a specially constructed facility. The minimal expenditure needed to launch a cottage industry serves as its defining characteristic.

They frequently concentrate on making labor-intensive goods but have a tough time competing with manufacturers of mass-produced goods who operate factories. The original cottage industries in the U.S. and Europe were light manufacturing businesses that performed subcontracted work in shoemaking, minor metal machine components, textile or garment production, or stitching. These small-scale companies frequently used raw materials provided by the contract supplier to make final goods.

Therefore, we can conclude that option D is correct.

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Mei-Ling is a college junior majoring in finance and economics. She is interested in applying for internships and plans to attend her next college job fair. She wants to purchase a business suit to wear to the job fair and at subsequent interviews. Mei-Ling wants to look her best and wear appropriate attire. Since making a first impression is important, Mei-Ling will likely take considerable time to visit stores and try on multiple suits before she makes her purchase decision. Mei-Ling has never purchased a suit before, and this is the first time she will buy an expensive item without her mother assisting in the decision. Which type of decision-making will Mei-Ling utilize in purchasing her suit

Answers

The type of decision-making that Mei-Ling utilize in purchasing her suit is an extensive decision making.

What is extensive decision making?

It should be noted that an extensive decision making implies a long process of deliberation when making a decision regarding purchases.

In this case, the type of decision-making that Mei-Ling utilize in purchasing her suit is an extensive decision making.

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Mellon Manufacturing has after-tax income of $4.0 million. It also has 1.2 million shares of stock outstanding. What is the firm's earnings per share?

Answers

The firm's earnings per share is $3.33.

Given that Mellon Manufacturing has after-tax income of $4.0 million. It also has 1.2 million shares of stock outstanding. To calculate Mellon Manufacturing's earnings per share (EPS), you need to follow the given steps:

The formula to calculate earnings per share is: Earnings per share = (Net income - Preferred dividends) / Weighted average number of shares outstanding.

In this case, there is no information about preferred dividends. Hence, we can simply divide the net income by the number of shares outstanding to get the earnings per share. Earnings per share = Net income / Number of shares outstanding = $4.0 million / 1.2 million= $3.33.

So, the earnings per share for Mellon Manufacturing is $3.33.

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write the
5 imp of professsion​

Answers

1. Willingness to learn
2. Positive attitude
3. Conflict resolution
4. Helpfulness
5. Integrity

there’s more!!

In which quadrant or quadrants of the strategic grid, throughout the timeline of the case, would
you place Bharti Airtel’s Information Technology? Motivate your answer

Answers

The factory, strategic, support, and turnaround quadrants make up the strategic impact grid. The IT Strategic Grid is a structure comprised of four quadrants, each of which refers to one of four possible functions for information systems and IT inside an organisation.

One of the four divisions on a Cartesian plane is a graph quadrant. There is a certain set of negative and positive values for x and y in each of the four sections. An ordered pair is plotted on graph quadrants. Ordered pairs have values for x and y. In an ordered pair, X is the first value and y is the second. The strategic grid enables analysis of the placement of the IT department within the organisational structure and of IT management.

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Which of the following is one of the primary responsibilities of the federal judicial branch?​

Answers

Answer:

to judge if laws made by the legislative branch are constitutional

Explanation:

Answer:

to judge the constitutionality of laws

Explanation:

Your client is preparing the annual financial statements for the period ending 12/31/2020. The company has a large 10-year loan coming due on January 31, 2021 which your client believes will require reclassification of that long-term debt to current liability status. The client is concerned because reclassification of the loan as a current liability will negatively impact the company’s current ratio to the extent that the company will be in violation of a covenant embedded in another long-term note. The company has an agreement with its lender to refinance the 10-year loan as another long-term note on January 31, 2021. The client wonders if the company should refinance earlier to avoid reclassification at year-end. You don’t believe it is necessary to refinance before year-end to avoid the reclassification of the debt to current status. Explain why to the client.

Answers

In accounting, current liabilities are those obligations of an enterprise that are expected to be settled in cash or with other current assets, either in the next operating period or in the following year.

What does this entail?Long-term debt is classified as a long-term liability. A long-term loan due within 12 months is reclassified as a current liability on the balance sheet when it is due for payment within the next 12 months from the balance sheet date. The company has an agreement with its lender to refinance the 10-year loan as another long-term note on January 31, 2021, so it will not be necessary to refinance before year-end to avoid the reclassification of the debt to current status.A company can enter into debt covenants with its lenders as part of a loan agreement. Debt covenants are constraints imposed by lenders to limit the borrower's financial activities and safeguard the lender's investment. The majority of debt covenants revolve around the company's financial ratios and cash flows. Because the firm's current ratio is calculated by dividing the current assets by the current liabilities, and if the long-term debt is reclassified as a current liability, the company's current ratio may be negatively affected.

It might, therefore, breach a loan covenant that restricts the company's current ratio from falling below a particular threshold.

However, the debt covenant problem is temporary, and it will disappear once the debt is refinanced as a long-term loan on January 31, 2021, which is only a month away.

As a result, the company should not refinance the loan earlier to avoid the reclassification of the debt to current status.

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Which of the following types of information is required to be included in a corporation's articles of incorporation (also known as its corporate charter)? (select all that apply) Select one or more:
a. the types of shares to be issued
b. information regarding its board of directors
c. the nature of the corporation's primary business activities

Answers

a. The types of shares to be issued

b. Information regarding its board of directors

c. The nature of the corporation's primary business activities

All of the above types of information are typically required to be included in a corporation's articles of incorporation. The articles of incorporation serve as a legal document that establishes the existence of the corporation and outlines its basic structure and operations. The types of shares to be issued specify the different classes or types of stock that the corporation is authorized to issue. Information regarding the board of directors identifies the individuals who will be responsible for managing the corporation's affairs. The nature of the corporation's primary business activities provides a description of the industry or sectors in which the corporation will operate. These details are necessary to establish the legal and operational framework of the corporation.

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examples of credit risk.​

Answers

Answer:Some examples are poor or falling cash flow from operations (which is often needed to make the interest and principal payments), rising interest rates (if the bonds are floating-rate notes, rising interest rates increase the required interest payments), or changes in the nature of the marketplace that adversely affect

Explanation:

Discuss 15 ways of using the theory of comparative advantage of solving the economic crisis in Ghana

Answers

Encouraging businesses to specialize in goods and services where they have a comparative advantage, leads to increased efficiency and competitiveness. Identifying the sectors in which Ghana has a comparative advantage and focusing on developing these industries through investment and infrastructure development.

Promoting exports of goods and services that Ghana has a comparative advantage in, to increase foreign exchange earnings. Encouraging foreign investment in sectors where Ghana has a comparative advantage.

Improving the education and skill levels of the workforce to increase their comparative advantage in the global market. Promoting entrepreneurship in sectors where Ghana has a comparative advantage.

Encouraging research and development to increase innovation and comparative advantage. Strengthening the legal and regulatory framework to attract foreign investment and promote business growth.

Improving the efficiency and productivity of businesses to increase their comparative advantage. Diversifying the economy to reduce dependence on a single sector and increase comparative advantage in multiple sectors. Improving transportation and communication infrastructure to increase the competitiveness of businesses. Encouraging the development of small and medium enterprises to increase competitiveness and comparative advantage.

Promoting collaboration and partnerships between businesses to increase their comparative advantage. Encouraging the development of new technologies to increase efficiency and comparative advantage. Fostering a business-friendly environment to increase investment, competitiveness, and comparative advantage.

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GRUBHUB PERKS GIVE YOU DEALS ON THE FOOD YOU LOVE
THE KIND OF DEALS THAT MAKE YOU B O O G I E
DO DO DO DO TU TU TU TU
DO DO TU TUG UT UTURUWEUG
DOVRIOGJGHIJRG
DO
DO
DO
GET THE FOOD YOU LOVE i cant even finish it

Answers

ARNT YOU KOOOOOOL!we live to hear itttt

Answer:

Grubhub perks give you deals on the food you love.

The kind of deals that make you boogie.

[music]

Purple guy: *bites borger and dances*

Sushi guys: *appear and eat the sushi*

Sallad girl: *eats salad and stands up*

Milkshake girl: *does the splits and sluprs milkshake*

Everyone: *dances all at once*

camera moves to purple guy and shows him dancing

[music stops] camera changes to house and kid looks at purple guy

purple guy: points at kid

kid: says huh and blinks

[music starts again]

Kid: *dancing*

Get the food you love with perks *doorbell rings* from Grubhub!

Grub what you love

Explanation:

Where is the row selector located in Datasheet view?

above the top row of data
below the last row of data
to the left of the leftmost data
to the right of the rightmost data

Answers

Answer:

to the left of the leftmost data

Explanation:

A database management system (DBMS) can be defined as a collection of software applications that typically enables computer users to create, store, modify, retrieve and manage data or informations in a database. Generally, it allows computer users to efficiently retrieve and manage their data with an appropriate level of security.

A Datasheet view is simply the rows and columns of data in a table that are being displayed in database software application such as Microsoft Access and Excel.

In DBMS, rows are numbered numerically as 1, 2, 3, 4, 5, etc. from top to bottom while columns are labeled alphabetically as A, B, C, D, E, etc. from left to right. Thus, a row is the horizontal arrangement of cell while column is the vertical arrangement of cell in a spreadsheet (table of cells).

Generally, the row selector is located to the left of the leftmost data in Datasheet view.

Answer:

c

Explanation:

Which of the following statements is FALSE? (4.) O A) In practice, most acquirers pay a substantial acquisition premium, which is the percentage difference between the acquisition price and the premerger price of the target firm. OB) When a bid is announced, the target shareholders can enjoy a gain of 16% on average in their stock price. O C) On a takeover announcement, the target share price does not often rise to the offer price because there is uncertainty in the completion of the deal. OD) A bidder is very likely to acquire a target company for less than its current market value.

Answers

The statement "A bidder is very likely to acquire a target company for less than its current market value." is false. .In mergers and acquisitions, bidders usually pay a premium above the target company's current market value, and it is unlikely for them to acquire the target company for less than its market value. The correct option is D.

The false statement is:

(D) A bidder is very likely to acquire a target company for less than its current market value.

In the context of mergers and acquisitions (M&A), it is not accurate to say that a bidder is very likely to acquire a target company for less than its current market value.

In fact, the opposite is often true. When a bidder makes an acquisition offer, they typically offer a premium to the current market value of the target company.

Statement (A) is true. In many cases, acquirers pay a substantial acquisition premium, which represents the difference between the acquisition price and the premerger price of the target firm.

This premium is offered to entice the target shareholders to agree to the merger or acquisition.

Statement (B) is true. When a bid is announced, it is not uncommon for the target shareholders to experience a gain in their stock price.

This gain is often referred to as the "announcement effect" and is a result of the market's expectation of a potential takeover and the associated premium being paid to the target shareholders.

Statement (C) is true. On a takeover announcement, the target share price does not always rise to the offer price because there is uncertainty involved in the completion of the deal.

Factors such as regulatory approvals, shareholder approvals, and other contingencies can introduce uncertainty and result in the target share price not reaching the offer price immediately.

Therefore, statement (D) is the false statement because bidders typically pay a premium to acquire a target company, rather than acquiring it for less than its current market value.

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a motivational speach before final exams​

Answers

Explanation:

Honestly, you got this! Don't stress yourself too much! You are capable of AMAZING things! I am positive you will do great on this exam! Never stop working hard, but don't forget to reward yourself! You can do anything you set your mind to!

I don't know if this helped but GOOD LUCK!!

Regarding the notification of a broker-dealer's financial condition to customers, a brokerage firm must send semi-annual statements which include the firm's:

Answers

A brokerage firm is required to send semi-annual statements which include the firm's net capital, aggregate indebtedness, excess net capital, and financial statement.  

1. Net capital: This figure represents the brokerage firm's liquid assets, which are available to meet its financial obligations. Net capital is a key measure of a firm's financial health, as it ensures the firm can cover its liabilities.

2. Aggregate indebtedness: This value represents the total amount of debt that the brokerage firm owes to its creditors. It is crucial for customers to know the firm's indebtedness, as it can impact the firm's ability to continue its operations.

3. Excess net capital: This is the difference between the firm's net capital and the minimum net capital required by regulatory authorities. Excess net capital indicates the financial cushion that the firm has in place to cover unforeseen expenses or downturns in the market.

4. Financial statement: The semi-annual statement must also include a comprehensive financial statement that outlines the firm's assets, liabilities, and equity. This helps customers understand the overall financial condition of the brokerage firm.

In summary, brokerage firms are required to send semi-annual statements to their customers, providing them with key information on the firm's financial condition. These statements must include the firm's net capital, aggregate indebtedness, excess net capital, and a detailed financial statement.

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_____ allows industries, organizations, and companies to approach business decisions from different perspectives. Arbitration Ergonomics Tolerance Workforce diversity

Answers

Answer:

Workforce diversity

Explanation:

Workforce diversity refers to similarities and differences between employers and employees in terms of their race, religion, gender, perspectives and opinions.

Diversity is important for every industry, organization, and company since people have different perspective and views, they approach business problems differently, leading to different solutions. Diversity leads to increase profits, creativity, wide range of skills e.t.c.

Discuss at least five (5) ways in which response rates might be
improved.

Answers

Response rates can be improved by following ways

1. Including a cover letter A cover letter is a brief, personalized message that introduces the survey to respondents. This should be concise, yet informative and it should be able to engage the respondents.

2. Offer incentives Incentives are rewards for survey participation that encourage respondents to take your survey. Incentives might include a gift card, coupon, or prize.

3. Make it easy to participate: The survey should be designed in such a way that it becomes easy for the respondent to participate in the survey. The questions should be simple and should not require too much thinking or effort.

4. Choose an appropriate time: Timing plays an important role in getting a good response. It is better to avoid weekends or holidays and consider the time zone of your target audience when selecting the date and time to send your survey.

5. Follow-up on non-respondents: Non-respondents are people who have not responded to your survey request. A follow-up email or phone call can remind them to take the survey and encourage them to participate. This should be done in a friendly manner without being pushy.

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Three roads lead into a stadium's parking areas. Each road has four lanes (two in each direction) with a capacity of 1,000 vehicles/lane/hour. If 10,000 vehicles are expected for a game, how long will it take for all of them to enter the parking areas?

Answers

Answer:

Option A

Explanation:

The complete question is

Three roads lead into a stadium's parking areas. Each road has four lanes (two in each direction) with a capacity of 1,000 vehicles/lane/hour. If 10,000 vehicles are expected for a game, how long will it take for all of them to enter the parking areas?

a) 2 hours

b) 1 hour

c) 1 hour and 40 minutes

d) 90 minutes

Solution

There are four lanes.

Capacity of one lane is equal to 1,000 vehicles/lane/hour.

Let us say that each lane will provide access to equal number of vehicles

Thus, each lane will allow 10,000/4 = 2500 vehicles per hour

Time taken by 2500 vehicles on road to reach parking is equal to 2.5 hours.

The nearest answer to this option A i.e two hours

In your own words, describe each management style listed and its impact on students. Then answer the following questions.
Management Style
Authoritarian Style
Description
Impact on students
Permissive Style
Authoritative Style

Someone please help asap it’s (principals of education)

Answers

A top-down approach and total control and decision-making by the authority figure are characteristics of the authoritarian management style. Clear expectations and a regulated environment may be well received by some pupils as it instills a sense of order and discipline.

Lack of structure and regulations, as well as little control or leadership intervention, define the permissive management style. Some kids might flourish in a setting that allows for freedom and autonomy since it encourages creativity, independence, and the ability to express oneself.

Between authoritarian and permissive management approaches, the authoritative style strikes a balance. While allowing for flexibility and student interaction, this teaching method encourages a feeling of order, accountability, and respect for the law.

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25 point multiple choice

Ava works in a college admissions office. She is involved in reading applications and matching students to the criteria set out by the school for acceptance. If Ava decides that the student qualifies to attend the college, she notifies them. Which pathway in the Education and Training Cluster does Ava’s career fall into?

A. Teaching and Training B. Administration and Administrative C. Professional Support Services D. Science & Mathematics

Answers

It will be Option C, " Professional support and Services ".

Proof:-

• She is only reading applications that might be related to complaints or admissions, So , Option A and D is incorrect.

• She is not in the field of anything related to teaching, therefore, Option B is also incorrect.

Now Option C is only remaining. Therefore, Option C is your answer.

Hope it helps you...

(Answered by Benjemin)

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