The value of Dollar Bank's excess reserves can be calculated by subtracting the required reserves from the total reserves. The required reserve ratio is given as 10%, which means the bank is required to hold 10% of its deposits as reserves.
To find the required reserves, we multiply the deposits by the required reserve ratio: $500,000 * 10% = $50,000. This is the amount of reserves that Dollar Bank is required to hold.
The excess reserves can be calculated by subtracting the required reserves from the total reserves: $100,000 - $50,000 = $50,000. This means that Dollar Bank has $50,000 in excess reserves, which are reserves held in addition to the required amount.
Excess reserves provide banks with the ability to make loans and expand their balance sheet. They can use these reserves to lend to borrowers, earn interest income, and stimulate economic activity. Having excess reserves gives banks the flexibility to meet the demand for loans and contribute to the overall functioning of the financial system.
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identify two methods by which data maybe collected from supplier, customer, government
Answer:
Questionnaires : Interviews
Explanation:
There are several methods of collecting data from suppliers, customers, or the government. Two of them are
1. Questionnaires
Questionnaires are documents that contain questions related to the subject of inquiry. The researchers formulate questions that, when answered with provide information that they are seeking. Questionnaires can be administered to the suppliers or customers by email, online or hard copies. They are among the most popular and oldest data collection techniques.
2. Interviews
In this method, a researcher engages a selected respondent on one-one conservation. They discuss the subject matter in detail. Interviews provide instant feedback and offer the interviewer a deeper understanding of the respondents' thought processes.
In the accounting equation, assets are equal to which two things?
A. Debits + equity
B. Debits + accounts
C. Liabilities + equity
D. Liabilities + accounts
Please select the best answer from the choices provided
A
B.
OOOO
С
D
Answer:
C. Liabilities + equity
Explanation:
Edg 2021 ...
Most discounted cash flow valuations involve using cash flows from an: Group of answer choices explicit forecast period and a terminal value historical period, and explicit forecast period, and a terminal value historical period and a terminal value historical period and an explicit forecast period
When it comes to discounted cash flow valuations, most of them rely on cash flows from both an explicit forecast period and a terminal value.
The explicit forecast period is typically a shorter time frame, usually spanning a few years, where the company's financial performance can be predicted with a reasonable degree of accuracy. This period allows for the calculation of cash flows, which are then discounted to their present value using a discount rate.
The terminal value, on the other hand, represents the company's future cash flows beyond the explicit forecast period. Estimating the terminal value involves using assumptions about the company's long-term growth and profitability, which can be challenging to predict accurately. This is why the terminal value is typically calculated using a more conservative approach, such as perpetuity or a multiple of earnings.
Lastly, some discounted cash flow valuations may also involve cash flows from a historical period, usually to help assess the company's past financial performance and identify any trends or patterns. However, the historical period is not typically used to determine the company's intrinsic value, as it does not reflect the company's future potential. Overall, incorporating both explicit forecast and terminal value cash flows is crucial to performing an accurate discounted cash flow valuation.
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Dentify the sentence type: places like taco bell provide affordable and convenient food for americans, but consumers need to be aware of the health consequences of eating too much fast food. simple compound complex compound-complex
Answer:
The correct answer is the option: Compound.
Explanation:
To begin with, the sentences that are compound are understood to be the ones who have at least two or more independent clauses that are joined together by a comma, semicolon or by a conjunction. Therefore that the sentence presented in the text corresponds to a compound sentence due to the fact that you can find two different clauses that are joined together by a comma and a coordinator in this case ("but") and when that happens that coordinator adds also flowness to the sentence.
1 Which one of the following is not Which one of the key roles / purposes of marketing within
business?
A To identify potential customer groups
B To inform customers about the business's product or service
C To prepare cash flow forecasts
D To understand customers and their needs
Your answer
i
on march 1, 2021, brown-ferring corporation issued $103.0 million of 12% bonds, dated january 1, 2021, for $98 million (plus accrued interest). the bonds mature on december 31, 2040, and pay interest semiannually on june 30 and december 31. brown-ferring’s fiscal period is the calendar year.
In summary, Brown-Ferring Corporation issued $103.0 million of 12% bonds on March 1, 2021. These bonds mature on December 31, 2040, and pay interest twice a year on June 30 and December 31. The company's fiscal period aligns with the calendar year.
On March 1, 2021, Brown-Ferring Corporation issued $103.0 million of 12% bonds, dated January 1, 2021, for $98 million (plus accrued interest). These bonds have a maturity date of December 31, 2040, and pay interest semiannually on June 30 and December 31.
Let's break down the information provided:
1. Bond Issuance: Brown-Ferring Corporation issued bonds worth $103.0 million on March 1, 2021.
2. Bond Price: The bonds were sold for $98 million, plus any accrued interest.
3. Bond Date: The bonds are dated January 1, 2021.
4. Maturity Date: The bonds will mature on December 31, 2040.
5. Interest Payments: Interest on these bonds is paid semiannually on June 30 and December 31.
6. Interest Rate: The bonds have a fixed interest rate of 12% per year.
7. Fiscal Period: Brown-Ferring Corporation follows a calendar year for its financial reporting.
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The three elements of the marketing concept are __________.
a. Market share, customer needs, marketing mix
b. Customer needs, company goals, profits
c. Channel management, customer needs, profits
d. Planning, target market, social media marketing
Answer:
B. Customer needs, company goals, profits
Explanation:
Materials from a source text without property citing the source is an example of plagiarism -(drivers Ed).
Answer:
True
Explanation:
Plagiarism is presenting somebody's else works, words, ideas, or concepts as one's own. Plagiarism may be deliberate or unintentional. It is copy and pasting another person's work 'word for word' knowingly or unknowingly.
Plagiarism mostly occurs when one uses another person's word acknowledging or crediting the author. It means plagiarism can be avoided by properly citing the original author.
Answer:
c
Explanation:
Explain the difference between the common misconception people have about tax brackets and how they actually work
Answer:
Tax brackets misconception is that it defines how much tax will be paid by an individual but this is not true. It only determines the rate of tax which will be applied to the individual for his income.
Explanation:
The tax bracket is determined for an individual based on his salary. After the computation of taxable income tax brackets are selected and rate is applied which ever tax bracket falls correctly. The tax rate applied to the taxable incomes gives the tax amount which is to be paid by an individual.
Do broadcast journalists have to worry about editing? Group of answer choices No, they have editors to do the editing. Yes, they have to learn how to use the software too. No, they don’t have enough time to edit. Yes, they are not assigned editors to review their segments.
Answer:
the first one or second one
Explanation:
tbh the first one sounds better because most broadcasters just go unfiltered
: A Moving to another question will save this response. What is the consequence of a price floor in a competitive market? a. There is some transfer from producers to consumers b. There is dead-weight loss in the market c. Both a) and b) are true d. Neither a) nor b) is true A Moving to another question will save this response.
A price floor in a competitive market leads to both a transfer of wealth from producers to consumers and deadweight loss.
A price floor in a market with competition results in a transfer of wealth from producers to consumers as well as the incidence of deadweight loss. A price floor is a minimum price that the government or regulatory authority sets above the equilibrium price. When the price floor is greater than the equilibrium price, there is an oversupply of the good since there is more supply than demand. Deadweight loss results from this surplus, which is an indicator of market inefficiencies and a reduction in total welfare. Furthermore, producers are compelled to sell their products for more money, which results in a surplus being passed from producers to consumers. As a result, choices a) and b) are both correct.
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The âStrategy Tripodâ consists of three leading perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, which in turn affects its performance. Discuss âStrategy Tripodâ and provide relevant examples.
The âStrategy Tripodâ consists of three leading of Conditional probability perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, in turn affects its performance.
A conditional probability is the likelihood that one event will occur while another one is taking place. Let's think about events A and B.
Using the formula P(A and B), the conditional probability of A occurring when B has already happened.
P(A|B) =
P(B) data are now available for all in-store customers who purchase cameras. Let's think about two occasions
C: purchasers of camera cases
T: purchasers of tripods
P(C) = 60% = 0.60 is the likelihood that a client will purchase a camera and case.
The likelihood that a consumer will buy a tripod is P(T) = 40% = 0.40.
The chance that a consumer will buy a case and tripod is P(C= 30% = 0.30).
Probability of customers purchasing only a case without also purchasing a tripod: P (only C) = (60- 30) = 30%.
Complete question:
The âStrategy Tripodâ consists of three leading perspectives on strategy. Strategy Tripod also explains the external factors determine a firm's strategy, which in turn affects its performance. Discuss âStrategy Tripodâ and provide relevant examples?
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Stress and crisis management how do you write the essay
Answer:
Crisis management is the systematic attempt to prevent or manage organizational crises, that is, a serious emergency in which the functioning of an organization is seriously disrupted.
Crisis management encompasses methods to predict, assess, analyze and prevent emergency situations. A step prior to crisis management is to prevent technical and human failure. The response is then discussed: agreements are made about how command structures and lines of communication operate in the event of a crisis. In particular, the onset of a crisis is often chaotic and plans are drawn up for this until recovery and normalization of the situation occurs.
A change in buyer preferences in favor of the goods that labor produces will Multiple Choice increase the supply of labor. decrease the demand for labor decrease the supply of labor. increase the demand for labor. Which of the following is an asset of a family? Multiple Choice A student loan. A credit card balance A mortgage A checking account balance. In Macroland, currency held by the public is 4,000 econs, bank reserves are 400 econs, and the desired reserve/deposit ratio is 12.5 percent. If the Central Bank prints an additional 300 econs and uses this new currency to buy government bonds from the public, the money supply in Macroland will increase from econs to econs, assuming that the public does not wish to change the amount of currency it holds. Multiple Choice 7,200, 2,400 5,000; 7,400 50,000; 53,750 7,200; 9,600
The money supply in Macroland will increase from 32,400 econs to 32,700 econs. A change in buyer preferences in favor of the goods that labor produces will: Increase the demand for labor.
When buyer preferences shift towards goods that require labor for production, it leads to an increase in the demand for labor. As the demand for these goods rises, businesses will need to hire more workers to meet the increased production needs. Therefore, a change in buyer preferences in favor of goods that labor produces will result in an increased demand for labor.
An asset of a family is: A checking account balance.
Among the options provided, a checking account balance is considered an asset for a family. Assets are resources or possessions that hold value and can be used to generate future benefits or meet financial obligations. A checking account balance represents the funds held by the family in a bank account that can be accessed and used for various purposes.
If the Central Bank prints an additional 300 econs and uses this new currency to buy government bonds from the public, the money supply in Macroland will increase from econs to econs, assuming that the public does not wish to change the amount of currency it holds: 7,200; 9,600
To calculate the change in money supply, we need to consider the desired reserve/deposit ratio and the initial values of currency held by the public and bank reserves.
Given:
Currency held by the public = 4,000 econs
Bank reserves = 400 econs
Desired reserve/deposit ratio = 12.5%
First, we calculate the total deposits:
Total deposits = Currency held by the public / Desired reserve/deposit ratio
Total deposits = 4,000 econs / 0.125
Total deposits = 32,000 econs
Next, we calculate the initial money supply:
Money supply = Total deposits + Bank reserves
Money supply = 32,000 econs + 400 econs
Money supply = 32,400 econs
When the Central Bank prints an additional 300 econs and uses it to buy government bonds from the public, the new currency enters circulation and increases the money supply.
New money supply = Initial money supply + Additional currency printed
New money supply = 32,400 econs + 300 econs
New money supply = 32,700 econs
Therefore, the money supply in Macroland will increase from 32,400 econs to 32,700 econs.
In summary, a change in buyer preferences in favor of goods that labor produces increases the demand for labor. A checking account balance is considered an asset of a family. Printing additional currency and using it to buy government bonds increases the money supply in Macroland from 32,400 econs to 32,700 econs.
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Which type of investment income happens when a company
shares its profits with investors?
Answer:
B is the answer
Explanation:
i just did the quiz
Which supporting detail would best fit in a paragraph about the economy of a utopia?
It is difficult to identify a specific supporting detail for a paragraph about the economy of a utopia, as the concept of a utopia is based on the idea of a perfect or ideal society, and therefore may not have the same economic structures and systems as those found in the real world.
What is Utopia?Numerous issues, including riches, power, slavery, and the roots of injustice, are presented in Utopia. Because there is no money or private property in Utopia, there is no greed, corruption, or power battles.
However, some possible supporting details that may be relevant to a paragraph about the economy of a utopia could include:
The lack of poverty and inequality in a utopia, as all members of society have access to basic needs and resources.The abundance of resources and sustainable economic practices in a utopia, which allow for the prosperity of all members of society.The elimination of traditional forms of currency and the implementation of alternative systems of exchange in a utopia, such as resource-based economies or gift economies.The emphasis on collaboration and cooperation rather than competition in a utopia, which allows for the fair distribution of resources and the achievement of common goals.Learn more about utopia here: https://brainly.com/question/5226964
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Jeanne owns a manufacturing business. Recently, Jeanne learns of a new technology that will support her business’s production process. However, the technology is brand new as well as expensive. Jeanne has decided not to make such a big investment right away even though she can. Instead, she plans to wait for a few months or a year, get feedback about the technology from other sources, and then consider making the purchase. Which of these factors has affected Jeanne’s purchase decisions the most? A. government policies B. changing market trends C. long-term business objectives D. low-risk appetite E. lack of funds
Answer:
B
Explanation:
BB
Answer:
D
Explanation:
She is waiting, and in turn, having low risk. B (Market trends) has nothing to do with the equipment.
What specific information does the self-supporting growth rate
provide? How does this equation differ from the AFN equation?
The self-supporting growth rate is the maximum rate of growth a company can achieve while being able to finance its growth solely through internal sources.
It is the amount of retained earnings a firm can utilize while retaining its current capital structure.The self-supporting growth rate provides specific information on how much a firm can grow while relying entirely on internal funding sources. This indicates how much of the firm's profits can be used to finance expansion rather than being distributed as dividends to shareholders.
The AFN (additional funds needed) equation, on the other hand, is used to determine the amount of external funding required by the company to meet its capital budget. This formula takes into account the company's anticipated sales growth rate, asset turnover ratio, profit margin, and dividend payout ratio.
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Write a three- to five-sentence paragraph that defines economics. Based on your definition, explain why it is difficult to consider economics an exact science. You may want to consider how economists approach economics to help you explain your answer.
Answer: See explanation
Explanation:
Economics is referred to as a social science that is concerned with how goods are produced, how they're distributed and how they're consumed. Economics is the social science that studies why human beings behave the way that they do.
It is difficult to consider Economics as a science because it lacks a hypotheses that's testable. Also, there is lack of consensus and the scientific method is not followed in Economics.
1. muriel is considering leasing a car, and she is even thinking about buying it after the lease is up. she's trying to make sense of the terms of the lease before she makes her decision, but she's having a little trouble figuring it all out. the terms of the lease are as follows. terms: length of lease: 32 months msrp of the car: $26,260 purchase value of the car after lease: $14,330 down payment: $1270 security deposit: $605 acquisition fee: $765 lease factor: 0. 00073 provide muriel with some assistance by answering the following questions. 5 points: part i - 1 point; part ii - 1 point; part iii - 1 point; part iv - 1 point; part v - 1 point) part i: what is the amount of the cash due at signing
The amount of cash due at signing is $2,659.16. To calculate the cash due at signing, we need to add the down payment, security deposit, acquisition fee, and the first month's payment.
Down payment: $1,270
Security deposit: $605
Acquisition fee: $765
First month's payment: (MSRP x Lease Factor) = ($26,260 x 0.00073) = $19.16
Cash due at signing = $1,270 + $605 + $765 + $19.16 = $2,659.16
Therefore, the amount of cash due at signing is $2,659.16.
The cash due at signing is the amount of money that the lessee must pay when signing the lease agreement. In this case, Muriel's cash due at signing is $2,659.16.
This amount includes the down payment, security deposit, acquisition fee, and the first month's payment. The down payment is a portion of the total cost of the car that is paid upfront to reduce the monthly payments. The security deposit is held by the lessor to ensure that the lessee fulfills the terms of the lease agreement. The acquisition fee is charged by the lessor to cover administrative costs associated with the lease. The first month's payment is due at signing and is calculated based on the MSRP of the car and the lease factor.
Understanding the cash due at signing is important for lessees to budget appropriately and make informed decisions about leasing a car.
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True or false. A direct deposit is when you take your check straight to the bank when you receive it
Answer:
false
Explanation:
You are looking at a sales report from last month. You notice one metric is much lower than expected, so you click on that metric to get more details from last month. Being able to get additional information on the underlying details of a value is an example of using the ______ _______ feature of the sales report dashboard.
Being able to get additional information on the underlying details of a value is an example of using the drill-down feature of the sales report dashboard.
Drilldown: What is it?Business intelligence has two incredibly powerful features: drill down and drill through analysis. Although they do so in various ways, they both allow the user to view data and information in greater detail. By using the drill-down feature, the user can quickly switch from a more broad view of the data to a more focused one.
For instance, a drill-down report that displays sales revenue by state may allow the user to click on a state, select it, and view sales revenue by county or city inside that state. Drill down is a feature that enables users to delve deeper into more focused layers of the data or information being analyzed, hence the name.
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The Township of Thomasville’s General Fund has the following net resources at year end:
$69,000 of prepaid insurance
$410,000 rainy day fund approved by the township governing board with specific conditions for its use
$1,800 of supplies inventory
$60,000 state grant for snow removal
$150,000 contractual obligations for the purchase of equipment
Outstanding encumbrance of $105,000 for the purchase of furniture & fixtures (assume no contractual obligation)
Total Fund Balance is $1,010,500
What would be the total Unassigned fund balance?
Answer:
I don't know
Explanation:
:( Working on I'll update this soon
mako and nico agree to buy and develop certain real estate. the parties intend their written contract to be a final statement of the terms. it includes all the relevant and required clauses for a real estate transaction and is fully understandable by all of the parties. this writing is
The writing described in the scenario is likely a valid and enforceable contract. The fact that it includes all the relevant and required clauses for a real estate transaction and is fully understandable by all parties suggests that it meets the requirements for a legally binding contract.
Additionally, the fact that the parties intend it to be a final statement of the terms suggests that they have reached an agreement and are committed to fulfilling their obligations under the contract.
If either party fails to meet their obligations under the contract, the other party may be able to seek legal remedies, such as damages or specific performance, depending on the terms of the contract and the applicable laws.
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list five of the important accounting assumptions that have had an impact on the development of generally accepted accounting principles.
Five important accounting assumptions that impact GAAP are: Going Concern, Accrual Basis, Monetary Unit, Time Period, and Historical Cost, guiding financial reporting for consistency and accuracy.
Five important accounting assumptions that have had an impact on the development of generally accepted accounting principles (GAAP) are:
1. Going Concern Assumption: This assumption assumes that the entity will continue its operations in the foreseeable future. It allows accountants to prepare financial statements under the assumption that the company will not liquidate or go bankrupt.
2. Accrual Basis Assumption: The accrual basis assumption requires that transactions and events are recorded in the financial statements when they occur, regardless of when the cash is received or paid. It helps provide a more accurate representation of a company's financial performance and position.
3. Monetary Unit Assumption: The monetary unit assumption assumes that the financial transactions and events recorded in the financial statements are expressed in a stable currency, such as the U.S. dollar. It allows for the measurement and comparison of financial information over time and between different entities.
4. Time Period Assumption: The time period assumption assumes that the economic activity of an entity can be divided into specific time periods for financial reporting purposes. It allows for the preparation of financial statements on a regular basis, such as monthly, quarterly, or annually.
5. Historical Cost Assumption: The historical cost assumption requires that assets and liabilities are recorded at their original acquisition or production cost. This assumption provides reliability and verifiability to the financial statements, but it may not always reflect the current market value of assets and liabilities.
These accounting assumptions form the foundation of GAAP and help guide the recognition, measurement, and disclosure of financial information to ensure consistency, comparability, and relevance in financial reporting.
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trust is a major driver of ecenomic seccess in a country. if there is not a culture of trust, it makes it that much more difficult for businesses to thrive. true or false
True. Trust is indeed a major driver of economic success in a country. When there is a culture of trust, it creates a conducive environment for business transactions, investments, and economic activities to flourish.
Trust is crucial for building relationships between individuals, businesses, and institutions, leading to more efficient and effective economic interactions. It fosters cooperation, reduces transaction costs, encourages investments, and promotes stability in the business environment. Conversely, in the absence of a culture of trust, businesses face challenges in establishing and maintaining relationships, which can hinder economic growth and development. Without trust, there is a higher level of uncertainty, risk, and skepticism, making it more difficult for businesses to thrive.
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in what respect does business strategy resemble military strategy?
Business strategy and military strategy share certain similarities in their approach and objectives. Here are some ways in which they resemble each other:
Goal-oriented: Both business and military strategies aim to achieve specific goals. In business, the goal is typically long-term profitability, market dominance, or sustainable growth, while in military strategy, the goal is to secure victory and achieve military objectives.
Competitive Landscape: Both business and military strategies require a thorough understanding of the competitive landscape. They involve assessing strengths and weaknesses, analyzing competitors' strategies, and identifying opportunities for competitive advantage.
Resource Allocation: Both strategies involve allocating resources effectively. In business, this may include financial capital, human resources, and technology, while in military strategy, it includes troops, equipment, and logistical support.
Risk Management: Both strategies require managing risks and uncertainties. This involves anticipating potential obstacles, developing contingency plans, and adapting to changing circumstances.
Tactical Execution: Both strategies require effective execution of plans and the coordination of various elements. This involves making informed decisions, deploying resources efficiently, and adapting to dynamic situations.
Long-Term Perspective: Both strategies often involve long-term planning and decision-making. They require considering future implications and designing strategies that can withstand challenges and changes over time.
While there are similarities between business and military strategy, it is important to note that they operate in different contexts and have different objectives. Military strategy involves matters of life and death, while business strategy focuses on creating value and achieving sustainable success in the marketplace.
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Why is strength an internal force
Answer:
Because it comes from within the person.
Explanation:
In business, we learn about the concept of internal force and external force as two factors that could influence the outcome of a certain event.
External forces are the type of influences that come from our environment. Generally, it's not something that we can control. We have to make proper adaptation to address the external forces to prevent it from ruining our goals.
Example of External Goals : Natural disaster, Future laws made by the government, etc.
Internal forces on the other hand are the type of influences that come from within ourselves as a person. It is something that we can control and constantly thrive to improve in order to make it easier for us to achieve our goals.
Example of internal goals: Strength, Emotional stability, Motivation, etc.
Devonte is balancing his checking account. His account statement does not include a deposit of $107.00 that he made on November 1st. What is Devonte’s actual account balance?
Answer:
✓ $1,330.26
Explanation:
Answer:
$1,330.26
Explanation:
The government of Islandia, a small island nation, imports heating oil at a price of $2 per gallon and makes it available to citizens at a price of $1 per gallon. If Islandians demand curve for heating oil is given by P = 6 =Q, where P is the price per gallon in dollars and Q is the quantity in millions of gallons per year, how much economic surplus is lost as a result of the government's policy?
Economic surplus is gained rather than lost.
Economic Surplus:Economic surplus is the sum of consumer surplus and producer surplus. It is also known as welfare surplus. Producer surplus occurs when the producer sells the goods for more than the lowest price they are willing to sell for. Consumer surplus occurs when the consumer pays less than the lowest price he is willing to pay for.
P = 6 = Q
It means that consumers purchase 6 million gallons of oil for a price of $ 6 per barrel. It means they are paying $1 for 1 million barrel.
Since, price = demand, thus at a price of $2 per barrel, consumers will still effectively pay $1 for each million barrel.
Quantity consumed at $1 per barrel = 1 million barrel
Quantity consumed at $2 per barrel = 2 million barrel
Economic surplus = (1/2) ($2 - $1) * (2 - 1) = $0.5 million gallon per year
Thus, economic surplus is gained rather than lost.
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