A severe, sustained increase in oil prices would most likely cause the short-run aggregate supply (SRAS) curve to decrease, the long-run aggregate supply (LRAS) curve to decrease, and the production possibilities curve (PPC) to shift inward.
A severe and sustained increase in oil prices would cause the short-run aggregate supply curve to decrease due to the increased cost of production. The long-run aggregate supply curve would also decrease due to the potential decrease in capital accumulation and productivity.
The production possibilities curve would likely shift outward in the long run as the economy adjusts to the higher oil prices and becomes more efficient. In the short run, however, there may be a contraction in output as firms struggle to adjust to the increased costs, leading to a decrease in the economy's overall productive capacity.
To know more about supply curves:
https://brainly.com/question/6075885
#SPJ4
Economics!!
Which development would most likely reduce the standard of living in the
United States?
A. Wages increase for most American workers.
B. The U.S. government returns to the gold standard.
C. It becomes easier for U.S. citizens to get health care.
D. U.S. factories begin to
produce far fewer goods.
It's D. U.S. factories begin to
produce far fewer goods.
TRUE/FALSE. a weakness of return on investment is that it tends to emphasize short-run benefits over long-run benefits.
Answer:
True
Explanation:
Enjoy your day!
1.2.
State which environment unions are found in.
Assume a company is preparing a budget for its first two months of operations. During the first and second months it expects credit sales of $42,000 and $78,000, respectively. The company expects to collect 35% of its credit sales in the month of the sale, 55% in the following month, and 10% is deemed uncollectible. What amount of cash collections from credit sales would the company include in its cash budget for the second month? Multiple Choice O $58,200 O $27,300 $42,900 O $50,400
The amount of cash collections from credit sales the company would include in its cash budget for the second month is $50,400. The correct option is 50400.
To calculate the cash collections from credit sales for the second month, we need to consider the collections from both the first and second months' credit sales. Here's the step-by-step calculation:
1. Collections from the first month's credit sales ($42,000):
- 55% collected in the following month (second month): 0.55 * $42,000 = $23,100
2. Collections from the second month's credit sales ($78,000):
- 35% collected in the month of the sale (second month): 0.35 * $78,000 = $27,300
3. Add the collections from both months:
- $23,100 (from first month) + $27,300 (from second month) = $50,400
Hence, the correct option is 50400.
For more about cash collections:
https://brainly.com/question/29991295
#SPJ11
What type of transactions should be recorded in the Payment, Fee, Withdrawal column
of your check register?
levi is a marketing manager for trailblazer customer outfitters. he is currently finalizing the corporate marketing strategy and is reviewing factors outside of the organization. he wants to ensure the marketing strategy is adjusted to reflect these factors. levi is most likely conducting a(n)
Levi is a marketing manager for trailblazer customer outfitters. He is currently finalizing the corporate marketing strategy and is reviewing factors outside of the organization. Levi is most likely conducting strategic planning.
Marketing is the set of activities, institutions, and processes for creating, communicating, delivering, and exchanging offers of value to customers, clients, partners, and society at large.
The main purpose of marketing is to get people interested in a company's products and services. This is done through market analysis, research, examining the interests of the company's ideal customers, and engaging them through messages that are educational and helpful to the company's target audience.
Learn more about Marketing here
https://brainly.com/question/25754149
#SPJ4
Financial statements are prepared in the following order: a. income statement, balance sheet, owners’ equity. b. income statement, statement of owners’ equity, balance sheet. c. statement of owners’ equity, balance sheet, income statement. d. balance sheet, income statement, statement of owners’ equity.
Financial statements are prepared in the following order - income statement, statement of owner's equity, balance sheet, statement of cash flows
For setting up the fiscal reports, the arrangement is displayed beneath:
1. Income statement: It records costs and incomes for a specific timeframe
2. Explanation of investors' equity: It records the net gain, profit, and extra capital, if any and figures out the completion equilibrium of held income and investor value
3. Balance sheet: It revealed resources and liabilities that mirrors the monetary position and execution of the organization
4. Cash flow statement: It reports inflow and surge of money through working, money management and supporting exercises
Know more on the order of Financial statements - https://brainly.com/question/14497804
#SPJ4
As of May 31, Covid records Net Income of $5,000. Assuming Covid has no other equity transactions prior to May, Prepare Covid's Statement of Shareholder's Equity as of May 31.
As of May 31, Covid's Statement of Shareholder's Equity shows a balance of $5,000 in retained earnings, with no transactions in common stock. This reflects the net income earned during the period.
To prepare Covid's Statement of Shareholder's Equity as of May 31, follow these steps:
1. Identify the beginning balance of common stock and retained earnings. Since there are no prior equity transactions, we can assume these balances are zero.
2. Record the net income for the period. Covid's net income is $5,000.
3. Calculate the ending balance of retained earnings by adding the net income to the beginning balance of retained earnings: $0 + $5,000 = $5,000.
4. Summarize the information in the Statement of Shareholder's Equity format.
Covid's Statement of Shareholder's Equity as of May 31:
| Item | Amount |
| Beginning balance - Common Stock| $0
| Beginning balance - Retained Earnings| $0
| Net Income | $5,000
| Ending balance - Retained Earnings| $5,000
As of May 31, Covid's Statement of Shareholder's Equity shows a balance of $5,000 in retained earnings, with no transactions in common stock. This reflects the net income earned during the period.
To know more about Shareholder's Equity visit:
brainly.com/question/30778887
#SPJ11
Statement of Shareholders' Equity for Covid as of May 31: Retained Earnings: $5,000.
To prepare Covid's Statement of Shareholders' Equity as of May 31, we need to consider the net income of $5,000 and any other equity transactions that might have occurred during that period. Since you mentioned that Covid has no other equity transactions prior to May, we can focus on the net income.
Statement of Shareholders' Equity
For Covid
As of May 31
Retained Earnings:
Beginning Balance: $0
Add: Net Income: $5,000
Total Retained Earnings: $5,000
Shareholders' Equity:
Total Shareholders' Equity: $5,000
In this case, since there are no other equity transactions mentioned, the net income of $5,000 flows directly to the retained earnings section of the statement. The total shareholders' equity is then equal to the total retained earnings.
To know more about Shareholder's Equity visit:
brainly.com/question/30778887
#SPJ4
collier company tested 200 products for 100 hours each. during this time, it experienced 12 breakdowns. compute the number of failures per hour. what is the mtbf?
If collier company tested 200 products for 100 hours each. during this time. The number of failures per hour is 0.0006 failures/hour and the MTBF is 1,666.67 hours/failure.
What is the Number of failures per hour?a. Total number of hours = Number of products tested ×Number of hours each product was tested
Total number of hours = 200 * 100
Total number of hours = 20,000
Number of failures per hour = Total number of failures / Total number of hours
Number of failures per hour = 12 / 20,000
Number of failures per hour≈ 0.0006 failures/hour
b. Now let find the Mean Time Between Failures (MTBF)
MTBF = Total number of hours / Number of failures
MTBF = 20,000 / 12
MTBF≈ 1,666.67 hours/failure
Therefore the number of failures per hour is 0.0006 failures/hour, and the MTBF is 1,666.67 hours/failure.
Learn more about Number of failures per hour here:https://brainly.com/question/15185476
#SPJ4
The yield offered on government bonds in different countries in the eurozone ______ always the same, due to the presence of _______ risk
The yield offered on government bonds in different countries in the eurozone is not always the same, due to the presence of credit risk.
What is government bonds?Government bonds are considered to be one of the safest investment options as they are issued by sovereign governments, which are generally perceived to be creditworthy and financially stable.
The yield on a bond refers to the return that an investor can expect to receive from holding the bond until its maturity. It is affected by various factors such as the prevailing interest rates, inflation expectations, and the creditworthiness of the issuer.
In the case of government bonds, credit risk refers to the likelihood of the government defaulting on its debt obligations. Even though the eurozone countries share a common currency and monetary policy, the credit risk associated with each government can differ based on their individual economic and political situations.
Learn more about government bonds here:https://brainly.com/question/11963861
#SPJ1
why should a marketers be cautious about including videos that play automatically when people navigate to the marketer's website
Answer:
D
Explanation:
Just imagine yourself being in a work place or in a library, where you have other person's around you. And you're browsing through a site, then suddenly a video pops up and started playing automatically at the highest level. Can you imagine the kind of situation that would be created at that instance? Very awkward.
So therefore, marketer should apply caution when it comes to including video that plays automatically. This will avoid creating such kind of awkward situation for users at work.
Answer: D
Explanation: Just took the quiz
HURRY!! Sarah is working at a daycare center. She just thought of a way to streamline the way parents drop off and pick up their children. When she mentions her idea to the director, he asks her to present it at the next staff meeting. What aspect of a good professional relationship is the director demonstrating?
Group of answer choices
Trust
Respect
Boundaries
Diversity
Answer:
Explanation:
Trust
How do individuals & business benefit from
economic freedom?
Answer:
The benefit are
1. free markets,
2. rule of law,
3. protection of private property,
and
4. open trade—
that boost prosperity and reduce costs
Explanation:
Please mark me as brainlist answer
place the following in the order of their progression in the regulatory cycle: i. activism ii. awareness iii. latency iv. regulation/litigation group of answer choices iii, ii, i, iv ii, iii, iv, i
The correct order of progression in the regulatory cycle is ii, iii, i, iv. So, the answer isIn the regulatory cycle, the progression typically follows a specific order: awareness, latency, activism, and regulation/litigation. Option b is correct.
The cycle begins with awareness, which refers to the recognition and understanding of a particular issue or problem by relevant stakeholders. It involves gathering information, conducting research, and identifying the need for regulatory action.
After awareness, there is a period of latency, during which the issue remains relatively dormant or receives limited attention. This phase may involve discussions, debates, or data gathering to further assess the situation.
As awareness grows and concerns intensify, it leads to activism. Activism involves individuals or groups taking action to advocate for change, raise public awareness, and push for regulatory measures. This stage often includes public campaigns, lobbying efforts, and calls for action.
Finally, as a response to the activism and demands for regulation, the fourth stage is regulation/litigation. It involves the development and implementation of specific rules, policies, laws, or regulations to address the identified issue. In some cases, litigation may be initiated to resolve legal disputes or enforce compliance with regulations.
The progression through these stages represents the natural evolution of addressing societal or industry challenges through the regulatory process. awareness, latency, activism, and regulation/litigation. Option b is correct.
Learn more about Evolution: https://brainly.com/question/21202780
#SPJ11
give 5 numbers smaller than -2 and 5 numbers bigger than -2
When computing the cost per equivalent unit, the weighted-average method of process costing considers Multiple Choice costs incurred during the current period less cost of beginning work in process inventory. costs incurred during the current period plus cost of ending work in process inventory costs incurred during the current period plus cost of beginning work in process inventory. costs incurred during the current period only. All of the following statements are correct when referring to process costing except Multiple Choice Units produced are indistinguishable from each other. Process costing would be appropriate for a jeweler who makes custom jewelry to order A process costing system has the same basic purposes as a job-order costing system. Costs are accumulated by department
The cost per equivalent unit, the weighted-average method of process costing considers costs incurred during the current period plus cost of beginning work in process inventory. Here is the main answer and explanation for each statement provided in the given question
When computing the cost per equivalent unit, the weighted-average method of process costing considers costs incurred during the current period plus cost of beginning work in process inventory. This is the main answer. The cost per equivalent unit, weighted average method calculates the equivalent unit cost of both completed and partially completed units during the accounting period. It uses equivalent units to calculate the total costs to be allocated to the products. The weighted-average process costing method is simple and easy to use. It calculates the average cost of work done on beginning inventory and work done during the current period.
Costs incurred during the current period less cost of beginning work in process inventory is incorrect.Costs incurred during the current period plus cost of ending work in process inventory is incorrect.Costs incurred during the current period only is incorrect. All of the following statements are correct when referring to process costing except for Process costing would be appropriate for a jeweler who makes custom jewelry to order.Units produced are indistinguishable from each other. This is because process costing accumulates the costs of products that are produced in batches. It averages the costs over all the products produced. So, the costs are being shared and divided by the number of products created and it is appropriate for products that are identical or similar. A process costing system has the same basic purposes as a job-order costing system. This statement is correct.Costs are accumulated by department. This statement is correct.
To know more about inventory visit:
https://brainly.com/question/31146932
#SPJ11
A person has $50,000 in taxable income for a year and pays a 10 percent income tax rate, equal to $5,000. Which action would reduce the amount the person paid in taxes to $1,000?
A.
Receiving a $4,000 tax deduction
B.
Receiving a $4,000 tax credit
C.
Receiving a $49,000 tax deduction
D.
Receiving a $49,000 tax credit
Taxable income is the term used to describe the basis of an income tax system and the correct option in the given situation is (B) receiving a $4,000 tax credit.
What is taxable income?The base of an income tax system is referred to as taxable income.
In other words, the amount of revenue that was subject to taxation.
In general, it comprises all or a portion of the items of income and is lessened by costs and other deductions.
Depending on the nation or system, different amounts are included as income, costs, and other deductions.
Many systems stipulate that some expenses cannot be deducted when calculating taxable income and that certain types of income are not taxable (often referred to as non-assessable income).
So, in the given situation where:
$50,000 is the taxable income
10% is the income tax rate which is $5000.
The amount paid in taxes would be $1000.
Then, the action required would be: Receiving a $4,000 tax credit
Therefore, taxable income is the term used to describe the basis of an income tax system and the correct option in the given situation is (B) receiving a $4,000 tax credit.
Know more about taxable income here:
https://brainly.com/question/1160723
#SPJ1
what tern best descibes a type of promotion in which professional salespeople use sales techniques to persuade ptential buyers
Personal selling is the term which best describes the type of promotion in which professional salespeople use sales techniques to persuade potential buyers.
Personal selling is a method of face-to-face selling of products in which the communication skills of the salesperson is what attracts the customer and persuades them to try the product. The durability, affordability and reliability of the product along with its technological advancement is generally demanded by the customer. It develops the trust on the product and the company. However, it has certain limitations such as lesser reach to people, time investment and expensive working. Also, if the customer is arrogant in their behavior, this may lower the morale of the salesperson involved.
Learn more about personal selling at:
brainly.com/question/7304387
#SPJ4
1.In the scenario where the Central Bank creates policies which increase the money supply but the aggregate demand is unchanged, is created by following what type of monetary policy?
An expansionary policy.
A contractionary policy.
A balanced policy.
2.Quantitative easing undertaken after 2008 is different from traditional central bank intervention in that it focused on
purchasing long-term government securities to encourage long-term capital projects and ease mortgage conditions.
purchasing "toxic assets" and restoring credit to the private sector.
raising private bank’s revenues and therefore encouraging investment.
An expansionary policy. In this scenario, the Central Bank is increasing the money supply, which is a characteristic of expansionary monetary policy.
The purpose of expansionary policy is to stimulate economic growth by encouraging spending and investment through lower interest rates and increased liquidity in the economy. However, if the aggregate demand remains unchanged, it suggests that the increased money supply is not translating into increased spending or investment by consumers and businesses. Quantitative easing undertaken after 2008 focused on purchasing "toxic assets" and restoring credit to the private sector.
Unlike traditional central bank intervention, which primarily involves adjusting interest rates, quantitative easing (QE) implemented after the 2008 financial crisis involved the central bank purchasing "toxic assets" from financial institutions. These assets included mortgage-backed securities and other troubled assets. The goal was to provide liquidity to financial institutions, restore confidence in the banking system, and ease credit conditions for businesses and consumers. By purchasing these assets, the central bank aimed to stimulate lending, stabilize financial markets, and encourage economic recovery.
Learn more about Central Bank here:
https://brainly.com/question/33035403
#SPJ11
which wheel settings change when you mount the subframe incorrectly in the transverse direction? Check all that apply
TOE
CAMBER
STEERING AXIS INCLINATION (SAI)
CASTER
The wheel settings that change when you mount the subframe incorrectly in the transverse direction is "CASTER" (Option D)
What is Caster?Caster is the process of aligning a wheel with the direction of travel, which can be performed by caster displacement or caster angle. As with the front wheels of a shopping cart, caster displacement shifts the steering axis forward of the axis of wheel rotation. The steering axis is moved away from the vertical by the caster angle.
The caster angle, also known as the castor angle, is the angular displacement of the steering axis from the vertical axis of a steered wheel of a car, motorbike, bicycle, another vehicle, or watercraft as seen from the side.
Positive caster enhances the responsiveness of your vehicle while negotiating bends and the stability of your car when going at greater speeds. The sole disadvantage of a positive caster is that it increases the amount of effort required to steer your car.
Turning plates and a digital or bubble camber/caster gauge are the two most common methods for measuring caster angles. Measuring the upper and lower wishbone mounting points or the MacPherson strut angle.
Learn more about Wheel Settings:
https://brainly.com/question/11372596
#SPJ1
What could this sign use on the left side
under the concept of establishment of responsibility, how many people should have the ultimate responsibility?
Answer:
1
Explanation:
because we smart,im from forest hill
Answer:
1 because he or she can lead a group
The following picture is best described as
a(n)...
A. Organism
B. Community
C. Population
D. Ecosystem
Answer:
organism
Explanation:
a gree fish is an organism
Competition among sellers (producers) lowers costs and prices, and encourages producers to produce more of what consumers are willing and able to buy.
A. Explain how the above (free market competition) would be an advantage for you, the consumer.
B. Describe how an oligopoly OR monopoly could inhibit competition among businesses.
Answer:
A. Explain how the above (free market competition) would be an advantage for you, the consumer.
Free market competition is advantageous to the consumer because it promotes the supply of many goods and services, at a lower price than other market structures like oligopoly or monopoly.
In the free market, there are many firms, none have market power, and they produce goods and services that have many substitutes. This means that if a firm raises the price of a good, consumers simply flock to another firm that offers a similar product. This mechanism obliges firms to offer their goods at the market-clearing price, which is the best price for the consumer.
B. Describe how an oligopoly OR monopoly could inhibit competition among businesses.
Oligopolies ocurr when there are only a few firms in the market, and monopoly ocurrs when there is only one firm. These two market structures allow firms to charge higher prices than the market-clearing price, and to supply less quantity than the market-clearing quantity.
Besides, oligpolies and monopolies are characterized by high barriers to entry and exit, which keep potential competing firms out of market, inhibiting competition.
The _____ is a voice for small business.
SCORE
SBDC
SBA
PLEASE HURRY 15 POINTS AND BRAINLIST TO FIRST PERSON TO ANSWER CORRECTLY
Answer:
I believe it's the SBDC but I'm not 100% sure tho
Answer:
SBA
Explanation:
its also called NFIB i think
Select the correct answer.
The speed of a ship is given by , where d is the distance the ship travels in 3 hours. If the ship travels 48 miles in 3 hours, what is the speed of the ship?
A.
12 miles per hour
B.
16 miles per hour
C.
45 miles per hour
D.
51 miles per hour
The speed of the ship is B. 16 miles per hour
How to calculate the speedRecall that
Speed= Distance/Time
Given that the distance= 48 miles
Time= 3 hours
The speed would be 48/3= 16 miles per hour
Therefore, option B is correct.
Read more about speed and distance here:
https://brainly.com/question/2854969
#SPJ1
Social complementary assets are investments made by a firm to optimize its return on information technology assets.
Social complementary assets are an essential part of a firm's overall investment strategy in optimizing returns on information technology assets.
These assets include investments in the firm's organizational structure, culture, and human capital. By investing in these assets, firms can create a supportive environment that enables effective utilization of information technology assets. For instance, a firm with a strong culture of innovation and collaboration is more likely to adopt new technologies quickly and efficiently. Similarly, firms that invest in employee training and development programs are more likely to create a skilled workforce that can make the most of their technology investments. Social complementary assets, therefore, play a crucial role in enhancing the effectiveness and productivity of information technology assets. In conclusion, firms must recognize the importance of social complementary assets and invest in them alongside their technology assets to optimize their overall returns.
To know more about Social complementary assets visit:
https://brainly.com/question/31097459
#SPJ11
Pls help it’s due tomorrow!
Answer:
A. Contact Information for Refrences.
Explanation:
Hi there! To me it makes the most sense because it has nothing to do with a carrer plan. Sure, refrences are benefical but they do not determine what can help you grow and succed in the workforce.
I hope this helps! Good luck! :)
What does CPM stand for in business?
CPM can stand for several different things in business depending on the context, the most common meanings are: Cost per thousand, Corporate performance management, Critical path method, Cost per mile.
Cost per thousand (M is the Roman numeral for thousand): CPM is often used in advertising to refer to the cost of showing an ad to 1,000 people or impressions. For example, if an ad has a CPM of $10, that means it costs $10 to show the ad to 1,000 people.
Corporate performance management: CPM is a type of software used by businesses to help manage their financial and operational performance. CPM software typically includes tools for budgeting, forecasting, planning, and reporting.
Critical path method: CPM is a project management technique used to identify the longest sequence of tasks in a project and to determine the minimum amount of time required to complete the project. Cost per mile.
Learn more about critical path method here:
https://brainly.com/question/24227953
#SPJ4
FIRST ANSWER WILL BE NAMED BRAINLIEST
Which action would effectively and appropriately address a budget deficit?
A. reduce income
B. reduce expenses
C. apply for bankruptcy
D. apply for new credit
Answer:
It is letter B
Explanation:
Reducing expenses would effectively and appropriately address a budget deficit. Thus option B is correct.
What is the budget?A budget is a financial plan that projects future earnings and costs. A budget, put simply, forecasts future finances in addition to anticipated revenues and expenditures. Calculating the company's earnings and costs for a set period of time is the procedure for creating a budget.
Increasing tax rates while decreasing government expenditures are the two apparent ways to minimize a budget deficit. the reduction of government spending and/or the raising of taxes, which results in either a rise in the primary surplus or a decrease in the budget deficit. greater taxes and less funding by the government. If public spending is lower than tax receipts, a budget surplus results.
Therefore, option B is the correct option.
Learn more about budget, Here:
https://brainly.com/question/15683430
#SPJ2