a. To calculate the present value (PV) of the output, we need to know the expected future cash flows and the appropriate discount rate. However, the question does not provide information on the expected cash flows associated with the 10,000 tons of copper production. Without this information, it is not possible to calculate the PV.
b-1. The expected price of copper at the end of the year can be calculated using the beta of copper and the expected return of the market. However, the question does not provide information about the expected return of the market or the risk-free rate, which are necessary to calculate the expected price. Without these inputs, it is not possible to determine the expected price of copper.
b-2. The certainty-equivalent price is the guaranteed price that an individual would be willing to accept instead of taking a risk on uncertain outcomes. In this case, the question does not provide information on the individual's risk preference or the relevant risk-free rate. Without this information, it is not possible to calculate the certainty-equivalent price.
Without the necessary information on expected cash flows, market returns, risk-free rate, and risk preference, it is not possible to provide a specific answer to parts a, b-1, and b-2 of the question.
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Imagine that Art’s Flower Shop has blossomed into a large, sophisticated corporation, that advertises in the yellow pages and also spends thousands each year in its online advertising. Imagine also that the local government has required advertising services to buy a license, to raise money for the city.
Answer:
1)B. that the printer's conduct was gross negligence
2)D. No, because Art's is the party trying to enforce the contract
Explanation:
Imagine that Art’s Flower Shop has blossomed into a large, sophisticated corporation, that advertises in the yellow pages and also spends thousands each year in its online advertising. Imagine also that the local government has required advertising services to buy a license, to raise money for the city.
1)In order to win its case, Art's will have to prove __________
A. that its business suffered hugely when the yellow pages ad was omitted
B. that the printer's conduct was gross negligence
C. that flowers are important to the public welfare
2)If the yellow page printer does not have an advertising license, can it argue that it is not liable because it had no contract at all with Art's? ______________.
A. Yes, because it had no license
B. No, because the license is merely to raise money for the city
C. Yes, unless it had submitted an application for license and the application was pending
D. No, because Art's is the party trying to enforce the contract
D. No, because Art's is the party trying to enforce the contract
We are informed about an Art’s Flower Shop that has blossomed into a large, sophisticated corporation, that advertises in the yellow pages and also spends thousands each year in its online advertising. Imagine also that the local government has required advertising services to buy a license, to raise money for the city.
1) In order to win its case, Art's will have to prove that the printer's conduct was gross negligence.
gross negligence is when something, legal obligation, someone, lack maintainance, care. Or there is voluntary disregard. Therefore, if he want to win the case he has to prove that the printer's conduct was gross negligence.
2)If the yellow page printer does not have an advertising license, can it argue that it is not liable because it had no contract at all with Art's?
There is no argument that can be won here because, the enforcement of the contract is from the Art itself.
During which part of the Product Life Cycle would a company use a profit-oriented pricing strategy?
The lifespan of a product depicts how long it remains on the market, from the moment it is first introduced to consumers until it is phased out and taken off the shelves.
What is the maturity stage of the product life cycle?Sales declined during the mature period, a sign that the market has started to become saturated. During this phase of the product life cycle, the price also starts to become competitive. The profit margins become slimmer as a result.
In most life-cycle situations, profits normally reach their greatest level during the early growth stages, but sales often reach their peak during the mature stages.
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The demand schedule for chicken feet, a dim sum delicacy served at some Chinese restaurants, is shown in the table. Although some people find the texture strange, others have developed a taste for it. Price of chicken Quantity of chicken feet demanded Quantity of chicken feet demanded feet (per pound) $3.00 $2.50 $1.25 $1.00 $0.50 (millions of pounds) in 2008 3.0 3.2 3.6 (millions of pounds) in 2018 9.2 9.9 10.3 12.2 15.0 5.7 How many more chicken feet were demanded in 2018, at a price of $2.50 a pound, than in 2008? Based on the demand schedule, you concl ude 9.2 million pounds the demand curve shifted to the right. 0 the demand curve shifted to the left. O there was movement along the demand curve to the left O there was movement along the demand curve to the right.
6.7 million lbs the demand curve shifted to the right. Based on the demand schedule.
The demand schedule for chicken feet served at chinese restaurants ,at the price of millions of pounds given in the question. 6.7 millions of pounds were demanded in 2018.Based on the schedule.
A demand schedule is a table that shows the quantity demanded of a good or service at different price levels. A demand schedule can be graphed as a continuous demand curve on a chart where the Y-axis represents price and the X-axis represents quantity.An example of this in everyday life could be frozen pizzas. If the price of a frozen pizza drops just 25%, you might buy three times as much as you normally would on your next grocery trip.
There are two types of Demand Schedules: Individual Demand Schedule. Market Demand Schedule.
Demand schedule is important because economists and marketers use the market demand schedule to help set prices, determine how much of a given product to put on the market and make other decisions about supply and sales.
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During the first few months of operating a new business, the cash flow is usually:
positive
unknown
estimated
negative
along a linear demand curve that is neither perfectly inelastic nor perfectly elastic, price elasticity of demand is
ranging from 0 to infinity. The price elasticity of demand lies along a linear demand curve that is neither fully elastic nor perfectly inelastic, and ranges from 0 to infinity.
The quantity demanded's response to a change in price is measured by price elasticity of demand. Demand is said to be elastic if the amount required changes significantly in reaction to a minor change in price, and the price elasticity of demand curve is larger than 1. Demand is said to be inelastic if the quantity demanded only slightly changes in response to a price change, and the price elasticity of demand is less than 1. Demand is deemed to be perfectly inelastic and the price elasticity of demand is equal to zero if a change in price has no impact on the quantity demanded.
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What does the forgetting curve say?
The forgetting curve postulates that memory retention will deteriorate over time.
Let us start by looking at how the forgetting curve evolved. In the late 19th century, the German psychologist Hermann Ebbinghaus tested his memory throughout a range of time periods. Ebbinghaus is well-known for his "forgetting curve," which he developed after compiling all the data from his spaced learning studies and suggests that people tend to continually halve their memory of recently learned knowledge in a matter of weeks or days unless they actively review the learned material. The forgetting curve was first defined in 1885 by German psychologist Hermann Ebbinghaus in his book Memory. Ebbinghaus was the first psychologist to thoroughly look at memory and learning.
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Target Market: Corporate international business travelers
Product:
● Price:
● Place:
●
Promotion:
Why?
international business travelers for corporations Product.
Briefing:-Your target demographic may be singles, families, couples, business travelers, or luxury travelers, depending on the services you provide. The sort of travel and travel experiences being given will also affect the target market for a travel agency.
What exactly is a global target market?The demographic that you wish to offer your goods or services to is known as your target market. Target markets in eCommerce are broad since you have the world at your fingertips. You need to choose which of the more than 220 available nations have the target market that will be the most lucrative for you.
Which four target markets are there?Target markets are often divided into four categories: geographic (based on location), demographic (based on population), psychographic (based on lifestyle and socioeconomics), and behavioral.
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Wasif would like to add some flair to text on a slide in his presentation. Which option can he use to create more dynamic graphics for his text?
fonts
WordArt
Format Painter
SmartArt
Answer:
I believe its WordArt but if not it is fonts.
Explanation:
Answer:
The answer is "WordArt".
Explanation:
WordArt is used in the Presentation. It is a tool that includes new versions of Word. It is normally used to make an organized presentation. It converts the text in dynamic graphics like 3D effects, outlines, and colors. other options are not correct that can be described as:
Fonts option provides simple text or fonts. Format Painter is a tool that copies format and pastes into another slide. SmartArt is a tool that provides shapes and It also provides an effect on these shapes.
Arantxa corporation has outstanding 20,000 shares of $5 par value common stock. on august 1, 2014, arantxa reacquired 200 shares at $80 per share.
The journal entries to record these transactions of Arantxa corporation using the cost method are given below.
How do you define journal entries?The journal entry can encompass numerous recordings, every of that's both a debit or a credit. The act of maintaining or making statistics of any transactions both financial or non-financial is referred to as journal entries.
The missing information in the question can be given below:
On November 1, Arantxa reissued the 200 shares at $70 per share. Arantxa had no previous treasury stock transactions. Prepare Arantxa's journal entries to record these transactions using the cost method.
As per the given information,
The journal entries for the given information are as follows:
Treasury A/c Dr. $16,000
To Cash $16,000
Cash $14000
Retained Earnings $2,000
To Treasury stock $16,000
Hence, the journal entries recording the given transaction relating to treasury stock are explained above.
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The journal entry for the shares reacquisition on August 1, 2014, of Arantxa Corporation is as follows:
Journal Entry:August 1, 2014:
Debit Treasury Stock $1,000
Debit Additional Paid-in Capital - Common Stock $15,000
Credit Cash $16,000
To record the re-acquisition of shares at $80 per share.Transaction Analysis:August 1, 2014:
Treasury Stock $1,000 Additional Paid-in Capital - Common Stock $15,000 Cash $16,000 ($80 x 200)
Question Completion:Show the journal entries for the given information above.
Thus, the journal entry above shows that the shares were reacquired at a premium of $75 ($80 - $5) per share.
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Cost-volume-profit analysis is the study of the effects of.
Cost-volume-profit analysis simply means the study of the effects of change in costs and volume on the profit of a company.
What is Cost-volume-profit analysis?Cost-volume-profit analysis simply means a way to find out how changes in cost will affect the profit.
Cost-volume-profit analysis is the study of the effects of change in costs and volume on the profit of a company.
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answered. problem2answered. problem3answered. problem4this problem is current being displayed. problem5 problem6 question content areaif the following adjusting entry is omitted, what effect will this have on net income? depreciation expense 5,100 accumulated depreciation 5,100 a.net income will be overstated by $10,200. b.net income will be understated by $5,100. c.net income will be overstated by $5,100. d.it will have no effect on net income.
If the adjusting entry for depreciation expense of $5,100 is omitted, it will result in net income being overstated by $5,100.
If the adjusting entry for depreciation expense of $5,100 is omitted, it will have the following effect on net income:
- Net income will be overstated by $5,100.
Here's the step-by-step explanation:
1. Depreciation expense represents the allocation of the cost of a long-term asset over its useful life.
2. When the adjusting entry for depreciation expense is recorded, it reduces net income by $5,100, reflecting the expense associated with the asset's usage.
3. Accumulated depreciation is a contra-asset account that accumulates the total depreciation expense recorded over time.
4. If the adjusting entry for depreciation expense is omitted, net income will not be reduced by $5,100.
5. This means that net income will be higher than it should be, overstated by $5,100.
6. Overstating net income can lead to inaccurate financial statements and misrepresentation of the company's profitability.
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The omission of the adjusting entry for depreciation expense and accumulated depreciation will have an effect on net income.
Explanation stepwise:
1. Depreciation expense is a non-cash expense that represents the allocation of the cost of long-term assets over their useful lives.
2. Accumulated depreciation is the cumulative total of depreciation expense recorded since the acquisition of the assets.
3. By omitting the adjusting entry, both the depreciation expense and accumulated depreciation will not be recognized in the financial statements.
4. Since depreciation expense is subtracted from revenues to calculate net income, omitting this entry will result in an understatement of expenses and an overstatement of net income.
5. The effect on net income will be equal to the amount of the depreciation expense that was omitted, which is $5,100.
6. Therefore, the correct answer is option B - net income will be understated by $5,100.
In conclusion, if the adjusting entry for depreciation expense and accumulated depreciation is omitted, it will result in an understatement of net income by $5,100.
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Answer the next question on the basis of the information in the following table. In the table, investment is in billions.(1)Interest (2) Investment (3) Investment Rate (billions of (billions of dollars) dollars) 4% $100 $805 90 706 80 607 70 508 60 401. Suppose the Fed reduces the interest rate from 6% to 4%. As a result of this decrease in the interest rate, using column (2) investment will _____.a. increase by $10 billionb. decrease by $10 billionc. increase by $20 billiond. decrease by $20 billion2. Suppose the Fed increases the interest rate from 5 to 6%. As a result of this increase in the interest rate, using column (2) investment will ____.a. increase by $10 billionb. decrease by $10 billionc. increase by $20 billiond. decrease by $20 billion3. In the table, investment is in billions. Suppose the Fed reduces the interest rate from 6% to 5% at a time when the investment demand declines from that shown by column (2) to that shown by column (3). As a result of these two occurrences, investment will _____.a. increase by $10 billionb. decrease by $10 billionc. increase by $20 billiond. decrease by $20 billion
In conclusion, the rate of depreciation after 1 year, 5 years, and 10 years depends on the initial salvage value and the depreciation rate. The formula for the estimated salvage value S(t) is used. Option a is Correct.
The estimated salvage value s (in dollars) of a company airplane after t years is given by S(t) = S_0 - D_t, where S0 is the initial salvage value and D is the rate of depreciation in dollars per year.
To find the rate of depreciation after 1 year, 5 years, and 10 years, we need to know the initial salvage value S_0 and the rate of depreciation D. Without this information, The specific values for the rate of depreciation.
However, we can still analyze the formula for the estimated salvage value S(t) to gain some insight. The rate of depreciation is the coefficient of t in the formula S(t) = S_0 - D_t. Therefore, a larger rate of depreciation corresponds to a steeper downward slope of the salvage value function, meaning that the salvage value decreases more quickly over time. Conversely, a smaller rate of depreciation corresponds to a more gradual downward slope of the salvage value function, meaning that the salvage value decreases more slowly over time.
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PLEASE HELP QUICK!!!
Which of the following is an advantage of buying your home over renting?
(1 point)
O You do not have to worry about the housing market in your area.
O The amount you pay each month is set by the terms of your mortgage.
O If something breaks, you have to fix it or pay to have it fixed.
O Your mortgage payments will far exceed the value of your home.
Answer:
The amount you pay each month is set by the terms of your mortgage.
Explanation:
connexus
PLEASE HELP AND HURRY!!!
Just tell me A B C or D for these 3 questions... Thanks so much
Answer:
C A D
Explanation:
Medicare is a government program funded by tax dollars to:
A-provide health insurance to children in a recount
B-provide health insurance to working adults
C-provide hospital insurance for those over 65
Answer: C
Explanation: Trust me
Find the interest on the following loan.
$1050 at 5.5% for 9 months
Answer: The answer would be $57.75
Explanation:
1050 x 0.055(the interest rate) = 57.75
Can I have brainliest? It would help me out, if not thanks anyways! Hope this helped and have a nice day!
. how can increases in government spending crowd out investment spending? an increase in government spending increases the use of automatic stabilizers, which reduces private investment spending. causes firms to worry about inflation, which reduces private investment spending. lowers the real interest rate, which reduces private investment spending. increases the real interest rate, which reduces private investment spending.
Need more loanable money, which would raise interest rates and limit investment spending.
What is a good definition of government?The individuals who make up any governing body of such a political group or unit such as the officials who make up the political unit's governing body and helps up the organization as that of an operating agency. This executive arm of the United States government, capitalized.
What are the 4 types of government?Monarchy, democracy, oligarchy, and some other forms of government. Every form of government takes power and exercises it in a different way. Read more about the way each type of government works, including the monarchy, democracy, capitalism, authoritarianism, and totalitarianism.
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Select the correct answer. Which was a fundamental element of supply-side economics? A. Corporate tax hikes B. Marginal tax cuts C. Economic regulation D. Wage increases.
The correct answer is B. Marginal tax cuts.
Supply-side economics, also known as trickle-down economics or Reaganomics, is an economic theory that emphasizes the importance of boosting supply and production in order to stimulate economic growth.
One of the fundamental elements of supply-side economics is the implementation of marginal tax cuts. This involves reducing tax rates, particularly on businesses and high-income earners, with the belief that lower taxes will incentivize investment, entrepreneurship, and increased production. The theory suggests that by reducing the tax burden, individuals and businesses will have more disposable income and resources to invest, which in turn can lead to economic expansion and job creation.
The other options listed in the question do not align with the principles of supply-side economics. Corporate tax hikes (option A) would increase the tax burden on businesses, which is contrary to the core tenets of the theory. Economic regulation (option C) involves government intervention and control over markets, which is typically viewed as inhibiting economic growth from a supply-side perspective. Wage increases (option D) focus on the demand side of the economy and labor market dynamics, rather than the supply-side emphasis on reducing tax burdens to stimulate production.
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why were trade unions established
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Answer:
Labor unions were created in order to help the workers with work-related difficulties such as low pay, unsafe or unsanitary working conditions, long hours, and other situations. ... Sometimes the unions organized strikes in order to try to change the conditions of the workers. Early strikes were rarely successful.
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Answer:
they didn't have great work conditions
Explanation:
under the contract between kramer and sweeney, what happens if the first contract between kramer and wright does not terminate by may 20?
If the first contract between Kramer and Wright does not terminate by May 20, it would impact the contract between Kramer and Sweeney.
In the scenario where the first contract between Kramer and Wright does not terminate by the specified date of May 20, it can have implications for the subsequent contract between Kramer and Sweeney. The contract between Kramer and Sweeney may have included a condition or dependency on the termination or completion of the first contract. If that condition is not met, it could potentially delay or affect the execution of the contract between Kramer and Sweeney.
The specifics of the impact would depend on the terms and clauses outlined in the contract between Kramer and Sweeney. It is possible that the contract may have provisions for a contingency plan or alternative actions to be taken in the event of non-termination of the first contract.
These provisions could include renegotiation of terms, extension of deadlines, or even termination of the contract between Kramer and Sweeney if the non-termination of the first contract fundamentally alters the intended purpose or feasibility of the subsequent agreement.
To fully understand the consequences of the first contract not terminating by May 20 and its impact on the contract between Kramer and Sweeney, a careful review of both contracts and their specific terms would be necessary.
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the negative impact of the coronavirus as one of the socio- economic issues on businesses
Answer: reducuced workforce across all economic sectors and caused many jobs to be lost.
Explanation:
I need to borrow $20 to buy a book. My friend Mary offers to lend me $20, with the payback price increasing by $1 for each day it takes my to repay the loan. My friend Joe offers to lend me $20 as well, but with the payback price increasing by 4% for every day it takes me to repay the loan. Which is the better deal? Does the answer depend on the number of days it will take me to repay the loan? Show your work step-by-step and explain your reasoning.
The best deal for me depends on how long it will take me to repay the loan. If I can repay the loan in a short period of time, then I should go with Mary's deal. If I will need to repay the loan in a longer period of time, then I should go with Joe's deal.
Here is the step-by-step calculation of the two deals:
** Mary's deal:
The payback price increases by $1 for each day it takes to repay the loan.
So, if I repay the loan in 1 day, the payback price will be $20 + $1 = $21.
If I repay the loan in 2 days, the payback price will be $20 + $2 = $22.
And so on.
** Joe's deal:
The payback price increases by 4% for every day it takes to repay the loan.
So, if I repay the loan in 1 day, the payback price will be $20 * 1.04 = $20.80.
If I repay the loan in 2 days, the payback price will be $20 * 1.04^2 = $21.64.
And so on.
** Which deal is better?
The answer depends on the number of days it will take me to repay the loan.
If I repay the loan in a short period of time, then Mary's deal is better. This is because the payback price increases by a fixed amount each day, so the total payback price will be lower.
However, if I repay the loan in a longer period of time, then Joe's deal is better. This is because the payback price increases by a percentage each day, so the total payback price will be higher.
** Does the answer depend on the number of days it will take me to repay the loan?
Yes, the answer depends on the number of days it will take me to repay the loan. If I repay the loan in a short period of time, then Mary's deal is better. However, if I repay the loan in a longer period of time, then Joe's deal is better.
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Assume Chobot First National Bank is fully loaned up and that the reserve requirement is 20%. Mikey deposits $1,000 into the bank.
(A)Calculate the impact of this deposit on the M1 measure of the money supply. (Calculate means show your work.)
(B)Explain two limitations of the money creation process.
(C)Suppose the reserve requirement is lowered to 10% instead of 20%. Explain how the reduction in the reserve requirement affects the total money supply and how much money the bank can create using the new reserve requirement, if Mikey deposits $1,000 into the bank.
The impact of Mikey's deposit on M1 measure of the money supply is an increase of $5,000.
What is money supply?Money supply refers to the total amount of money that is circulating within an economy at a given time. It includes all forms of money such as physical currency, bank deposits, and other types of liquid assets that can be easily converted into cash. The central bank of a country, such as the Federal Reserve in the United States, has the authority to regulate the money supply by controlling the amount of money that banks can lend or by buying or selling government securities. The level of money supply in an economy can have a significant impact on inflation rates, interest rates, and economic growth. Understanding the money supply is important for policymakers, economists, and investors alike as it can affect investment decisions and economic stability.
Mikey's $1,000 deposit increases bank's reserves by $1,000 * 20% = $200, leaving $800 in excess reserves.
Therefore, total increase in money supply is $1,000 (Mikey's deposit) + $4,000 (new loans created) = $5,000.
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please help me with this match the column if i get perfect answer then i will give brainliest
Answer:
what do you need help on
Explanation:
can you guys make me instagram famous? plz i need help
Answer:
sis what
Explanation:
make a public account post good pics ✋put a lot of hastagstag ppltas it
place rock unit events in order.
3. (Note: The surface is not a layer. It is ground-level, complete with happy little trees.) \( \mathrm{A} 3 \) Homework \( - \) Unanswered Place the rock units events in order from oldest on bottom t
To place the rock unit events in order from oldest to youngest, we need to consider the principle of superposition, which states that in an undisturbed sequence of rock layers.
1. Homework: This event is the most recent one as it is mentioned last in the given list.2. A3: This event is mentioned before Homework, suggesting that it occurred earlier than Homework.3. Unanswered: This event is mentioned before A3, indicating that it happened before A3.Therefore, the correct order from oldest to youngest is: Unanswered → A3 → Homework.we need to consider the principle of superposition, which states that in an undisturbed sequence of rock layers, the youngest rocks are on top, while the oldest rocks are at the bottom.
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conducting a postaudit blank . multiple select question. provides an opportunity to cut losses on floundering projects provides an opportunity to reinforce and possibly expand successful projects determines which capital project should be selected for investment
The payback technique calculates how long it will take to "pay back" or make up the initial expenditure.
What does payback period mean?The time it would take for an investor to recoup the initial investment in a project is known as the payback period. It's closely related to the investment's break-even point.Payback period is a quick and simple way to evaluate investment opportunities and risk, but payback period is expressed in years rather than units like a break-even analysis is. The investment would be more appealing if the payback period were shorter because it would take less time to break even.Businesses use the payback period to determine the rate of return on any new asset or technological upgrade, not just in the financial sector. For instance, to determine whether installing solar panels is a cost-effective move, a small business owner could compute the payback period.To Learn more About payback technique refer to:
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true or false? you should have at least 3 buyer personas.
False. The number of buyer personas a business should have can vary depending on the nature of the business, target audience, and marketing strategies.
While it's common for businesses to develop multiple buyer personas to better understand and cater to different segments of their audience, there is no specific requirement to have at least three buyer personas. The number of buyer personas can be determined based on the diversity and distinct characteristics of the target market. It's essential to focus on quality rather than quantity when creating buyer personas, ensuring they accurately represent the different customer segments and their specific needs, behaviors, and preferences.
Buyer personas are fictional representations of ideal customers based on market research and data analysis. They help businesses understand their target audience and make informed decisions regarding marketing strategies, product development, and customer engagement.
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according to keynes, the level of economic activity is predominantly determined by the level of
Answer:
Aggregate demand
Explanation:
I hope this helps.
URGENT: Creating and using a checklist makes home maintenance and repair projects more _______. (10 letters)
Answer:
productive
Explanation: