how many hours would bruno offer angela to work (in the absence of the regulation that makes ic2 her new reservation indifference curve)? why? describe your answer conceptually and graphically, and also explain the intuition behind it.

Answers

Answer 1

Without IC2, Angela's new reservation indifference curve, Bruno would give her maximum work hours. Bruno's salary rate equals Angela's MRS. Angela's indifference curve is tangent to Bruno's budget. Angela will work till her additional hour pays off.

Bruno would give Angela as many hours as she wants without the rule that sets IC2 as her new reserve indifference curve. Bruno wants to maximise Angela's utility by giving her endless hours of labour to boost her income and happiness.

Bruno would offer Angela an endless amount of hours, shown as a vertical line in a graph. Working more and earning more would boost Angela's utility. A flat budget constraint line parallel to the horizontal axis shows that Angela can work any amount of hours. Bruno wants to maximise Angela's well-being and financial benefits, because working more hours increases her income and potential usefulness.

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Related Questions

The most common time frame individuals use when developing a budget is _____. A) Yearly B) Monthly C) Daily D) Weeklyeco​

Answers

Answer:

Monthly

Explanation:

like industrial zones that are run by business people and similar professionals. more like science schools than like amusement parks. more like holy places and national monuments than like places of leisure and entertainment. like foreign countries that are out of bounds to everybody.

Answers

The description suggests a contrast between industrial zones focused on professional activities, science schools emphasizing education, and places of significance like holy sites and national monuments, as opposed to leisure and entertainment venues or restricted foreign territories.

The description highlights the characteristics of certain places and draws comparisons to different types of locations. It suggests that the mentioned places, such as industrial zones, science schools, holy places, national monuments, and foreign countries, share common attributes. These places are characterized by a focus on professional activities, education, significance, and exclusivity.

Industrial zones are typically dedicated to business and professional activities, providing an environment conducive to productivity and economic growth. Science schools emphasize education and the pursuit of knowledge, fostering intellectual development and innovation. Holy places and national monuments hold cultural, historical, or religious significance, often serving as places of reverence and reflection. The comparison to foreign countries that are out of bounds to everybody suggests a sense of exclusivity or restricted access, possibly due to political, legal, or security reasons.

Overall, the description underscores the distinction between these types of places and others that prioritize leisure, entertainment, or unrestricted access, emphasizing their unique characteristics and purposes.

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If gas prices increase, what would happen to incomes for households and businesses?

Answers

Answer:

If gas prices continue to increase household incomes people are getting now may not be enough for the family, causing people to ask for extra hours which when giving extra hours once a person is on overtime they legally have to make at least pay and a half per hour, so if someone is making $15 an hour, once they are on overtime they make $22.50 causing businesses to put out more money. Businesses may also not be able to afford the overtime causing the worker to continue struggling with pay and either look for a higher-paying job or get a second job.

PLEASE HELP FAST!!! What is the MOST likely reason that lottery winners often end up with serious financial problems?
They make financial decisions that are not based on their emotions.
They become victims of fraud by those looking to take advantage of the wealthy.
They think over their financial decisions too thoroughly.
The weigh their long- and short-term financial goals before making any decisions.

Answers

Answer:

They become victims of fraud by those looking to take advantage of the wealthy.

Explanation:

The most likely reason that lottery winners often end up with serious financial problems is: “They become victims of fraud by those looking to take advantage of the wealthy.” Hence, Option B is correct.

What does financial problems mean?

Financial difficulty is the inability to make either short-term or long-term debt payments. Debt makes managing money more difficult and reduces one's purchasing power.

Up until all obligations are paid, financial issues become a source of worry. It is necessary to find a solution so that debts can be paid back. Students frequently struggle to pay their bills and afford their education, and many of them have poor incomes, limited financial literacy, and many more.

Families are vulnerable to the destructive effects of economic hardship and financial turmoil. Many families lose their houses, automobiles, retirement accounts, valuables, money, health insurance, and other things during hard economic times.

Therefore, Option B is correct.

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you are considering purchasing a small office building for $1,675,000. the expected first year potential gross income is $480,000 with a vacancy loss equal to 15% of the pgi. operating expenses and capital expenditures are expected to be 40% and 5% of the EGI respectively. the mortgage on the property is 75% LTV at a 6% interest rate with a 20-year term with monthly compounding.
A. what is the required equity investment (required down payment)?
B. estimate NOI, the debt service paid in a year and the before tax cash flow

Answers

A) The required equity investment (required down payment) is $418,750.

B) The estimated Net Operating Income (NOI) is $244,800, the Debt Service paid in a year is $96,000, and the Before Tax Cash Flow is $148,800.

A. To calculate the required equity investment (required down payment), we need to determine the loan-to-value (LTV) ratio and apply it to the purchase price of the property.

Loan-to-value (LTV) ratio = Mortgage Amount / Purchase Price

Given that the mortgage on the property is 75% LTV, we can calculate the mortgage amount:

Mortgage Amount = LTV ratio × Purchase Price

Mortgage Amount = 0.75 × $1,675,000

Mortgage Amount = $1,256,250

The required equity investment (required down payment) is the difference between the purchase price and the mortgage amount:

Required Equity Investment = Purchase Price - Mortgage Amount

Required Equity Investment = $1,675,000 - $1,256,250

Required Equity Investment = $418,750

Therefore, the required equity investment (required down payment) is $418,750.

B. To estimate the Net Operating Income (NOI), Debt Service, and Before Tax Cash Flow, we need to calculate various components based on the given information.

Net Operating Income (NOI):

NOI is calculated by subtracting operating expenses from the Effective Gross Income (EGI).

Vacancy Loss = 15% of Potential Gross Income (PGI)

Vacancy Loss = 0.15 × $480,000

Vacancy Loss = $72,000

Effective Gross Income (EGI) = PGI - Vacancy Loss

EGI = $480,000 - $72,000

EGI = $408,000

Operating Expenses = 40% of EGI

Operating Expenses = 0.40 × $408,000

Operating Expenses = $163,200

NOI = EGI - Operating Expenses

NOI = $408,000 - $163,200

NOI = $244,800

Debt Service:

To calculate the annual debt service, we need to determine the monthly payment and multiply it by the number of months in a year.

Loan-to-Value (LTV) = Mortgage Amount / Purchase Price

Loan Amount = LTV × Purchase Price

Loan Amount = 0.75 × $1,675,000

Loan Amount = $1,256,250

Interest Rate = 6% per year

Loan Term = 20 years (240 months)

Using a loan amortization calculator or financial software, we can determine the monthly payment on the loan. Let's assume the monthly payment is $8,000.

Debt Service = Monthly Payment × 12 months

Debt Service = $8,000 × 12

Debt Service = $96,000

Before Tax Cash Flow:

Before Tax Cash Flow is calculated by subtracting the Debt Service from the NOI.

Before Tax Cash Flow = NOI - Debt Service

Before Tax Cash Flow = $244,800 - $96,000

Before Tax Cash Flow = $148,800

Therefore, the estimated Net Operating Income (NOI) is $244,800, the Debt Service paid in a year is $96,000, and the Before Tax Cash Flow is $148,800.

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Do you think this character's leadership style is appropriate for the environment he is in?• If so, why? The nature of the work done, the characteristics of the employees, cultural factors etc.Your final evaluation and comments about the movie in terms of leadership.One or a few scenes from the movie or TV show that will serve as an example for what you are talking about.• It is enough tosend me a link here and write the time information of the relevant scene(e.g. 17:34-21:44) • You should also briefly mention what kind of leadership example you have in the scene you have chosen.

Answers

The given question asks about the leadership style of a character and its appropriateness to the work environment. However, the name of the character or the work environment hasn't been provided in the question. So, it becomes impossible to give a specific answer to the question.

However, the question mentions that a scene from a movie or TV show can be used as an example. One popular TV show is "Taarak Mehta Ka Ooltah Chashmah" (TMKOC) in which there are several characters who show different leadership styles.In TMKOC, Jethalal is the owner of a shop and he is the head of his employees. His leadership style can be described as democratic. He takes the opinions and suggestions of his employees before making any decisions. He believes that everyone should have an equal say in the decisions which will impact them. This style is appropriate for the work environment he is in as he deals with his employees and customers in a friendly way and he makes everyone feel like they are a part of a team.This can be seen in the episode where Jethalal is having problems with a customer who wants to return a defective product. The customer is being aggressive and abusive towards Jethalal's employees. .

In conclusion, Jethalal's leadership style in TMKOC is appropriate for the work environment he is in as he has a small business and his employees work closely with each other. His democratic leadership style ensures that everyone feels like they are a part of a team and their opinions and suggestions are valued.

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What is the difference between a marketing strategy and a marketing plan?

A. A marketing strategy tells where a business wants to go and the marketing plan tells how to get there.

B. There is no difference between a marketing strategy and a marketing plan.

C. A marketing strategy is rather flexible, but a marketing plan should not be revised once it has been created.

D. A marketing plan is written first and forms the basis of the marketing strategy.

Answers

Answer:

a

Explanation:

What. Can a cover letter explain that a resume cannot

Answers

Cover letters can also grant perception and clarification into touchy records that your resume cannot, such as lapses in employment, career changes and layoffs. Just hold an upbeat tone and stay fine in your explanation.

How does a cover letter range from a resume?

Resumes are like a formal record that summarizes your skills, work trip and qualifications in sections. Cover letters are a documented letter structured in paragraphs which explains in detail why you're the high-quality healthy for the job and company.

You have to always opt for sending a cover letter and resume as separate documents; however, be flexible enough to do something the situation requires. Check the employer's directions and attempt to follow them to the letter.

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Soft skills 2 sentences that will help

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Answer:

Include the terms most closely related to the job in your resume, especially in the description of your work history. Highlight Skills in Your Cover Letter: You can incorporate soft skills into your cover letter. Include one or two of the skills mentioned here, and give specific examples of instances when you demonstrated these traits at work

Explanation:

how do you find tax liability?

Answers

Answer:

Find answer in the explanation below

Explanation:

Tax liability can be defined as the total amount of taxes an individual, corporation, company, etc owes a tax authority or service at a given period of time.

The Internal Revenue Service is responsible for the taxation and collection of taxes from individuals to multinationals.

tax liability can also simply be said to be the amount in taxes that is owed the government individuals downs to multinationals.

Tax liability can be found or derived from taxable incomes. This is started by deducting taxable income - tax deductions = gross tax liability

gross tax liabilty - tax credits = tax liability.

Cheers.

Selena has been working at her first post-college job for almost a year when her company gives her a well deserved raise, resulting in a paycheck increase of $350 (after taxes), for a total of $700 extra in take-home pay every month. She makes a quick list of possible ways to use that money, along with relevant notes for each.

Answers

Here are some possible ways Selena could use the extra $700 in take-home pay:

1) Save for emergencies: Selena could set aside some of the extra money in a savings account to use in case of emergencies, such as unexpected car repairs or medical bills. This can help her feel more financially secure and prepared for the future.

2) Pay off debt: Selena could use the extra money to pay off any outstanding debts, such as credit card balances or student loans. This could help her reduce her monthly expenses and improve her credit score.

3) Invest in retirement: Selena could consider using some of the extra money to invest in a retirement account, such as a 401(k) or IRA. This can help her save for the future and potentially earn more money through compound interest over time.

4) Save for a big purchase: Selena could set aside some of the extra money to save up for a specific purchase, such as a down payment on a house or a new car.

5) Treat herself: Selena could use some of the extra money to treat herself to something she's been wanting, such as a vacation or a new piece of technology. This can help her feel more rewarded and motivated.

6) Donate to charity: Selena could choose to donate some of the extra money to a charitable organization or cause that is important to her. This can help her give back and make a positive impact on the world.

What is a benefit of investing in mutual funds?

A. Investors' fees are waived because it is an ownership investment.

B. Investors are guaranteed a minimal amount of return.

C. Investors earn interest because it is a lending investment.

D. Investors have access to a fund manager's expertise.

Answers

The benefit of investing in mutual funds is Investors earn interest because it is a lending investment.

What is mutual fund?

This is an investment, whereby investors put their earned money so that they can earn interest. The security in Mutual fund is very high, hence cause less worry investors

Hence, the benefit of investing in mutual funds is Investors earn interest because it is a lending investment.

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Clemson University Urgently needed $30 million to properly execute a student testing plan during fall of 2020. Clemson approached by a commercial paper dealer offering to sell an issue for Clemson. The dealer indicates that Clemson could sell a $30 million issue maturing in 270 days at an interest rate of 8. 5 percent per annum (deducted in advance). The fee to the dealer for selling the issue would be 1. 5% of the issue size. What was annual financing cost of Clemson to secure large-scale testing

Answers

The financing cost of Clemson to secure the investment will be $2.2875 million.

How to calculate the financing cost

From the information, we've to calculate the simple interest first. This will be:

= PRT/100

= (30 × 0.75 × 8.5)/100

= 1.9125 million

The fee is 1.25% of the issue size. This will be:

= 1.25% × $30 million

= $375000

Therefore, the financing cost will be:

= $1.9125 million + $0.375 million

= $2.2875 million

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Which time-series model below assumes that demand in the next period will be equal to the most
recent period's demand?
A) naïve approach
B) moving average approach
C) weighted moving average approach
D) exponential smoothing approach
E) trend projection

Answers

A) The time-series model below takes a naive approach and assumes that demand will be constant from one period to the next.

A time-series model is what?

One or more measured output channels without any measured inputs make up a time series. A dynamic system found to suit a particular signal or time series of data is a time series model, also known as a signal model.

Multivariate models can be created when the time series is multivariate. When modeling a time series, it is common to consider it to be the result of a system that receives a white noise signal with variance e(t) as its fictitious input. Such models' actual observed input size is zero, and their governing equation has the following form:

y(t) = He(t) (t)

Here, the signal being modeled is denoted by y(t), and the transfer function H denotes the connection between y(t) and e. (t).

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Your store is 150 ft. x 70 ft. The security cameras you are planning to purchase each cover 400 square feet. You want to
cover the whole store. How many cameras do you need?

Your store is 150 ft. x 70 ft. The security cameras you are planning to purchase each cover 400 square

Answers

Answer:

27

Explanation:

Answer:

Your store is 150 ft. x 70 ft. The security cameras you are planning to purchase each cover 400 square feet. You want to

Explanation:

omeone who likes building, designing, or creating things probably has a(n) _____. a. naturalistic learning styles b. bodily/kinesthetic learning style c. logical/mathematical learning style d. visual/spatial learning style Please select the best answer from the choices provided A B C D

Answers

Answer:

D. Visual/spatial learning style.

Explanation:

Someone* have a great day<3

Answer:

I assume D

Explanation:

A is a maybe but when it comes to buildings, It tips me off of the idea from an naturalist style,

b doesn't seem to be the answer as if " learning takes place by the students carrying out physical activities, rather than listening to a lecture or watching demonstrations."

C logical and mathicals ways is different from designs and the artistic way of building this seems to be in a career for maybe a bank teller or a teacher

an employee can be dismissed if their job surplus to requirements' outline why this state ment is false

Answers

Hiring labour is different from buying other goods and services, and the contract between the employer and the employee is incomplete. It does not cover what the employer really cares about, which is how hard and well the employee works.

1. ___________ may be used to mitigate the risk of unauthorized access in computer operations.
2. ____________ may be used to mitigate the risk of unauthorized changes to computer programs. 3. Backup copies may be used to mitigate the risk of ____________. 4. ____________ may be used to mitigate the risk of viruses in electronic commerce. 5. ____________ may be used to mitigate unauthorized access to programs.

Answers

1. Access controls may be used to mitigate the risk of unauthorized access in computer operations. 2. Version control may be used to mitigate the risk of unauthorized changes to computer programs. 3. Backup copies may be used to mitigate the risk of data loss or system failures.

4. Antivirus software may be used to mitigate the risk of viruses in electronic commerce. 5. Authentication measures may be used to mitigate unauthorized access to programs.  

By implementing access controls, organizations can restrict and manage user privileges, ensuring that only authorized individuals have access to sensitive information and critical systems. This helps prevent unauthorized users from gaining entry to networks, databases, or applications, thereby enhancing security and protecting against potential breaches.

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A context diagram of the Cargo Shipping Process from the perspective of the CArgo Section at CaribAir

Answers

The context diagram provides a high-level view of the cargo shipping process and the interactions between the Cargo department at CaribAir and its external entities. It helps to ensure that all stakeholders are accounted for and that the system operates effectively and efficiently to meet the needs of its customers.

A context diagram is a high-level view of a system that shows its interactions with external entities. In the context of the cargo shipping process from the perspective of the Cargo department at CaribAir, the context diagram would illustrate the external entities that interact with the department, including customers, shipping agents, freight forwarders, and other stakeholders.

The Cargo department at CaribAir is responsible for managing the shipment of goods via air transport. This involves receiving and processing orders from customers, coordinating with shipping agents and freight forwarders, preparing cargo for transport, and ensuring that it is delivered to its destination safely and on time.

The context diagram would show the external entities that interact with the Cargo department at CaribAir, including customers who place orders, shipping agents who provide information on cargo availability and transportation options, freight forwarders who coordinate the shipment of goods, and other stakeholders such as customs authorities and regulatory bodies.

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Complete question:

Describe the context diagram of the cargo shipping process from the perspective of the CArgo department at CaribAir and understand what CArgo is

Tax Drill Additional First-year Depreciation Diana acquires and places in service a 5-year class asset, costing $65,000, on December 19, 2018. Diana does not elect immediate expensing under § 179. She elects additional first-year depreciation. Click here to access the depreciation table to use for this problem Diana's total cost recovery deduction for the asset is $ for 2018. Feedback Check My Work Additional first-year depreciation (also referred to as bonus depreciation) allows taxpayers to take an additional amount of cost recovery in the year qualified property is placed in service

Answers

Diana's total cost recovery deduction for the asset in 2018 is $67,437.50.

Let's discuss it further below.

To calculate Diana's total cost recovery deduction for the asset in 2018, we'll need to determine the depreciation amount for the 5-year class asset and then apply the additional first-year depreciation.

Step 1: Determine the depreciation amount for the 5-year class asset
Using the depreciation table, we find that the depreciation rate for a 5-year class asset, placed in service during December (mid-quarter convention), in the first year is 3.75%.

Step 2: Calculate the initial depreciation
Multiply the asset's cost by the depreciation rate:
$65,000 × 3.75% = $2,437.50

Step 3: Apply additional first-year depreciation
Diana elects additional first-year depreciation, which allows her to deduct an additional 100% of the asset's cost in the year it's placed in service. So, she can deduct the entire $65,000 in 2018.

Step 4: Calculate the total cost recovery deduction for 2018
Add the initial depreciation amount and the additional first-year depreciation amount:
$2,437.50 (initial depreciation) + $65,000 (additional first-year depreciation) = $67,437.50

Diana's total cost recovery deduction for the asset in 2018 is $67,437.50.

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Rams Ramachandran is considering the wisdom of reducing the number of suppliers his firm uses. Currently, Rams uses 25 suppliers to purchase goods worth $2,500,000 per year. To manage the orders and coordinate with suppliers, Rams employs one manager and two clerical staff. The manager earns $65,000 per year and each clerical staff person earns $35,000 per year. (As VP, Rams earns $175,000 annually.)
Reducing the number of suppliers from 25 to 6 would allow Rams’ firm to free up one of the clerical staff. While the manager would supervise fewer people, she also would interact more with each supplier; thus, her workload would not change appreciably.
Rams bargains aggressively with suppliers, and, with 25 suppliers, he was anticipating a 3% savings in purchase costs next year. With only six suppliers, however, each supplier would have greater bargaining power, eliminating Rams’ ability to reduce the prices paid for goods. Finally, Rams believes that better coordination with fewer suppliers would increase service quality (e.g., a lower risk of stock outs and other problems), and he estimates the cost savings at $100,000 per year.
Required:
a. Classify the following costs as to their controllability and relevance for Rams’ decision:
(1) Cost of goods purchased;
(2) Clerical staff salaries;
(3) Manager’s salary;
(4) Service quality cost savings; and
(5) Rams’ salary.
b. Should Rams use 25 or 6 suppliers?

Answers

a.The cost classification is given below:

(1) Cost of goods purchased - Controllable and relevant

(2) Clerical staff salaries - Controllable and relevant

(3) Manager’s salary - Controllable and relevant

(4) Service quality cost savings - Controllable and relevant

(5) Rams’ salary - Uncontrollable and irrelevant

b.

Rams should use 6 suppliers instead of 25. Although reducing the number of suppliers will eliminate the cost savings from aggressive bargaining, the increased coordination and service quality improvements are likely to outweigh the loss of savings.

Additionally, freeing up one of the clerical staff will also result in cost savings. The workload of the manager is not expected to change significantly, so the reduction in suppliers will not affect the manager's salary.

In summary, by reducing the number of suppliers, Rams can save on clerical staff salaries, improve service quality, and streamline coordination, making it a better decision overall.

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A firm is considering two mutually exclusive projects, X and Y, with the following cash flows:
Project X 0 = -$1000
CF1=110 CF2= 300 CF3= 370 CF4= 700
Project Y
CF0= -1000 CF1=1100 CF2= 300 CF3= 50 CF4=50
The projects are equally risky, and their WACC is 13%. What is the MIRR of the project that maximizes shareholder value? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

Comparing the MIRR values, we can see that Project Y has a higher MIRR (-0.1) compared to Project X (-0.794).

To calculate the Modified Internal Rate of Return (MIRR) for each project, we need to find the discount rate that equates the present value of the cash inflows with the future value of the cash outflows. The project with the higher MIRR would be the one that maximizes shareholder value.

Let's calculate the MIRR for both projects:

For Project X:

Initial Investment (CF0): -$1000

Cash Inflows (CF1-CF4): $110, $300, $370, $700

Using the formula for MIRR:

MIRR = \((Terminal Value / Initial Value)^{(1/n)}\) - 1

Terminal Value = Future Value of Positive Cash Flows - Present Value of Negative Cash Flows

Future Value of Positive Cash Flows = $300 + $370 + $700 = $1370

Present Value of Negative Cash Flows = -$1000

MIRR = \(($1370 / -$1000)^{(1/4)}\) - 1

MIRR = 0.206 - 1

MIRR = -0.794.

For Project Y:

Initial Investment (CF0): -$1000

Cash Inflows (CF1-CF4): $1100, $300, $50, $50

Terminal Value = $300 + $50 + $50 = $400

MIRR = \(($400 / -$1000)^{(1/4)}\) - 1

MIRR = -0.1

Comparing the MIRR values, we can see that Project Y has a higher MIRR (-0.1) compared to Project X (-0.794). The MIRR calculates the rate of return that makes the project's inflows equal to its outflows, taking into account the timing and magnitude of the cash flows. Therefore, Project Y, with a higher MIRR, would be the one that maximizes shareholder value.

It's worth noting that both projects have negative MIRRs, indicating that neither project meets the required rate of return (WACC of 13%). This suggests that both projects may not be financially viable or may not generate sufficient returns to create shareholder value.

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Investors bragged about their investing expertise during the stock market rally between 1996 and early 2000, then blamed analysts, brokers, and the Federal Reserve when the market imploded in 2000. What type of bias were these investors most probably guilty of ____________.

Answers

The investors who bragged about their investing expertise during the stock market rally between 1996 and early 2000, then blamed analysts, brokers, and the Federal Reserve when the market imploded in 2000 are most probably guilty of the confirmation bias.

Confirmation bias is a psychological bias that causes people to search for, interpret, favor, and recall information in a manner that confirms their preexisting beliefs or values.

People frequently reinforce their own ideas by disregarding data that contradict them, and they may even seek out information that validates their beliefs.

In the context of the question, investors bragged about their investing expertise during the stock market rally between 1996 and early 2000, which is the period when the market was booming and they were making a lot of money from their investments.

However, when the market crashed in 2000, they quickly changed their stance and blamed the analysts, brokers, and the Federal Reserve for the crash.

This demonstrates that they had a preexisting belief that they were expert investors and that their investments would continue to do well.

They disregarded data that indicated that the market was overvalued and that a correction was imminent.

As a result, they suffered significant losses when the market crashed.

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A code of conduct ________. Select one:

a. Gives employees guidance on how to handle themselves in challenging ethical situations

b. Reports on the legal compliance of a corporation

c. Evaluates a company's acts and cites any legal violations it might have committed

d. Defines the core purpose of the organization

e. Describes the company's goals and aspirations

Answers

A code of conduct gives employees guidance on how to handle themselves in challenging ethical situations. Option A is correct.

A code of conduct is a set of guidelines that outlines a company's values, principles, and standards of behavior. It provides employees with guidance on how to act in various situations, especially those that may be ethically challenging. A code of conduct sets the tone for the organization's culture and expectations for employee behavior.

A well-crafted code of conduct should provide employees with clear and specific guidance on what is expected of them in terms of ethical behavior. This includes topics such as conflicts of interest, confidentiality, and proper use of company resources. A code of conduct should also outline the consequences of failing to meet these expectations, including disciplinary action or termination. Option A is correct.

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Peter Samuels owns and manages his single-member LLC that provides a wide variety of financial services to his clients. He is married and will file a joint tax return with his spouse, Amy. His LLC reports $300,000 of qualified business income, W–2 wages of $120,000, with qualified property with an unadjusted basis of $75,000. Their taxable income before the QBI deduction is $285,000 (this is also their modified taxable income). Determine their QBI deduction for 2019.

Answers

Answer:

$60,000

Explanation:

Since Peter's taxable income before the QBI is $285,000, he can claim the maximum QBI deduction. The current phase out starts at $326,600 for married filing jointly or $163,300 for single filers.

Maximum QBI deduction = 20% x qualified business income (QBI) = 20% x $300,000 = $60,000

Explain why it is important to the united states economy for the federal reserve system to control the money supply.

Answers

The Federal Reserve is the most powerful economic institution in the United States responsible for managing monetary policy and regulating the financial system.

It does this by setting interest rates, influencing the supply of money in the economy, and, in recent years, making trillions of dollars in asset purchases to boost financial markets.

The Fed is almost entirely independent from the executive branch and Congress which at times has led to tensions with the White House.

How does the Federal Reserve control the money supply?

The Fed can influence the money supply by modifying reserve requirements, which generally refers to the amount of funds banks must hold against deposits in bank accounts. By lowering the reserve requirements, banks are able to loan more money, which increases the overall supply of money in the economy.

Why is control of money supply important?

Growth of money supply is an important factor not only for acceleration of the process of economic development but also for the achievement of price stability in the economy. There must be controlled expansion of money supply if the objective of development with stability is to be achieved.

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Assembly department of Zahra Technologies had 100 units as work in process at the beginning of the month. These units were 50% complete. It has 200 units which are 25% complete at the end of the month. During the month, it completed and transferred 500 units. Direct materials are added at the beginning of production. Conversion costs are allocated evenly throughout production. Zahra uses weighted-average process-costing method.

What is the number of equivalent units of work done during the month for direct materials? (HINT: The answer is 700 units, but I need work to support it)

Answers

Answer: 700

Explanation:

The number of equivalent units of work done during the month for direct materials will be:

Completed and transferred units = 500

Ending work in process inventory = 200

Number of equivalent units = 500 + 200 = 700

Please help. Atleast the top 2

Please help. Atleast the top 2

Answers

Answer:

Number 1 is Pure Market. Number two is socialist, I'm pretty sure.

Explanation:

Please mark me brainliest if someone else answers :>

Jacob’s daily tips this work week were $99, $78, $58, $91, $90, and $68. Is Jacob correct in thinking that the median best represents how much money he makes in daily tips? No, Jacob is not correct. The mean amount he makes is $82. 67 in a day. Yes, Jacob is correct. The mean amount he makes is $81. 67 in a day. No, Jacob is not correct. The median amount he makes is $86. 00 in a day. Yes, Jacob is correct. The median amount he makes is $84. 00 in a day.

Answers

Jacob’s daily tips this work week were $99, $78, $58, $91, $90, and $68. Is Jacob correct in thinking that the median best represents how much money he makes in daily tips? No, Jacob is not correct. The mean amount he makes is $82. 67 in a day.

Yes, Jacob is correct. The mean amount he makes is $81. 67 in a day. No, Jacob is not correct. The median amount he makes is $86. 00 in a day. Yes, Jacob is correct. The median amount he makes is $84. 00 in a day. Option D is the correct option.Jacob is correct in thinking that the median best represents how much money he makes in daily tips. The median is the midpoint of the distribution.

In this case, the median of the data set would be ($78+$81)/2 = $84. Therefore, Jacob's daily median tip is $84.00.The mean of a set of data is the average value of the data set. The average of the data in this case is ($99+$78+$58+$91+$90+$68) / 6 = $82.67. Therefore, Jacob's average daily tip is $82.67.The mode of a set of data is the value that appears most often in the data set. In this data set, there is no value that appears more than once, so there is no mode of this data set.

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QUESTION 4
4.1 Mrs Tintswalo Maila owns a metal press shop and is considering expanding her
company to include an advanced machining process plant. If the plant is
successful, her company could realise an additional R200 000. profit. If it fails she
could incur a loss of R180 000. Tintswalo, being the eternal pessimist, estimates a
60% chance that the new plant will fail. Her other option is to build a pilot plant to
help her decide whether to build a complete facility. The pilot plant would cost R10
000 to build and Tintswalo estimates that the pilot has a 50-50 chance of success.
It the pilot plant is successful then there is a 90% likelihood that the full plant will
also be successful. If the pilot plant is unsuccessful then there is a 20% probability
that the full plant will also be unsuccessful. Tintswalo is faced with the problem of
having to decide whether to build a full plant directly from the onset or to first build
a pilot plant and based on its performance, decide whether to build the full plant or
not.
4.1.1 Make use of decision tree analysis to help Mrs Maila decide on the most
appropriate action to take.

Answers

Answer:AMS

Explanation:

AMS AKS;

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