Reproduce Figure 2.3 from 1960 to the present, showing the percent change from a year ago of M1 (FRED code: M1SL) and M2 (FRED code: M2SL). Comment on the pattern over the last five years. Would it matter which of the two monetary aggregates you looked at?

Answers

Answer 1

The pattern of percent change from a year ago of M₁ (M1SL) and M₂ (M2SL) over the last five years shows an increasing trend for both monetary aggregates. It does not matter which of the two aggregates is examined as both M₁ and M₂ exhibit similar patterns of growth.

Determine how will showing the percent change from a year ago?

Figure 2.3 displays the percent change from a year ago of M₁ (M1SL) and M₂ (M2SL) from 1960 to the present. By examining the pattern over the last five years, we observe that both M₁ and M₂ have experienced an increasing trend.

This suggests that the money supply, as measured by M₁ and M₂, has been expanding at a faster rate over the past five years.

The percent change from a year ago indicates the year-over-year growth rate of the respective monetary aggregates. The increasing trend in both M₁ and M₂ implies a larger expansion in the money supply over time.

This growth can have various implications for the economy, such as increased liquidity and potential inflationary pressures.

Regarding whether it matters which monetary aggregate is examined, both M₁ and M₂ provide insights into the money supply. M₁ represents a narrower measure of money, including currency in circulation and demand deposits, while M₂ includes M₁ and adds other liquid assets like savings deposits and money market funds.

While the composition of the aggregates differs, in terms of the overall pattern and growth trends, both M₁ and M₂ exhibit similar behavior over the last five years.

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Reproduce Figure 2.3 From 1960 To The Present, Showing The Percent Change From A Year Ago Of M1 (FRED

Related Questions

A young investor willing to take moderate risk for above-average growth would be
most interested in:
Mutual funds
Single stocks
Real estate
Bonds

Answers

Answer:

Real estate or Bonds.

Explanation:

Because it says above average growth

________ processes span an organization and support activities in multiple departments.

Answers

Answer:

Enterprise processes span an organization and support activities in multiple departments.

If gas costs $3.05 per gallon and you purchase 18.875 gallons, how much will you spend?

Answers

Answer:

You will spend about 57.57 gallons (57.568 to be exact)

Explanation:

Multiply $3.05 with 18.875 gallons to get the total

Answer:

6.18

Explanation:

one gallon= $3.05

gas in 18.875 gallons= 18.875 /3.05

                                   =     6.18

The real risk-free rate of interest, k*, is 3.8 percent, and it is expected to remain constant over time. Inflation is expected to be 2.5 percent per year for the next three years, after which time inflation is expected to remain at a constant rate of 4 percent per year. The maturity risk premium is 0% for securities with maturities of 1 year or less, 0.15% in year 2, and increases by 0.15% per year thereafter. What is the yield on a 7-year Treasury bond? Select one: O a. 8.8% O b. 8.1% O c. 9.7% O d. 9.3%

Answers

The yield on a 7-year Treasury bond can be calculated by adding the real risk-free rate, inflation premium, and maturity risk premium. Using the given information, the yield is determined to be option b) 8.1%.

The yield on a 7-year Treasury bond can be calculated as follows:

Yield = k* + IP + MRP, Where IP is the inflation premium, which is given by the difference between the expected inflation rate and the real risk-free rate of interest; MRP is the maturity risk premium, which is given by the product of the maturity risk premium on a 1-year bond and the number of years to maturity minus

1. Using the given information, we can calculate the yield on a 7-year Treasury bond as follows:

k* = 3.8%, IP for the first three years = 2.5%, MRP for 1 year or less = 0%, MRP for year 2 = 0.15%, Increase in MRP per year thereafter = 0.15%, Number of years to maturity = 7 years,

IP for year 4 and thereafter = 4% - 3.8% = 0.2%

Therefore, the yield on a 7-year Treasury bond is:

Yield = k* + IP + MRP

= 3.8% + [(2.5% + 2.5% + 2.5% + 0.2% + 0.2% + 0.2% + 0.2%) / 7] + [(0% + 0.15% + 0.3% + 0.45% + 0.6% + 0.75% + 0.9%)] Yield = 8.1%

Therefore, the yield on a 7-year Treasury bond is 8.1%. Hence, option (b) is correct.

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Those who support globalization argue that increasing globalization will?

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Those who favor globalization claim that it will result in lower prices for goods and services as it continues to grow.

The term "globalization" is used to describe how trade and technology have increased connectivity and interdependence around the world. The resulting economic and societal developments are also included in the scope of globalization. It can be visualized as the strands of a massive spider web that has grown in size and reach over thousands of years. In the modern era, more people and more things have traveled these silky strands than ever before, and they have done so more quickly and in greater quantities.

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Which step is the most important step in the decision making process?.

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Answer:

The most important step of the decision-making process is: Assessing the possible uncertainties in the future course of action. It is a must for any of the firms to assess or evaluate the possible risks or the uncertainties associated with the firm operation and functioning.

the data for bi business intelligence comes from many source states. True or false?

Answers

True. The data for business intelligence (BI) typically comes from many different sources. Business intelligence refers to the use of data analytics and visualization tools to gain insights into business operations and make informed decisions.

To do this, BI systems typically rely on data from a variety of sources, including databases, spreadsheets, transactional systems, social media platforms, and other sources.

In order to provide a comprehensive view of business operations, BI systems need to collect and consolidate data from these various sources, which can be a complex and challenging process. This data is then processed and transformed into a format that can be analyzed and visualized using BI tools. The goal is to provide decision-makers with accurate, timely, and relevant information that can help them identify trends, patterns, and opportunities for improvement.

In summary, the data for business intelligence comes from many different sources, and the process of collecting, consolidating, and analyzing this data is a key component of BI systems.

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why having business is important?

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Owning and running your own business can be more satisfying and fulfilling than working for someone else

What does the term 'user
experience' refer to regarding a
website?
A. the overall ease of navigation and ability to
purchase on a company's website
B. the general experience a customer has when
using a product of a business
C. the customer experience when dealing with
customer service representatives

Answers

Answer:b

Explanation:

the order in which participants complete a task is an example of:___

Answers

The order in which participants complete a task is an example of task sequencing. The order in which participants complete a task is an example of a "sequence."which is the process of determining the most effective order for completing a series of tasks.

Task sequencing is an important consideration in many fields, including education, psychology, and business, as it can have a significant impact on the outcome of a project or activity. A long answer to this question would delve deeper into the different factors that can influence task sequencing, such as task complexity, task dependencies, and participant characteristics. It would also explore the different methods and strategies that can be used to optimize task sequencing, such as task analysis, decision trees, and computer algorithms.

Ultimately, the goal of effective task sequencing is to ensure that participants are able to complete tasks efficiently and accurately, while minimizing the risk of errors or delays.The order in which participants complete a task is an example of a sequence. In this context, a sequence refers to the arrangement of elements or steps in a particular order. By analyzing the sequence, you can determine the order of events or tasks that the participants need to follow.

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in which Step of production process are materials manipulated

Answers

Answer:

tread count

Explanation:

different sizes

a) Calculate the equilibrium aggregate demand if:
Government spending is $255 billion.
Government taxation is $180 billion.
Planned investment is $205 billion.
Imports are $90 billion and exports are $44 billion.
The marginal propensity to spend is 0.55.
The autonomous consumer expenditure is $90 billion.
b) Suppose the marginal propensity to consume is increased by 0.05 whilst taxes, government spending, imports, exports, and investment remain unchanged as given in part (a). What is the new value of the equilibrium aggregate demand?

Answers

a. The equilibrium aggregate demand is $728.2 billion.

b.  The new value of the equilibrium aggregate demand is $698.4 billion.

a) To calculate the equilibrium aggregate demand, we need to consider the components of aggregate demand: consumption (C), investment (I), government spending (G), and net exports (NX).

Aggregate demand (AD) = C + I + G + NX

Given:

Government spending (G) = $255 billion

Government taxation = $180 billion

Planned investment (I) = $205 billion

Imports (M) = $90 billion

Exports (X) = $44 billion

Marginal propensity to spend (MPS) = 0.55

Autonomous consumer expenditure (A) = $90 billion

To calculate consumption (C), we can use the equation:

C = A + (MPS * Disposable income)

Disposable income = National income - Taxes

Taxes = Government taxation

National income = Consumption + Planned investment + Government spending + Exports - Imports

Disposable income = (C + I + G + X - M) - Taxes

Substituting the values and solving the equations:

Disposable income = ($90 billion + $205 billion + $255 billion + $44 billion - $90 billion) - $180 billion

Disposable income = $504 billion - $180 billion

Disposable income = $324 billion

C = $90 billion + (0.55 * $324 billion)

C = $90 billion + $178.2 billion

C = $268.2 billion

Now we can calculate the equilibrium aggregate demand:

AD = C + I + G + NX

AD = $268.2 billion + $205 billion + $255 billion + ($44 billion - $90 billion)

AD = $728.2 billion

Therefore, the equilibrium aggregate demand is $728.2 billion.

b) If the marginal propensity to consume (MPC) increases by 0.05, the new value of the MPC would be 0.55 + 0.05 = 0.60.

Using the same values as in part (a) except for the MPC, we can calculate the new consumption (C) and then determine the new equilibrium aggregate demand (AD).

New C = $90 billion + (0.60 * $324 billion)

New C = $90 billion + $194.4 billion

New C = $284.4 billion

New AD = New C + I + G + NX

New AD = $284.4 billion + $205 billion + $255 billion + ($44 billion - $90 billion)

New AD = $698.4 billion

Therefore, the new value of the equilibrium aggregate demand is $698.4 billion.

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The Architecture and Construction career cluster is a group of careers focused on
O designing, constructing, and maintaining buildings and other structures,
O assembly of buildings and structures.
O designing and planning buildings.
O identifying the safety standards for building regulations.

The Architecture and Construction career cluster is a group of careers focused onO designing, constructing,

Answers

The correct answer is Designing, constructing, and maintaining buildings and other structures.

Explanation:

A career cluster groups different careers related to the same area of knowledge and similar applications. In the case of architecture and construction, this includes careers such as architecture, civil engineering, carpentry, paving operators, etc. Moreover, these careers are all related to creating buildings or structures, which involve designing or planing the structures, then constructing them, and finally, dealing with the maintenance of the building. This includes the creation of houses, bridges, roads, etc.

Answer:

answer is A

designing constructing, and maintaining buildings and other structures.

Explanation:

hope this helps!

The relationship between quantity supplied and price is ________ and the relationship between quantity demanded and price is ________. Group of answer choices

Answers

Answer:

direct, inverse

Explanation:

Hope it helps

Before you move forward, summarize the changes you will need to make to your new budget. Describe these changes in at least two sentences.

Answers

Answer: yes

Explanation:

The right answer on edge is: I need to change my budget so that I save at least $300 per month. Over twelve months, this will increase my savings by $3,600. I also need to change my budget to save for a new computer, so I need to save an extra $100 a month for that. In total, I need to save $400 a month.

Answer:

The right answer on edge is: I need to change my budget so that I save at least $300 per month. Over twelve months, this will increase my savings by $3,600. I also need to change my budget to save for a new computer, so I need to save an extra $100 a month for that. In total, I need to save $400 a month.

Explanation: I just did the test an got a 100

T/F marketing activities often cost 50 percent or more of the selling price of a product or service.

Answers

TRUE.Making a marketing mix is the first stage in coming up with a marketing plan.For ultimate consumers versus corporate consumers, the decision-making process is different.

What does marketing say about the 80/20 rule?

a theory that contends that 20% of a company's consumers account for 80% of its sales.a framework for connecting the various market groups of potential customers to the goods that a firm might supply or future marketing initiatives.

What does the marketing 70/30 guideline entail?

According to the 70/30 rule, the salesperson should speak for just 30% of the discussion and listen for the other 70%.This 70/30 split does not imply that you should make your pitch in the first three minutes of a 10 min conversation before listening to the client talk for the next seven minutes.

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In today's economy, personal selling has evolved to take on elements of customer service and marketing research. Why is this the case?
a. It is less expensive to deliver service and conduct research with the sales staff.
b. It is more time efficient because salespeople are already interacting with customers.
c. Personal selling focuses more on developing customer relationships than on generating transactions.
d. It allows salespeople to earn higher commissions for doing more work.
e. None of the above is correct.
straight salary

Answers

The "Personal-Selling" take on elements of customer service and marketing research is because (c) "Personal-Selling" focuses more on developing customer relationships than on generating transactions.

The "Personal-Selling" is defined as a sales-strategy that involves face-to-face interaction between a salesperson and a potential customer.

In the past, personal selling was often seen as a transactional-process where the primary goal was to close a sale.

In today's economy, personal selling has evolved to take on a more relationship-oriented approach, where the goal is to build long-term relationships with customers.

To build these relationships, salespeople must engage in activities that go beyond simply closing a sale. They must also provide customer service and support, answer questions and concerns, and conduct marketing research to understand customers' needs and preferences.

Therefore, the correct option is (c).

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In today's economy, personal selling has evolved to take on elements of customer service and marketing research primarily because of option c. Personal selling focuses more on developing customer relationships than on generating transactions.

Marketing research is the process of collecting, analyzing, and interpreting data related to consumer preferences, buying habits, and market trends. It is a critical component of marketing strategy and helps businesses make informed decisions about product development, pricing, promotion, and distribution. Marketing research methods may include surveys, focus groups, observation, and data analysis of sales figures, customer feedback, and online activity. The insights gained from marketing research can help businesses identify new opportunities, optimize marketing campaigns, and better understand their target audience. Effective marketing research can provide businesses with a competitive advantage by helping them make data-driven decisions that lead to more successful outcomes.

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an open market sale of bonds by the fed, other things equal, would tend to cause:

Answers

An open market sale of bonds by the Fed, other things equal, would tend to cause an increase in interest rates and a decrease in the money supply.

When the Fed sells bonds in the open market, it increases the supply of bonds in the market. This, in turn, reduces the demand for bonds and drives their price down. As bond prices fall, their yield or interest rate increases to attract buyers. Therefore, an open market sale of bonds by the Fed tends to cause an increase in interest rates. This is because the Fed's sale of bonds reduces the demand for them, which results in an increase in the cost of borrowing for individuals, businesses, and governments.

When the Federal Reserve (Fed) conducts an open market sale of bonds, it sells government securities to financial institutions and the public. This action leads to a decrease in bank reserves and the money supply, as the funds used to purchase the bonds are removed from circulation. As a result, there is less money available for lending, which causes interest rates to increase due to the higher demand for limited funds.

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b. how much overhead would be applied to production if 9,000 hours were used in the department during the month? if required, round your calculations to two decimal places and your final answer to the nearest dollar. $fill in the blank d28714fb4fabfc5 1

Answers

$49500 overhead applied to production if 9,000 hours were used in the department during the month. Here , is the full attached questions.

Direct labor hours = 9,000 ,10,000 , 11,000

Variable factory overhead cost ( $4.5)

4.5*9000= 40500

4.5*10000=45000

4.5*11000=49500

A flexible budget plan is one where expenditure adjusts or flexes in response to volume or movement changes.

A flexible expenditure strategy is more valuable and complex than a static one. (The static plan amounts remain constant. They remain unchanged from the amounts accumulated at the time the static expenditure plan was established and approved.)

The flexible budget plan will flex because the spending will include a variable rate for each unit of activity rather than a single fixed aggregate sum for costs that vary with volume or movement. Simply put, the flexible spending plan is becoming a more valuable tool for determining an administrator's effectiveness.

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b. how much overhead would be applied to production if 9,000 hours were used in the department during

Is the statement “the first day on a job is always easy” true?

Answers

Im gonna slap the person who told you that, Answer:

Pffttt ofc not its always hard the first day.

Good Explanation:

Your first day on the job can be intimidating, anxiety-inducing, nerve-wracking, and hopefully, you do good you know cause its a pain in the ####. So Don't underestimate any job buddy,

The answer is false btw.

what products are the most difficult to sell, according to bezos?

Answers

Jeff Bezos, the founder and former CEO of Amazon, has stated that products that customers do not actively seek out or have a low demand for are the most difficult to sell. These can include niche products or items that are not in high demand.

Bezos has emphasized the importance of customer demand in the success of a product. He has stated that products with high demand are easier to sell because they are already in demand by customers, while products with low demand may require more marketing and advertising efforts to generate interest. Additionally, products that are not easily searchable or discoverable on Amazon's website may also be difficult to sell, as customers may not be aware that they exist. Therefore, it is important for sellers to understand customer demand and behavior when selecting products to sell on Amazon.

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The terms and conditions to which a bond is subjected to are set forth in its [CH-6]
a. Debenture.
b. Underwriting agreement.
c. Indenture.
d. Restrictive covenants.
e. Call provision. 

Answers

The correct answer to the given question is option c. indenture. The terms and conditions to which a bond is subjected are outlined in its indenture.

A debenture is an unsecured loan certificate that certifies that the bondholder has lent money to the company that issued the certificate.

Debentures are frequently given by corporations, governments, and other large organizations, and they offer a stable and consistent source of funding for the issuer. They do not provide collateral to investors or bondholders, but they do promise fixed returns in the form of regular interest payments.

A "call provision" is a bond's right to be redeemed before it matures. The issuer of the bond reserves the right to repurchase the bond from the holder before the bond's maturity date, which is called a call provision.

An indenture is a formal agreement that outlines the terms of a bond issue and the rights of the bondholders. The indenture specifies the issuer's and bondholders' rights and responsibilities. A trustee is usually appointed by the bondholders to represent their interests and ensure that the terms of the indenture are met.

The indenture specifies the amount of the bond issue, the maturity date, interest payments, the coupon rate, and other bond-related information.

The correct answer to the given question is option c. indenture.

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in year 1, manufacturing costs as a percentage of sales are assumed to have a pert distribution with a minimum value of 65 percent, a maximum value of 90 percent, and a most likely value of 80 percent. thereafter it is assumed that manufacturing cost will be the same percentage of sales as year 1. fixed cash cost (rent) is expected to be $100,000 in the first year. however, the fixed cash cost is expected to grow at the expected inflation rate at 4 percent a year

Answers

The expected fixed cash cost (rent) in Year 1 is $100,000. This amount is expected to grow at a rate of 4% per year due to inflation. Thus, the fixed cash cost (rent) in Year 2 is expected to be $104,000. This trend is expected to continue in subsequent years.

The fixed cash cost for the second year can be calculated as follows:  

Fixed Cash Cost for Second Year = $100,000 x (1+ 4%) = $104,000.

In economics, inflation refers to a well-known growth in the expenses of goods and services in an economic system. whilst the general fee stage rises, every unit of forex buys fewer goods and offerings; consequently, inflation corresponds to a reduction in the purchasing energy of cash. the alternative to inflation is deflation, a sustained lower in the widespread rate level of goods and offerings. The common degree of inflation is the inflation fee, the annualized percent change in a popular charge index. As expenses no longer grow at an equal charge, the client price index (CPI) is frequently used for this reason. The employment cost index is also used for wages in the USA.

Most economists agree that high stages of inflation in addition to hyperinflation—that have severely disruptive consequences on the real financial system—are a result of chronic excessive growth within the cash supply. Views on low to slight charges of inflation are extra numerous. Low or moderate inflation can be attributed to fluctuations in actual calls for items and offerings, or adjustments in to-be-had supplies which include all-through scarcities.

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Does Nike have any responsibility (of any kind) to the citizens of Indonesia or any country where they operate?
Explain your answer below.

Answers

It should be noted that Nike has responsibilities to the people that are living in any country that they operate. Therefore, the statement is true.

It should be noted they the company's sustainability program and corporate social responsibility aligns with the core beliefs of the company.

Nike has responsibilities to the people that are living in any country that they operate. The company leverages the power of sport in order to promote its agenda about changing the world for the better. The company also engages in various programs that will improve the communities.

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The data set data ksubs.csv contains information on net financial wealth (nettf a), age of the survey respondent (age), annual family income (inc), family size (fsize), and participation in certain pension plans for people in the United States. The wealth and income variables are both recorded in thousands of dollars. In particular, the variable e401k is equal to 1 is the person is eligible for 401k, a retirement savings plan sponsored by the employer, and 0 otherwise. (a) Create a scatter plot of nettf a against inc. Can you observe any visible correlation between nettf a and inc? Do you think that a regression of nettf a on inc may feature heteroskedasticity? Explain. (b) Suppose that the Least-Squares assumptions are satisfied and estimate the following regression model: nettf ai = β0 + β1male + β2e401k + β3inci + β4agei + ui , i = 1, . . . , n. (2) Report the estimated values of the regression coefficients and discuss their signs (if it is or it is not as expected), their (heteroskedasticity robust) standard errors, and significance level. (c) We now introduce some additional variables and some nonlinearities in the model. We add the square of age (agesq), the square of income (incsq), a dummy for the individual being married (marr), and the household size (fsize). We thus estimate the following model. nettf ai =β0 + β1male + β2e401k + β3inci + β4agei (3) +β5incsqi + β6agesqi + β7marri + β8fsizei + ui , i = 1, . . . , n. Obtain the OLS estimators of the regression coefficients and their (heteroskedasticity robust) standard errors. Compare the new estimators with those obtained in (b). How have they changed? Compare the adjusted R2 in this model and in model (2). (d) Based on the model specified in (c), derive the marginal effect of age on netff a, and explain its meaning. What is the effect of increasing age of one unit on net financial assets for a person that is 30 year old? How about the same effect for a person that is 65 year old? GIVE R CODE OF THE QUESTIO

Answers

It requires performing various statistical analyses and providing the R code.

To create a scatter plot of nettf a against inc, we can use the data set data ksubs.csv and plot the variables nettf a and inc on the x and y axes, respectively. By visualizing the scatter plot, we can observe any visible correlation between nettf a and inc. Whether a regression of nettf a on inc may feature heteroskedasticity can be determined by examining the dispersion of the data points around the regression line. If the dispersion of the residuals increases or decreases systematically as the values of inc change, it indicates heteroskedasticity.

To estimate the regression model specified in equation (2), we need to use the Least-Squares method and satisfy the assumptions of linearity, independence, homoscedasticity, and normality of residuals. After obtaining the estimated values of the regression coefficients (β0, β1, β2, β3, and β4), we can discuss their signs and interpret their implications. Additionally, the heteroskedasticity-robust standard errors and significance levels of the coefficients should be reported to assess their statistical significance.

In equation (3), additional variables and nonlinearities are introduced. The OLS estimators of the regression coefficients (β0, β1, β2, β3, β4, β5, β6, β7, and β8) and their heteroskedasticity-robust standard errors should be obtained. A comparison between the estimators in model (3) and model (2) should be made to analyze the changes. The adjusted R2 values in both models can be compared to assess the goodness of fit.

To derive the marginal effect of age on nettf a, we need to differentiate the regression equation with respect to age and interpret its meaning. This will provide insights into the effect of increasing age on net financial assets for individuals at different ages, such as 30 years old and 65 years old.

Finally, the R code for performing these analyses and obtaining the results should be provided to replicate the findings.

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4) Tye-Dye Sports manufactures custom long boards and has fixed costs of $945.00 per week and total costs of $8070.00 if the weekly output is 15 boards.a) Write the equation for the cost function, C(x). x is the number of long boards.b) If the boards sell for $546.00 a piece, write the equation for the revenue function, R(x).c) Write the profit function, P(x).d) How many long boards will the company need to manufacture and sell each week to break even?

Answers

Answer:

Tye-Dye Sports

a) Cost function, C(x) = $475x + $945 = $8,070

b) Revenue function, R(x) = $546x

c) Profit function, P(x) = R(x) - C(x)

d) To break-even, Fixed cost/Contribution per unit

= 13.3 or 14

Explanation:

a) Data and Calculations:

Fixed costs = $945 per week

Total costs = $8,070 per week

Production units = 15 boards per week

Variable costs = Total costs minus fixed costs

= $7,125 ($8,070 - 945)

Variable cost per unit = $7,125/15 = $475

Cost function, C(x) = $475x + $945 = $8,070

Revenue function, R(x) = $546x

Profit function, P(x) = R(x) - C(x)

= $546x - ($475x + $945)

Contribution per unit = $546 - $475 = $71

To break-even, Fixed cost/Contribution per unit

= $945/$71 = 13.3 or 14

4) according to a recent recruiting survey, the most common mistake made by job interviewees is a) shaking hands softly. b) talking too much. c) dressing inappropriately. d) arriving late to an interview.

Answers

According to the survey, the most common mistake made by job interviewees refers to the error that occurs frequently during job interviews.

What is the formula to calculate the present value of an annuity?

Based on the given options, the most common mistake made by job interviewees is typically talking too much.

This means that candidates tend to over-communicate or provide excessive information during the interview process, which can be seen as a negative behavior.

It is important for interviewees to strike a balance between providing necessary information and being concise in their responses, as it demonstrates effective communication skills and the ability to stay focused on relevant points during the interview.

However, the survey findings indicate that out of these options, one particular mistake was reported as the most common.

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Help me with the question​

Help me with the question

Answers

Answer:

See below

Explanation:

Help me with the question

a firm has ebit of $400,000 and depreciation expense of $20,000. fixed charges total $50,000. interest expense totals $7,000. what is the firm's cash coverage ratio?

Answers

The firm's cash coverage ratio is 8.8.

The cash coverage ratio is a measure of a company's ability to pay its fixed charges, such as interest and lease payments, from its operating cash flow. To calculate the cash coverage ratio, you need to divide the sum of the company's EBIT (earnings before interest and taxes) and depreciation expense by its fixed charges and interest expense.

In this case, the sum of the company's EBIT and depreciation expense is $420,000 ($400,000 + $20,000). The fixed charges are $50,000, and the interest expense is $7,000.

Therefore, the cash coverage ratio is calculated as follows:

Cash Coverage Ratio = (EBIT + Depreciation) / (Fixed Charges + Interest Expense)

= $420,000 / ($50,000 + $7,000)

= 8.8

This means that the company's operating cash flow is sufficient to cover its fixed charges and interest expenses 8.8 times over, which is generally considered a good indicator of financial health.

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Select the correct answer. What is the first step in financial planning? A. maintaining a log of all your expenses B. understanding what you want C. preparing a balance sheet D. attaching a goal cost to every goal E. attaching a time frame to every goal

Answers

Answer:B

Explanation:

If you don't know what you want you can't do anything else

Answer:

B

Explanation:

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