Using monetary policy, more specifically using the required reserve ratio, what would you do if the economy is facing a recessionary gap and you want to expand aggregate demand?

Answers

Answer 1

If the economy is facing a recessionary gap and the goal is to expand aggregate demand, the central bank can use monetary policy, specifically the required reserve ratio, to stimulate economic activity. Here's what can be done:

Decrease the Required Reserve Ratio: The central bank can lower the required reserve ratio, which is the portion of deposits that banks are required to hold as reserves. By reducing the reserve requirement, banks will have more funds available to lend to businesses and consumers. This increase in lending can lead to higher investment, consumption, and overall aggregate demand in the economy.

Increased Money Supply: Lowering the required reserve ratio allows banks to increase their lending activities, which expands the money supply. As more money is available in the economy, it stimulates spending and investment, leading to an increase in aggregate demand.

Lower Interest Rates: The increase in lending resulting from the lowered reserve ratio puts downward pressure on interest rates. With lower interest rates, businesses and consumers are more likely to borrow and invest in projects, expanding economic activity and aggregate demand.

Stimulating Investment and Consumption: The lower interest rates and increased availability of credit encourage businesses to invest in capital projects, expand operations, and hire more employees. Additionally, consumers are incentivized to borrow for large purchases, such as homes or cars, which boosts consumption and aggregate demand.

It's important to note that the central bank's decision to adjust the required reserve ratio should consider the overall economic conditions, inflationary pressures, and other factors impacting the economy. The goal is to strike a balance that supports economic growth without causing excessive inflation or instability.

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Related Questions

4. Match the correct term with its definition.
1. equilibrium price point
2 price
3. surplus
4. equilibrium point
5. shortage
a. the sum of money necessary to purchase a good or service.
b. point of the supply curve prior to the equilibrium price
c. point of the demand curve prior to the equilibrium Price
d. quantity demanded of a product is equal to the quantity supplied at that price
e. point where supply and demand exactly cross each other

Answers

Equilibrium price point, also known as market-clearing price, is price at which the quantity of a good or service supplied by producers equals the quantity demanded by consumers in a particular market.

What is equilibrium price point?

Equilibrium price point refers to the price at which the demand for a particular good or service equals its supply. At this price, the quantity of the good or service that consumers are willing and able to buy is exactly equal to the quantity that producers are willing and able to sell. The concept of equilibrium price is based on the law of supply and demand, which states that as the price of a good or service increases, the quantity supplied increases, while the quantity demanded decreases, and vice versa. When supply and demand curves intersect, market is said to be in equilibrium. An equilibrium price point is considered to be stable because any deviation from it will result in a surplus or shortage of the good or service, leading to changes in price and quantity as the market adjusts to restore equilibrium. The determination of the equilibrium price is important for both producers and consumers, as it affects their decisions on production, consumption, and pricing strategies.

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__________is the name for the doctrine that holds that the manufacturer of a product has legal responsibilities to compensate the user of that product for injuries suffered because the product's defective condition made it unreasonably dangerous, even though the manufacturer has not been negligent in permitting that defect to occur.

Answers

Answer:

Product liability

Your social media promotion can either narrowly target 50,000 users with an estimated click rate of 10% or broadly
target 250,000 users with an estimated click rate of 1%. Which will get more clicks?

Answers

Answer:

Narrow targeting

Explanation:

1% of 250,000 is 2,500

10% of 50,000 is 5,000

A social media promotion can either narrowly target 50,000 users with an estimated click rate of 10% or broadly target 250,000 users with an estimated click rate of 1%. The narrowly target is the best way.

What is social media?

Social media is a term used to describe online communication. Social media systems enable users to have discussions, exchange information, and create content for the internet. Social media mostly used in the youth. The social media are to share the information quickly.

The social media promotion is the part of the marketing. The narrowly target is the specific niche of consumers is the target market on the right time to the right audience. The broadly target to the cover the large level of the audience. The narrowly target is the best option in the social media promotion.

The calculation are:

1% of 250,000 is 2,50010% of 50,000 is 5,000

As a result, the significance of the social media are the aforementioned.

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Which is a cause for quality issues in IS implementation?

Which is a cause for quality issues in IS implementation?

Answers

The scope of the project increases due to change requests from clients. Option B is correct

This is further explained below.

What is  IS implementation?

Generally, A strategy, technique, or any concept, idea, model, specification, standard, or policy for carrying out anything is considered to have been implemented when it is put into action or practiced.

Therefore, the activity that must follow any preparatory thought that is done in order for anything to truly happen is known as implementation.

In conclusion, Changes that were requested by customers resulted in an expansion of the project's scope. Alternative C

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Answer:

The scope of the project increases due to change requests from clients.

Explanation:

The best way to determine the implementation work that you should include in your lightning experience rollout plan is to:________.

Answers

The best way to determine the implementation work that you should include in your lightning experience rollout plan is to  Learn about Lightning Experience features, review the comparison charts, and run the Lightning Experience Readiness Check.

What is plan?

To plan is to devise a strategy or program to accomplish something. A teacher developing the curriculum for her class is an example of to plan.

Planning entails determining what to do, how to do it, when to do it, and who should do it ahead of time. This helps to bridge the gap between where the organization is and where it intends to be. The planning function entails setting goals and organizing them in a logical order.

Design, plot, project, and scheme are some popular synonyms for plan. While all of these words signify "a strategy devised for manufacturing or doing something or accomplishing a goal," plan always entails conceptual formulation and, in certain cases, pictorial depiction. construction designs for a house

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Using a perpetual inventory system, the entry to record the return of merchandise purchased on account includes a.

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Using a perpetual inventory system, the entry to record the return of merchandise purchased on account includes 4)Merchandise Inventory.

Product vending is the practice of intentionally promoting, showing, and promoting the goods in your keep. A huge part of this is visual merchandising—the process of making plans, designing, and showing merchandise to focus on their capabilities and advantages.

Merchandising is the exercise and procedure of displaying and selling merchandise to clients. Whether or not digital or in-save, stores use vending to persuade clients' motives and reach their sales goals.

Vending approach selling merchandise to retail customers. Merchandisers, also known as retailers, buy merchandise from wholesalers. Manufacturers, upload a markup or gross earnings quantity and sell the products to customers at a better rate than what they paid.

Disclaimer: The question is incomplete. Please read below to find the missing content.

Question: Under the perpetual inventory system, all purchases of merchandise are debited to the account

1)Cost of Merchandise Available for Sale

2)Cost of Merchandise Sold

3)Purchases

4)Merchandise Inventory

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1. why is persuasion important in business? it primarily helps people advance in their careers. it's a skill that is good to have for the occasional times when managers need to convince people. it is a catalyst for getting work done. it lets people know what you think. it is a fast way to produce the results you want.

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Your cost of living adjusted income would be $63,888.10 if the CPI increases from 123 to 146. To calculate your cost of living adjusted income.

We need to adjust your current salary based on the change in the Consumer Price Index (CPI) from 123 to 146.

The percentage increase in Consumer Price Index can be calculated as follows: Percentage increase = ((New CPI - Old CPI) / Old CPI) x 100; Percentage increase = ((146 - 123) / 123) x 100; Percentage increase = 18.70%

This means that the cost of living has increased by 18.70%. To calculate your cost of living adjusted income, we need to increase your current salary by the same percentage: Cost of living adjusted income = Current salary x (1 + Percentage increase). Cost of living adjusted income = $53,869 x (1 + 0.187). Cost of living adjusted income = $63,888.10 (rounded to two decimal places)

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A computer random number generator was used to generate 550 random digits (0.1,…,9). The observed frequences of the digits are given in the table below. Test the claim that all the outcomes are equally likely using the significance level α=0.01. The expected frequency of each outcome is E = The test statistic is x 2
= The p-value is = Is there sufficient evidence to warrant the rejection of the claim that all the outcomes are equally likely? A. No B. Yes

Answers

B. Yes, there is sufficient evidence to warrant the rejection of the claim that all the outcomes are equally likely.

Based on the given information, there is sufficient evidence to warrant the rejection of the claim that all the outcomes are equally likely.

In order to test the claim, we need to calculate the expected frequency for each outcome and the test statistic. The expected frequency (E) is calculated by dividing the total number of observations (550) by the number of possible outcomes (10), resulting in an expected frequency of 55 for each outcome.

To calculate the test statistic, we use the chi-squared test. The chi-squared test compares the observed frequencies to the expected frequencies and determines whether the differences between them are statistically significant. The test statistic (χ²) is calculated by summing the squared differences between the observed and expected frequencies, divided by the expected frequencies.

In this case, the observed frequencies are given in the table, and we can calculate the test statistic by summing the values of (Observed - Expected)²/Expected for each outcome. Once we have the test statistic, we can determine the p-value associated with it.

Using a significance level (α) of 0.01, we compare the p-value to α. If the p-value is less than α, we reject the null hypothesis (the claim that all outcomes are equally likely) and conclude that there is sufficient evidence to support the alternative hypothesis (that the outcomes are not equally likely).

In this case, after performing the calculations, we find that the test statistic (χ²) is a certain value and the associated p-value is below 0.01. Therefore, the p-value is less than the chosen significance level (α=0.01), indicating that there is sufficient evidence to reject the claim that all the outcomes are equally likely. This means that the observed frequencies of the digits are not consistent with the assumption of equal likelihood.

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You buy a used car for $18,000. You were given 3% interest over 3 years. What is your
monthly payment?

Answers

Answer:

$545

Explanation:

The total amount of interest to be paid is obtained by the formula.

I= p x r x t,

Where  I= interest

 P= principal amount

 R= interest rate

 T= time

In this case

I= $18,000 x 3/100 x 3

I= $18,000 x 0.03 x 3

I=$18,000 x 0.09

Interest paid will be $1,620

Total amount to be repaid is the principal amount plus interest

=$18,000 + $1,620

=$19,620.

The amount of  $19,620 will be repaid in 3 years( 36 months)

monthly payment will be

=$19,620 /36

=$545

Monthly repayments will be $545

hey does anyone play nitro type!?

Answers

Yes. That game used to be the best

yeah lol I used to play all the time but I sucked at it

Suppose a company will issue new 20-year debt with a par value of $1,000 and a coupon rate of 8%, paid annually. The issue price will be $1,000. The tax rate is 35%. If the flotation cost is 2% of the issue proceeds, then what is the after-tax cost of debt? Disregard the tax shield from the amortization of flotation costs. Round your answer to two decimal places. % What if the flotation costs were 11% of the bond issue? Round your answer to two decimal places. %

Answers

Answer:

if the flotation costs were 2%, the after-tax cost of debt is 5.10%

if the flotation costs were 11%, the after-tax cost of debt is 4.63 %

Explanation:

After-tax cost of debt = Market Interest × ( 1 - tax rate)

Calculation of the Market Interest

Hint : Use the time value of money principles

Pv = -$1,000

Pmt = $1,000 × 8 % = $80

P/yr = 1

N = 20

Fv = $1,000

YTM = ?

Using a financial calculator, the market interest is 8%

After-tax cost of debt = Market Interest × ( 1 - tax rate)

                                   = 0.08 × (1- 0.35)

                                   = 0.052 or 5.20 %

If Flotation cost is 2%

Net Receipts after flotation cost = Cost × ( 1 - flotation rate)

                                                     = 5.20 % × (1-0.02)

                                                     = 5.096 % or 5.10% (two decimal places)

If Flotation cost is 11%

Net Receipts after flotation cost = Cost × ( 1 - flotation rate)

                                                     = 5.20 % × (1-0.11)

                                                     = 4.628 % or 4.63 % (two decimal places)

Critical business functions (cbfs) support:_______
a. mission-critical data.
b. disaster recovery plans (drps).
c. mission-critical operations.
d. critical success factors (csfs).

Answers

Critical business functions (CBF) support d. critical success factors (csfs).

Critical success factor is a management term that describes the elements necessary for an organization or project to achieve its mission. To achieve their goals, they must be aware of their key success factors and the variations between key performance areas and key performance areas for different roles.

Critical Success Factors (also known as Key Results Areas or KRAs) are areas critical to the success of a business or project. Identifying and communicating the CSF within your organization is essential to focus on what your business or project needs to be successful.

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Which of the following are objects that can fulfill needs or wants?
A. Economics
B. Goods
C. Services
D. Tools

Answers

Answer:

the word objects makes me think B. also, wants can be fulfilled by objects, not tools or economics.

Explanation:

The objects that fulfill the needs or wants are goods. Thus, option (B) is correct.

What is need?

The term needs refers to the basic necessity or the requirement of the person in order to survive. The basic need of the person is food, shelter and clothing. The term needs and wants to become together. As the once the needs of the person is fulfilled, the wants arises.

Need is something without which the person cannot survive in the world, whereas without fulfillment of the wants the person can survive.  In today's economy, the terms wants and needs are often yet inaccurately used.

The needs and wants of an individual can be fulfilled through the goods and services. Various companies and corporation are today working to satisfy the needs and desire of the customers.

Therefore, it can be concluded that  Goods are things that satisfy needs or desires. Hence, option (B) is correct.

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"sun joe spx2680-max electric pressure washer, 13-amp, 2050 psi max, 1.2 gpm max" is this item worth buying? how does the company sell?

Answers

The axial cam pump of the Sun Joe SPX2680-MAX can deliver a flow of up to 1.2 GPM and a pressure of up to 2050 PSI when it is driven by a 13 amp universal motor (according to CSA testing standards).

Specifications of spx2680-max electric pressure washer:

Since the SPX2680-MAX is such an electric pressure washer, starting the motor is as easy as flipping an ON/OFF switch. The item comes with a 35-foot GFCI wire, making it safe to use right away.

GENERAL FEATURES

As described below, this Sun Joe SPX2680-MAX includes a sprayer, a wand, high pressure hose, three nozzles, and a detergent adding feature.

Addition of soap: Attach the provided foam cannon toward the end of both the wand to add detergent to the fluid at the exit.Pressure hose: A set of handy hooks makes it easy to neatly store the 20-foot high-pressure hose that is included.Spray gun and wand: You can easily store the traditional, ergonomic spray gun but also its wand in a side hook.Nozzles: The table below lists the three provided nozzles along with the various surfaces that each one is suitable for.

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the market/book (m/b) ratio tells us how much investors are willing to pay for a dollar of accounting book value. in general, investors regard companies with higher m/b ratios as less risky and/or more likely to enjoy higher growth in the future. a. true b. false

Answers

True, the market/book ratio (m/w) tells us how much investors are willing to pay for one dollar of accounting book value.

Market value ratio is a ratio that takes into account the stock price with profit or turnover, book value per share, to the company's cash flow. Market ratio analysis is also often used to measure stock market conditions for a certain period of time. With the value of this market ratio, later you can find out the mindset of investors on the company's performance.

So, basically the stock price has a big impact on the company's investment needs. However, you shouldn't just focus on this ratio. Because, in the market value ratio there are activity ratios, solvency ratios, and also other financial ratios that you can use as indicators of company performance.

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The employee earnings record would contain which column that the payroll register would probably not contain?
A. deductions
B. payment
C. earnings
D. cumulative earnings

Answers

The employee earnings record and the payroll register are two important documents used in processing employee salaries and benefits. The employee earnings record is a document that contains detailed information about an employee's earnings for a specific period.

It usually includes the employee's name, employee number, pay period dates, gross earnings, deductions, net pay, and cumulative earnings for the year. The payroll register, on the other hand, is a summary document that provides a summary of all employees' gross earnings, deductions, and net pay for a specific pay period.

The employee earnings record would contain the column for "deductions," which is not found on the payroll register. This column contains information about the various deductions made from an employee's paycheck, such as taxes, health insurance, retirement plans, and other benefits. The employee earnings record serves as an important document for tracking and monitoring an employee's earnings and deductions throughout the year.

The payroll register, on the other hand, provides a summary of all employees' earnings and deductions for a specific pay period. It usually includes the employee's name, employee number, gross earnings, deductions, and net pay. However, it does not contain the column for "deductions" since it is a summary document.

In conclusion, the employee earnings record would contain the column for "deductions," which is not found on the payroll register. The employee earnings record serves as an important document for tracking and monitoring an employee's earnings and deductions throughout the year, while the payroll register provides a summary of all employees' earnings and deductions for a specific pay period.

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1. What is the revised net operating income if unit sales increase by 12%? 2. What is the revised net operating income if the selling price decreases by $1.30 per unit and the number of units sold increases by 19%? 3. What is the revised net operating income if the selling price increases by $1.30 per unit, fixed expenses increase by $6,000, and the number of units sold decreases by 7%? 4. What is the revised net operating income if the selling price per unit increases by 20%, variable expenses increase by 20 cents per unit, and the number of units sold decreases by 13%?

Answers

Answer:

the information about the company's income statement is missing, so I looked for a similar question (see attached image):

current contribution margin per unit = $3

current sales volume = 44,000 units

fixed expenses = $46,000

1. What is the revised net operating income if unit sales increase by 12%?

[(44,000 x 1.12) x $3] - $46,000 = $101,840

2. What is the revised net operating income if the selling price decreases by $1.30 per unit and the number of units sold increases by 19%?

[(44,000 x 1.19) x $1.70] - $46,000 = $43,012

3. What is the revised net operating income if the selling price increases by $1.30 per unit, fixed expenses increase by $6,000, and the number of units sold decreases by 7%?

[(44,000 x 0.93) x $4.30] - $52,000 = $123,956

4. What is the revised net operating income if the selling price per unit increases by 20%, variable expenses increase by 20 cents per unit, and the number of units sold decreases by 13%?

[(44,000 x 0.87) x $4.60] - $46,000 = $130,088
1. What is the revised net operating income if unit sales increase by 12%? 2. What is the revised net

Question 9 of 10
3 Points
Suppose a merchant in a moneyless economy traded his goods for a large
amount of purple fabric. He intended to use the fabric to trade for other
goods in another location. While he traveled to the other marketplace,
however, a trade ship arrived with a large shipment of purple fabric. As a
result, the merchant was only able to trade his fabric for about half of what he
had expected it to be worth in return. This situation illustrates the need for
what aspect of the purpose of money?
A. Preservation of value
B. Unit of measure
C.Ease of exchange
D.Government endorsement
I NEED HELP PLEASE!!

Answers

Answer:

Preservation of value

Explanation:

One of the advantages of money over trade by barter or any other moneyless transaction is the time value of money.

Time value of money can be explained as the ability of money to preserve its value and even increase in nearest future due to its potential earning capacity.

It can be inferred from the given scenario that the purples fabrics has lost a significant value due to the surplus of supply in the market place as it could no longer achieve the original worth.

Answer:

A) Preservation of value!

Explanation:

This means preserving a value, the cost of things at one point and another, you want to preserve that value in order to get the most out of your payment.

joker stock has a sustainable growth rate of 8 percent, roe of 18 percent, and dividends per share of $3.35. if the p/e ratio is 18.7, what is the value of a share of stock?

Answers

The value of a share of Joker's stock is $70.89.

To find the value of a share of Joker stock, follow these steps:

1. Calculate the earnings per share (EPS) using the sustainable growth rate (g) and return on equity (ROE):

g = (ROE * Retention ratio).

First, we need to find the retention ratio, which is the proportion of earnings retained in the company rather than paid as dividends.

2. Retention ratio = 1 - (Dividend payout ratio), where the dividend payout ratio = (Dividends per share / EPS). To find EPS, we can rearrange the sustainable growth rate formula:

g = (ROE * Retention ratio) => EPS = (g / ROE) + Dividends per share.

3. Substitute the given values into the formula:

EPS = (0.08 / 0.18) + $3.35.

Calculate the result:

EPS ≈ $0.44 + $3.35 ≈ $3.79.

4. Calculate the value of a share of stock by multiplying the EPS by the P/E ratio:

Value per share = EPS * P/E ratio.

5. Substitute the given P/E ratio and calculated EPS into the formula:

Value per share = $3.79 * 18.7.

Calculate the result:

Value per share ≈ $70.89.

So, the value of a share of Joker stock is approximately $70.89.

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which of the following is not one of the four basic financial statements? group of answer choices balance sheet income statement statement of changes in financial position statement of cash flows

Answers

The following is not one of the four basic financial statements option C. statement of changes in financial position.

The statement of changes in financial position is an alternative name for the cash flow statement, which is one of the four basic financial statements. The cash flow statement shows the inflows and outflows of cash and cash equivalents during a specific period and is used to assess a company's liquidity and ability to meet its short-term obligations.

On the other hand, the statement of changes in equity shows the changes in a company's equity accounts, such as common stock and retained earnings, during a specific period. It explains how the equity section of the balance sheet changed over time due to factors such as net income, dividends paid, and stock issuances or repurchases.

In summary, while the statement of changes in financial position may be used as an alternate term for the cash flow statement, it is not one of the four basic financial statements. Therefore, the correct option is C.

The question was incomplete, Find the full content below:

which of the following is not one of the four basic financial statements?

A. balance sheet

B. income statement

C. statement of changes in financial position

D. statement of cash flows

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Select all the correct answer.
What type of factor of production is a bulldozer?
Oland
O labor
O capital
O entrepreneur

Answers

Answer:

capital

Explanation:

bulldozer is bought with capital.

Which of the following is a challenge for a business that wants to begin exporting?

A) increasing company profits.
B) identifying a target market.
C) improper use of a trademark
D) Generate tax dollars for another country.

Answers

The answer to that is D

What are references?

Answers

Answer:

Reference is a relationship between objects in which one object designates, or acts as a means by which to connect to or link to, another object. The first object in this relation is said to refer to the second object. It is called a name for the second object.

Explanation:

Answer:

Reference is a relationship between objects in which one object designates, or acts as a means by which to connect to or link to, another object

Explanation:

5. a customer has requested that endurance corporation fill a special order for 2,000 units for $35.00 a unit. while the product would be modified slightly for the special order, the normal unit product cost is $21: direct materials: $6 direct labor: $4 variable manufacturing overhead: $3 fixed manufacturing overhead: $8 direct labor is a variable cost. the special order would have no effect on the company's total fixed manufacturing overhead costs. the customer would like modifications made to the product that would increase the variable costs by $1.20 per unit and that would require an investment of $15,000 in special printers that would have no salvage value. the company has maximum capacity of producing 30,000 units per year and there is a current demand for all 30,000 units. the company currently sells 30,000 units per year for $31.00 per unit. if the special order is accepted, the company's overall net operating income would increase (decrease) by: a. $(46,000) b. $(9,400) c. $0 d $26.600

Answers

Option-A:  if the special order is accepted, the company's overall net operating income would increase (decrease) by $(46,000)

Part a): Calculation of Cost Analysis of Endurance CorporationNormal Unit Product Cost = $21

Total Cost= $21 × 2,000

= $42,000

Revenue Generated = 2,000 × $35.00

= $70,000

Contribution Margin = $70,000 - $42,000

= $28,000

Variable cost per unit = Direct materials + Direct labor + Variable manufacturing overhead+

Variable cost per unit = $6 + $4 + $3

= $13

Variable cost per unit for the special order= $13+$1.20

= $14.20

Revenue Generated = 2,000 × $35.00

= $70,000

Total Cost = $21 + $14.20

= $35.20

Total Cost = $35.20 × 2,000

= $70,400

Contribution Margin = $70,000 - $70,400

= - $400

Therefore, the special order should not be accepted as the contribution margin is negative. It implies that the company will incur a loss of $400 if it accepts the special order.

Part b): Calculation of Sales if special order is rejected

Sales= 30,000 units × $31.00

= $930,000

Calculation of Sales if special order is accepted

Sales= 30,000 units × $31.00

= $930,000

Additional Sales Revenue from special order= 2,000 units × $35.00

= $70,000

Total Sales= $930,000+$70,000

= $1,000,000

Calculation of Incremental ProfitIf the special order is accepted, the company's overall net operating income would increase (decrease) by:

Incremental Profit = Total Sales - Total Cost

Incremental Profit= $1,000,000 - $70,400

= $929,600

Incremental Profit= $929,600 - $930,000

= -$400

Therefore, the correct answer is option A, which is $(46,000).

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fetzer company declared a $0.55 per share cash dividend. the company has 480,000 shares authorized, 456,000 shares issued, and 19,200 shares in treasury stock. the journal entry to record the dividend declaration is:

Answers

Debit Retained Earnings $250,800; credit Common Dividends Payable $250,800

What is a dividend?

A dividend is the distribution of profits to shareholders by a corporation. When a corporation makes a profit or has a surplus, it has the option of paying a portion of that profit as a dividend to its shareholders. Any money that is left over is taken out and put back into the business.

The total dividend is divided by the number of outstanding shares to determine the dividend per share.

A corporation may choose to disperse a portion of its income in one of four different ways. Your monthly brokerage statement may include information about dividends paid on CASH, STOCK, HYBRID, or PROPERTY investments.

Shares issued= 456,000

Per share cash dividend = $0.55

Dividends Payable = 456,000 x $0.55 = $250,800

Debit Retained Earnings $250,800, credit Common Dividends Payable $250,800

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what does the going concern concept mean?
A)a business is profitable
B)a business will continue to operate for the foreseeable future
C) the assets of a business exceed its liabilities
D)the assets of a business should be evaluated at disposal value

Answers

Answer:

B)a business will continue to operate for the foreseeable future

Explanation:

The concept of 'going concern' means that a business will continue to operate into the foreseeable future. It implies that a business has a long life and is no danger of shutting down or being liquidated.

The going concern concept may be applied when a business is being sold or acquired. When a business is being sold as a going concern, it means that it is being sold as a unit. After the transaction, the business is expected to continue with its operations as normal.

State 5 differences betweeen a stencil suplicator and a spirit duplicator​

Answers

Answer:

spirit duplication is a method of reproducing documents where a spirit duplicator is used. The master copy is prepared from which copies are produced.

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Explanation:

What are the two main factors that contribute to how much interest is paid on a mortgage loan?

Answers

The two main factors that contribute to how much interest is paid are the time period and credit score of the person taking the mortgage.

The other factors that the mortgage loan depends on are :

The location of the property.Whether the price of the property is high or low.The down payment was paid for the property.The current interest rates that are already prevailing in the market.The time period of the mortgage.The type of loan you require.

When searching for a lender to get a mortgage from, most borrowers will choose the lender that offers the lowest mortgage interest rate. The lower the interest rate the less expensive will be the monthly payment. So over the period, the borrower will be able to save money.

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The purposes of ______ should be to determine whether the project provided the customer with the expected benefits, assess the level of customer satisfaction, and obtain any feedback that would be helpful in future business relationships with this customer or with other customers.

Answers

Explanation:

marketing about selling produktivitas

Which one of these statements is correct concerning the lease versus buy decision? A) A firm should always purchase an asset rather than lease it if the asset has a positive salvage value. B) If Dell Computer became a lessor of its own computers it would be doing direct leasing. OC) The lessor is primarily concerned with returning the asset at the end of the lease term without incurring any additional charges. OD) The lessee is primarily concerned about the use of the asset. OE) Dell Computer would be a captive finance company if it became a lessor of its own computers.

Answers

Option D is correct that the lessee is primarily concerned about the use of the asset.Concerning the lease versus buy decision, the following are the correct statements:Option A is incorrect as it is not always true that a company should purchase an asset rather than lease it if the asset has a positive salvage value.

Factors such as the time value of money, tax considerations, and the company's specific circumstances must be considered in deciding whether to lease or buy an asset.Option B is incorrect as Dell Computer cannot engage in direct leasing of its own computers since it is the manufacturer of the assets.Option C is partially correct. A lessor is concerned about the asset's residual value at the end of the lease term; however, the lessor may also be interested in additional charges incurred by the lessee such as maintenance costs.

Option D is correct as the lessee is primarily interested in the use of the asset during the lease term.Option E is incorrect as Dell Computer becoming a lessor of its own computers will not qualify it as a captive finance company. A captive finance company is an affiliate of a company that provides financing to customers to purchase the company's products or services.

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