The sum of money that families and corporations will wish to hold approximately $140 if nominal gdp are $200 as well as the rate of interest is 6%.
What are real and nominal GDP?Nominal GDP is the data collected in today's money, without the effects of inflation. Real GDP eliminates any distortion brought on by deflation or inflation by adjusting the statistics by fixing the value of the currency.
What's really nominal GDP explained simply?The value of all commodities and services produced during a particular time frame less the value of the those created throughout the production process is the nominal GDP, to put it simply. GDP measures the monetary worth of all the services and goods a nation produces. One metric for assessing the health of the economy is nominal GDP.
To know more about nominal visit:
https://brainly.com/question/20820909
#SPJ4
in 2017, the fiesta, a subcompact car manufactured by ford, was known to catch on fire when rear-ended, even at inner-city speeds. this stripped consumers of their right to group of answer choices choose. be informed. be protected.
In the 1970s, the Pinto, a subcompact car manufactured by Ford, was known to catch on fire when rear-ended, even at inner-city speeds. This stripped consumers of their right to safety.
Safety as a Right means having the legal right to be shielded from the promotion of products and services that endanger life and property.
The items and services obtained should serve their long-term interests as well as their present requirements.
Quite simply, the right to safety can be described as follows: Everyone has a right to the maximum level of protection possible against risks that are both natural and man-made.
Other economic, social, and cultural rights recognised in international human rights accords lend weight to this notion. Many products need extra care to be taken to ensure their safety.
To know more about Rights, visit:
https://brainly.com/question/7059776
#SPJ4
an announcement of a finding that vaping diminishes people's ability to think clearly will most likely result in: group of answer choices an increase in the quantity of vapes demanded. a decrease in the demand for vapes. no change in vaping habits. an increase in the price of vapes.
An announcement of a finding that vaping diminishes people's ability to think clearly will most likely result in a decrease in the demand for vapes.
In the term of economic market, supply and demand generally can be defined as an economic model of price determination in a market. There are several factors that affect through the supply and demand. There are taxes and government regulation, economic cycles, the market power of suppliers, the availability of substitute goods, can all shift the supply or demand curves or alter their shapes.
Here you can learn more about supply and demand https://brainly.com/question/14741584
#SPJ4
the way to achieve unity and coordination is through the use of which written procedures that specify what companies will do when they arrive at the emergency scene?
Standard operating procedure will do when they arrive at the emergency scene.
A corporation will develop a standard operating procedure (SOP) to guide staff through doing routine tasks. SOPs aim to improve efficiency, high-quality output, and consistency of performance while decreasing misconceptions and failure to follow industry regulations. Some military forces use the term standing operating procedure since a military SOP relates to a unit's own protocols, which are not always common to another unit. The term "standard" might indicate that every unit must employ the same methodology. The expression is occasionally used in a sarcastic manner to characterize common yet harmful activities. For instance, "SOP" in the Philippines refers to pervasive corruption throughout the country's institutions of government.
Learn more about Standard operating from
brainly.com/question/29341532
#SPJ4
mental disabilities, such as depression and bipolar disorder, covered under the americans with disabilities act. managers should .
The concept is Disabilities. It is the experience of any condition that makes it more difficult for a person to do certain activities
The answer is are, treat internal disabilities as they would physical disabilities.
A disability is defined as a condition or function judged to be significantly bloodied relative to the usual standard of an individual or group. The term is used to relate to individual functioning, including physical impairment, sensitive impairment, cognitive impairment, intellectual impairment internal illness, and colorful types of habitual complaint.
Disabilities can impact people in different ways, indeed when one person has the same type of disability as another person.
Question
Mental disabilities, similar as depression and bipolar complaint---------------covered under the Americans with Disabilities Act. directors should--------------.
To know more about Disabilities,
brainly.com/question/29482294
#SPJ4
how do uninsured populations access medical care? a) through a special branch of the va b) through safety net providers c) via a federally mandated fund funded by contributions from hmos d) medical services for the uninsured are underwritten by pharmaceutical companies that manufacture the drugs they are prescribed.
Numerous individuals lacking access to health insurance are treated by safety net providers, such as government public hospitals, outpatient centers, rural district hospitals, and municipal health departments.(B) IS THE RIGHT CHOICE.
Describe the healthcare industry's four main problems?
Large-scale issues facing the healthcare sector today
Threats to computer security.
Introduction of telehealth.
Billing and reimbursements
Prices Must Be Transparent.
IT investments in the healthcare industry.
encounters with patients.
Payment models that work.
Lack of Medical Personnel
What prevents people from getting the medical care they need?
Access to healthcare in the US is hampered by five major factors.
inadequate insurance coverage
Healthcare is frequently insufficient as a result of insurance issues.
limitations of medical personnel.
bigotry and discrimination within the nursing industry.
obstacles relating to employment and commuting.
physician communication problems.
To know more about government click here
brainly.com/question/6692596
#SPJ4
true or false: most social media marketing experts believe that you should design a marketing campaign, then explore the social media tools available in platforms.
False, The majority of social media marketing gurus don't think you should create a marketing campaign without looking into the platforms' social media features.
To get the word out about items, advertising campaigns use a variety of media, including print, radio, television, and online platforms. Along with standard advertising, campaigns can also make use of demonstrations, video conferencing, and other interactive techniques. Franchisees and businesses that face intense competition on the market may often engage in marketing campaigns and invest significant financial resources in order to raise brand recognition and increase sales. Marketing campaigns are groups of tactical operations that aid a company in achieving its goal. In a marketing campaign, an advertisement for a good or service, a product, or the brand as a whole may be employed.
To learn more about marketing campaign refer here:
https://brainly.com/question/28590454
#SPJ4
on december 31, we had accrued taxes of $6,000. what account would we credit when we record this adjusting entry in the general journal?
The account to which we would post a credit note when posting this correction entry in the summary journal is the accrued tax payable account. This account is used to record taxes that are owed to the government, such as income taxes, sales taxes, etc.
These taxes are accrued or accrued during the current period but have not yet been paid. The adjusting entry would be to credit the Accrued Taxes Payable account for $6,000 and debit the Expense account for the same amount to record the tax-related expense. An adjustment is necessary to ensure that taxes are properly accounted for in the current period, even if they have not yet been paid.
To know more about accrued tax payable click here
https://brainly.com/question/29608997
#SPJ4
a manager's operation currently has an average sale per guest of $9.00. for the upcoming accounting period, the manager predicts 8,000 guests will be served at a check average 5% higher than the current average sale per guest. what will be this manager's revenue forecast for the upcoming period?
The manager's revenue forecast for the upcoming period is $76,360.
What is manager's revenue?Manager's revenue is the total income generated by a manager or business leader through the sale of goods or services, as well as any other activities under their purview. Revenue is the most important metric for assessing the performance of a business or individual manager and is used to determine profitability and inform decision-making.
The manager's revenue forecast for the upcoming period can be calculated by multiplying the predicted number of guests served (8,000) by the predicted average sale per guest (5% higher than the current average of $9.00, or $9.45).
Thus, the manager's revenue forecast for the upcoming period is $76,360, calculated as 8,000 x $9.45 = $76,360.
To learn more about goods or services
https://brainly.com/question/29459481
#SPJ4
When interest is compounded more than once per year which interest rate should be used when finding the time value of money?
you won the lottery! you'll receive $52,000 per year for the next 65 years. at a discount rate of 5%, what is the current value of your prize?
The current value of the prize is $758,336.00. The idea behind present value is that money received in the future is worth less than an equal amount of money received today.
The current value of an annuity is equal to the sum of the discounted future payments. The current value, also known as the present value, is the value of a future payment, cash flow, or asset today, given a certain interest rate.
The formula for the present value of an annuity is:
PV = (Annual Payment / Discout Rate) * (1 - (1 + Discount Rate)⁻ⁿ
Where:
Annual Payment = $52,000
Discount Rate = 5% = 0.05
n = 65 years
PV = ($52,000 / 0.05) * (1 - (1 + 0.05)⁻⁶⁵
PV = $52,000 / 0.05 * (1 - (1.05)⁻⁶⁵
PV = $52,000 / 0.05 * (1 - 0.25583973)
PV = $52,000 / 0.05 * 0.74416027
PV = $52,000 * 14.8832054
PV = $758,336.00
Therefore, the result is $758,336.00.
Learn more about the current value: https://brainly.com/question/30394590
#SPJ4
the nation of potchatoonie produces hockey pucks, cases of root beer, and sandals. the following table provides data on prices and quantities of the three goods in the years 2017 and 2020. year pucks root beer sandals quantity price quantity price quantity price 2017 100 $5 300 $20 75 $20 2020 125 $9 325 $20 110 $25 instructions: enter your responses as whole numbers. assume that 2017 is the base year. find nominal gdp and real gdp for both years. year nominal gdp real gdp 2017 $ $ $ $ 2020 $ $ $
Nominal GDP is the value of all goods and services produced in an economy in current prices, without adjusting for inflation. Real GDP, on the other hand, is the value of all goods and services produced in an economy in constant prices, adjusted for inflation.
To calculate nominal GDP, we multiply the quantity of each good produced by its corresponding price in the year being considered.
For 2017:
Nominal GDP = 100 hockey pucks * $5/puck + 300 cases of root beer * $20/case + 75 sandals * $20/sandal = $4500
For 2020:
Nominal GDP = 125 hockey pucks * $9/puck + 325 cases of root beer * $20/case + 110 sandals * $25/sandal = $6250
To calculate real GDP, we use the prices of a base year (usually the first year of the period being considered) to value all the goods and services produced in the current year. In this case, we'll use 2017 prices.
For 2020:
Real GDP = 125 hockey pucks * $5/puck + 325 cases of root beer * $20/case + 110 sandals * $20/sandal = $6750
From this, we can see that the nominal GDP has increased from $4500 in 2017 to $6250 in 2020, while the real GDP has increased from $4500 in 2017 to $6750 in 2020, after adjusting for inflation.
In conclusion, while nominal GDP reflects the value of goods and services produced in current prices, real GDP adjusts for changes in the purchasing power of money over time and provides a more accurate representation of the economy's overall production.
To know more about inflation:
https://brainly.com/question/29308595
#SPJ4
danny is trying to determine if he should purchase equipment for his business this year or next year. he is currently in the 28% tax bracket and will be able to expense the equipment in the year he purchases it. with the new equipment, he believes that his marginal rate will increase to 33% next year. the cost of the equipment is $20,000 and his after-tax rate of return is 6%. calculate the after-tax cost of the equipment for both years and choose the correct statement below. year4%5%6%7% 1.962.952.943.935 2.925.907.890.873 3.889.864.840.816 4.855.823.792.763 5.822.784.747.713
Currently: 20,000 times 0.28 equals 5,600; 20,000 minus 5,600 is $14,400. In the following year: 20,000 x 0.33 = $6,600 x 0.943 (PV) = 6,224; 20,000 Minus 6,224 = 13,776.
$14,400 > $13,776 —> Next year since it's less expensive
What tax bracket applies to married couples filing jointly in 2022?When married couples file jointly, the tax rate is 32% for incomes over $170,050 ($340,100); 24% for incomes over $89,075 ($178,150); 22% for incomes over $41,775 ($83,550); and 12% for incomes over $10,275 ($20,550).
Does Andre get to choose between getting $1,800 today or $1860 in a year?Andre might choose to get $1,800 right away or $1,860 a year from now. Andre would have $1 in a year if he can invest the money and make 4 percent this year. He ought to accept the $2 ($1,800/$1,860). (Instead of using words, the solutions should be expressed as numbers.)
To Know more about tax rate
https://brainly.com/question/12395856
#SPJ4
which term defines when activities are incompatible so that more of one thing necessitates less of another activity? multiple choice question. straddling balanced approach productivity trade-off
When two activities cannot coexist, a trade-off must be made wherein more of one activity requires less of the other. Competition is rife with positioning trade-offs, which are crucial to strategy.
What exactly does the term "tradeoffs" mean?The trade-off or compromise occurs when one thing is given up in favor of another. Students might have to pick between someone lower hourly rate with a more prime location while looking for after-school work.
Why do people succumb to pressure?One of the fundamental tenets of economics is the concept of trade-offs, which holds that in order to have more of one thing, you must be willing to tolerate having less of another.
To know more about trade-off visit:
https://brainly.com/question/10895386
#SPJ4
she has determined that compatibility with the ehr is four times as important as vendor investment in research, and that ease of use is threetimes as important as compatibility. what are the relative (normalized) weights of the three attributes? start by assigning a weight of 10 to vendor investment in research. compute weights to two decimal places.
The relative (normalized) weights of compatibility with the EHR, ease of use, and vendor investment in research are 0.24, 0.71, and 0.06, respectively, to two decimal places.
What are the relative weights of the three attributes?Let's call the weights for compatibility with the EHR, ease of use, and vendor investment in research, W1, W2, and W3, respectively. We know that:W1 = 4 * W3W2 = 3 * W1So we can substitute the first equation into the second equation to get:W2 = 3 * 4 * W3 = 12 * W3If we assign a weight of 10 to W3, the weight of vendor investment in research, we can solve for W1 and W2:W3 = 10W1 = 4 * W3 = 4 * 10 = 40W2 = 12 * W3 = 12 * 10 = 120Now that we have found the weights for each attribute, we need to normalize them to ensure they add up to 1. To do this, we divide each weight by the sum of the weights:W1 = 40 / (40 + 120 + 10) = 40 / 170 = 0.24 \sW2 = 120 / (40 + 120 + 10) = 120 / 170 = 0.71\sW3 = 10 / (40 + 120 + 10) = 10 / 170 = 0.06So the relative (normalized) weights of compatibility with the EHR, ease of use, and vendor investment in research are 0.24, 0.71, and 0.06, respectively, to two decimal places.To learn more about normalized weights refer:
brainly.com/question/28507971
#SPJ1
describe the primary differences between the recording of revenues and expenses under accrual-basis accounting versus cash-basis accounting.
When revenue and expenses are recognized, the key distinction between accrual and cash basis accounting is when they occur.
As opposed to the accrual method, which focuses on projected income and expenses, the cash method allows for instantaneous recognition of revenue and expenses. When actual payments are made or received, the cash basis accounting system tracks the revenue and expenses. The timing of the transactions that generate them is not taken into consideration. As opposed to this, accrual accounting keeps track of income and expenses as they happen, without waiting for money to be collected or paid.
For more information of accrual and cash basis accounting, refer to:
https://brainly.com/question/14947252
#SPJ4
three advertising executives have decided to start their own business. they will each invest the same amount to get the business started and plan to split profits evenly among themselves. they would like limited liability and would like to avoid double taxation. which type of business ownership would best suit their needs?
Three advertising executives have decided to start their own business. they will each invest the same amount to get the business started and plan to split profits evenly among themselves. A Limited Liability Company business ownership would best suit their needs.
A Limited Liability Company is a blended legal entity that combines elements of business, partnerships, and sole proprietorships. Different from a corporation, an LLC is a kind of unincorporated association. An LLC's main similarity to a corporation is its limited liability, while its main similarity to a partnership is the option of pass-through income taxes.
A Limited Liability Company might work effectively for businesses with a sole proprietor since it is frequently more adaptable as a business structure than a corporation. In the US, limited liability companies (LLCs) are a form of business structure that combines the advantages of corporations and partnerships. While retaining the limited liability status of corporations, limited liability firms can benefit from the flexibility and flow-through taxation that pairs and self - employed individuals provide.
Learn more about Business here:
https://brainly.com/question/26106218
#SPJ4
janet maple sold her apple orchard in 2020 for $80,000. her adjusted basis at the time of sale was $60,000. she bought the orchard in 2013, but the trees did not produce a crop until 2016. her pre-productive expenses were $6,000. she elected not to use the uniform capitalization rules. janet must treat what amount of the gain as ordinary income?
Janet must treat what amount of the gain as ordinary income is $14,000.
What is ordinary income?Ordinary income refers to income that is taxed at the same rate as regular taxable income, as opposed to capital gains, which are taxed at a lower rate. Ordinary income includes a wide range of sources, including wages, salaries, tips, bonuses, and taxable interest income. It also includes certain types of business income, such as sole proprietorship profits and income from passive activities.
In general, ordinary income is taxed at higher rates than capital gains because it is considered to be a more stable and reliable source of income. These expenses are considered capital expenses and can be added to the adjusted basis of the property to determine the gain or loss from the sale of the property.
The calculation for Janet's gain would be as follows:
Sale price ($80,000) - adjusted basis ($60,000 + $6,000) = $14,000
To know more about ordinary income visit:-
brainly.com/question/16944518
#SPJ4
suppose that if poor households have a price elasticity of demand for medical care of 0.50 and rich households have a price elasticity of demand for medical care of 0.25, then a price increase of 10% would lead to the poor households reducing their quantity demanded for medical care by
A price increase of 10% would lead poor households to reduce their quantity demanded for medical care by 0.50 * 10% = 5%. So, the quantity demanded for medical care would decrease by 5%.
Price elasticity of demand is a measure of how responsive the quantity demanded of a good is to changes in its price. It is calculated as the percentage change in quantity demanded divided by the percentage change in price. In this case, the price elasticity of demand for medical care is 0.50 for poor households and 0.25 for rich households.
If the price of medical care increases by 10%, the quantity demanded will change in response. The change in quantity demanded can be calculated by multiplying the price elasticity of demand by the percentage change in price. For poor households, the price elasticity of demand is 0.50, so the change in quantity demanded is:
0.50 * 10% = 5%
This means that the quantity demanded of medical care will decrease by 5% for poor households as a result of a 10% increase in price.
For rich households, the price elasticity of demand is 0.25, so the change in quantity demanded is:
0.25 * 10% = 2.5%
This means that the quantity demanded of medical care will decrease by 2.5% for rich households as a result of a 10% increase in price.
To learn more about medical care please click on below link.
https://brainly.com/question/28900834
#SPJ4
an american company enters the mexican market by sharing ownership of a subsidiary firm with a mexican company. this is an example of a(n) .
An American company enters the Mexican market by sharing ownership of a subsidiary firm with a Mexicans company. This is an example of an Joint Venture.
A joint venture is a commercial arrangement wherein two or more parties or companies concur to combine their resources in order to carry out a certain activity. New projects or any other commercial endeavours may be included in this duty. Any gains, losses, or expenses incurred by a joint venture are shared equally by all of its members.
Although distinct from the partners' other economic interests, the venture is nonetheless its own legal company. Even though a joint venture is often created for manufacturing or research purposes, one can also be set up for ongoing goals. Large and small businesses can join forces through JVs to work on one or more projects and business transactions.
Learn more about Venture here:
https://brainly.com/question/29511571
#SPJ4
why should a small business that takes advantage of the internet as a marketing tool make sure its brand stands out and connects with customers?
The small business have to take the advantages into internet as their marketing ways because Individuals have a tendency to rapidly surf across many web sites. So that the small business can attract the customer on it.
In economic and business, Product strategy generally can be described as the high-level plan for developing and marketing a product. Beside that, product strategy also can be described as how the product supports the business strategy and goals, and is brought to life through product roadmaps. There are four major elements of business strategies, such as customer, competitors, macro environment, and also market. Beside that also there are several types of business strategies, such as comparative business strategies, differentiation business strategies, and segmentation business strategies.
Here you can learn more about product strategies brainly.com/question/28788924
#SPJ4
marquis company uses a weighted-average periodic inventory system and has the following purchases and sales: august 2 28 units were purchased at $9 per unit. august 18 33 units were purchased at $11 per unit. august 29 30 units were sold. what is the amount of the cost of goods sold for this sale? (round average cost per unit to 2 decimal places.) group of answer choices $274.00
Marquis company's amount of the cost of goods sold for this sale is $302.40.
Costs of Goods Sold (COGS) are the expenses incurred over a specific time period to produce your goods.The total of all direct costs incurred in producing a good constitutes the cost of goods sold (GOGS).
It can be found on an income statement and usually includes money spent on labor and raw materials. It excludes commissions connected to marketing, sales, or distribution.
28 units * $9per unit = $261
33 units * $11 per unit = $363
Average cost per unit = Total cost/Total units available
= [(28*9)+(33*11)]/(28+33)
= 615/61
= $10.08
Cost of Goods Sold = 30 * 10.08
= $302.40
Read more about Cost of goods sold at:
https://brainly.in/question/15402456
#SPJ4
assume nitrogen costs $0.40 per pound and corn price is $4.00 per bushel. what is the profit maximizing amount of corn to produce?
Corn costs $4.00 per bushel, whereas nitrogen costs $0.40 per pound. The amount of grain to be produced to maximize profits is $3.00.
What is the amount that maximizes profit?All companies optimize their profits when their marginal cost and marginal product are equal. Making marginal revenue equal to zero, which happens at the maximum output level, reveals the quantity and price that maximize profitability. The selling price should be set at this amount. Marginal revenue equals 0 when the total revenue curve achieves its maximum value. An example is a regularly scheduled airline flight.
According to the formula profit = Total revenue - Total expense, profit is determined. When the first order, MR = MC, and the second order depend, a business maximizes profit.
To know more about profit maximizing amount visit:-
brainly.com/question/28253283
#SPJ4
lishia is a home builder. how would you characterize the cost of the discounts she offers to customers who buy before the house is finished?
Option c: Period cost. Periodic charges are charges that aren't immediately associated with the manufacturing process.
Period charges are charges that can't be capitalized on a company's stability sheet. That is, they're expensed withinside the duration wherein they're incurred and seem at the profits statement.
Periodic costs are also known as recurring costs.
In operations and costing, period costs refer to costs that are not related to or related to the production of inventory.
Examples include selling expenses, general and administrative expenses (SG&A), marketing expenses, CEO salaries, and office rental expenses.
Costs are recognized as expenses in the period in which they are incurred, as they are not related to the production of inventory.
In other words, all costs not incurred in manufacturing a product (product cost) are period costs.
To know more about period costs, here;
https://brainly.com/question/29590425
#SPJ4
Complete question:
Lishia is a home builder. How would you characterize the cost of the discounts she offers to customers who buy before the house is finished?
Group of answer choices
Direct Cost
Product Cost
Period Cost
Fixed Cost
a 7-year bond has a coupon rate of 3%, a yield-to-maturity of 3.8%, a current yield of 3.4%, and an estimated one-period holding return of 5%. if you invested $1000 in this bond, how much more money you are expected to get after holding this bond for a year?
You are expected to get $51.82 more after holding this bond for a year. The formula for YTM takes into account the coupon rate, the price of the bond, and the time to maturity.
The concept used to answer the question is yield to maturity (YTM), which is a measure of the expected return on an investment in a bond if the investor holds the bond until it matures. In this case, the YTM of the bond is 3.8%, and the estimated one-period holding return is 5%. The difference between these two values represents the expected return on the bond after holding it for one year. To find out how much more money you are expected to get after holding the bond for a year, we need to calculate the estimated holding return.
The estimated holding return is calculated as follows:
Holding return = (Coupon payment + Capital gain/loss) / Beginning market price
Here, the coupon payment = 3% * $1000 = $30
The estimated one-period holding return = 5%
The capital gain/loss = Ending market price - Beginning market price
Using the relationship between coupon rate, yield-to-maturity, and market price, we can calculate the ending market price:
(Coupon payment + Principal) / (1 + Yield-to-maturity)ⁿ = Market price
Where n = number of periods (in this case, 1 year)
Substituting the values, we have:
($30 + $1000) / (1 + 0.038)¹ = $1011.82
So, the capital gain = $1011.82 - $1000 = $11.82
Finally, the estimated holding return = ($30 + $11.82) / $1000 = 0.05182, or 5.182%.
Therefore, you are expected to get $1000 * 0.05182 = $51.82 more after holding this bond for a year.
Learn more about YTM: https://brainly.com/question/14644574
#SPJ4
you own a small business that sells shoes. you're ready to run your first smart shopping campaign that uses a set budget. how does the system allocate budget on a smart shopping campaign?
You must design a different campaign for each channel since budget is automatically allotted by campaign; Smart Shopping will then maximize budget. Based on performance, the budget is automatically distributed among the channels.
What do you mean by budget?
In order to estimate future revenue and expenses, a budget is a financial document. A budget, in its simplest form, is a plan that accounts for current expenditure, future savings, and anticipated income.
Surplus, Balanced, and Deficit Budgets are the three types of yearly government budgets based on estimates. A budget is said to be balanced when the revenues are larger than or equal to the expenses.
How does the system distribute funding for a campaign promoting smart shopping?
According to performance, funding is distributed automatically across channels. There is no requirement that you build a different campaign for every channel.
Your preferred channels are taken into account when manually allocating the budget across them.
Learn more about Budget
brainly.com/question/14346888
#SPJ4
What does Rational Ignorant mean?
Voters are rationally ignorant: they have too little incentive to be well informed.
Rational ignorance means that special interests can dominate parts of the political process.
Incumbent politicians can use their control of the government to increase their chances of reelection.
It means that there is no economic incentive for electorate to learn about pending legislation. The public choice model uses economic analysis to make government decisions.
What exactly is the distinction between illogic and ignorance?If a person is ignorant, they may eventually realize their lack of knowledge and change to rational thought. It is difficult to persuade someone who is irrational (or generally pro) in their thinking patterns that they're wrong.
What exactly is the ignorance theory?Abstract. Argues that, like knowledge, ignorance is socialized and negotiated. Techniques and approaches may be skewed by a focus on consensuality as the foundation for orderly socializing as well as organization. Distinctions in preferences or liking are not included in the definition of ignorance.
To know more about economic incentive visit:
https://brainly.com/question/27507290
#SPJ4
what is the present value of the following uneven cash flow stream discounted at a rate of 6.25%? year 1 $75 year 2 $225 year 3 $0 year 4 $300 $480.03 $411.57 $505.30 $433.23 $456.03
The following irregular cash flow stream has a present value of $1,601.12 after being discounted at a rate of 6.25%.
To calculate the present value of this uneven cash flow stream, we need to discount each cash flow back to its present value using a discount rate of 6.25%, and then sum up the present values.
Here are the calculations:
Year 1 cash flow: $75 discounted back one year at a rate of 6.25% has a present value of $70.31 (PV = $[tex]75 / (1 + 0.0625)^1)[/tex].
Year 2 cash flow: $225 discounted back two years at a rate of 6.25% has a present value of $198.38 (PV = $225 / [tex](1 + 0.0625)^2[/tex]).
Year 3 cash flow: $0 has a present value of $0, since it is already in the present.
Year 4 cash flow: $300 discounted back four years at a rate of 6.25% has a present value of $214.20 (PV = $300 / [tex](1 + 0.0625)^4[/tex]).
Year 5 cash flows: $480.03, $411.57, $505.30, and $433.23 are all discounted back five years at a rate of 6.25%.
They have present values of $320.06, $274.26, $336.57, and $288.34, respectively (PV = CF / [tex](1 + 0.0625)^5[/tex]).
To find the total present value, we add up the present values of each cash flow:
Total PV = $70.31 + $198.38 + $0 + $214.20 + $320.06 + $274.26 + $336.57 + $288.34
= $1,601.12
For such more question on cash flow
https://brainly.com/question/24179665
#SPJ4
edward has been applying for jobs for a few months. he has been living on his savings, and now has about $300 in his bank account. of the scenarios listed, in which does edward have the most leverage?
The scenario in which Edward has the most leverage is if he can find a job that pays him a salary and provides benefits, such as health insurance. This way, he can ensure he has a steady income and access to other important resources.
Having a steady income and access to benefits such as health insurance is essential for any individual. Edward has been searching for a job for a few months, and his current financial situation has him living off his savings with only $300 in his bank account. Therefore, he has the most leverage if he can find a job that pays him a salary and provides health insurance.
Learn more about leverage: https://brainly.com/question/26146210
#SPJ4
the payback period rule accepts all projects for which the payback period is: multiple choice greater than the cut-off value. less than the cut-off value. positive. an integer.
The payback period rule accepts all the projects for which payback period is less than cut-off value.
What is payback period?The amount of time required to recoup the cost of an investment is known as the payback period. The payback period is crucial since people and businesses invest money primarily to be compensated. The faster an investment pays out, the more appealing it is in theory. Anyone can utilise the payback time calculation method, which entails dividing the initial investment by the projected cash flows. The payback period is a common technique used by businesses, financial experts, and investors to gauge investment returns. It makes estimating the amount of time it will take for an investment to pay for itself easier. Before drawing any conclusions, this data is helpful, especially when a quick assessment of a suggested investment effort is required.
To learn more about payback period, visit:
https://brainly.com/question/13978071
#SPJ4
which of the following statements are true about short selling? check all that apply: short sellers borrow securities and sell them immediately. the investor involved in short selling anticipates that the share price will increase. short selling is the sale of a security that is not owned by the seller. the investor involved in short selling anticipates that the share price will fall. short selling means that an investor purchases securities using funds borrowed from her broker.
The following statements are true about short selling:
short sellers borrow securities and sell them immediately.The investor involved in short selling anticipates that the share price will fall.Short selling is the sale of a security that is not owned by the seller.What is short selling?Short selling is a trading strategy in which an investor sells securities that they have borrowed from a broker, with the expectation that the price will fall. The goal is to buy back the securities at a lower price, return the borrowed shares to the broker, and pocket the difference as profit. It is a way for investors to bet against a stock or other security and profit from a decline in its price.
When the price drops, the investor buys the same number of shares at the lower price and returns them to the broker. The profit is made from the difference between the higher sale price and the lower purchase price.
To know more about short selling, visit:
https://brainly.com/question/30431201
#SPJ4