A bank finds itself short of required reserves and therefore borrows from another commercial bank. The interest rate on this loan is:. e. the federal funds rate.
Specifically, it would depend on the interbank lending rate or the rate at which banks lend to each other. This rate is influenced by factors such as the central bank's monetary policy, market conditions, liquidity levels, and the creditworthiness of the borrowing bank. The specific interest rate on the loan would be negotiated between the borrowing bank and the lending bank, taking into consideration these factors and the terms of the loan agreement. Thus the correct option (E)
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Full Question: A bank finds itself short of required reserves and therefore borrows from another commercial bank. The interest rate on this loan is
a the required reserve ratio
b. the prime rate
c the discount rate.
d. zero
e. the federal funds rate.
In recent years, progressive firms have embarked upon __________, where they will commit company resources and expertise toward helping in broad-based humanitarian situations.
In recent years, progressive firms have embarked upon co-orperate social initiaitives, where they will commit company resources and expertise toward helping in broad-based humanitarian situations. This is further explained below.
What is a firm?Generally, a firm is simply defined as a firm Professional services are provided by a firm, which might be a corporation, a private corporation.
In conclusion, Co-operative social initiatives have been more popular among progressive businesses in recent years.
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any project teams are made up of team members that never meet face-to-face; they communicate throughout the project using email and sharing computer files. This type of project teamwork is referred to as _________
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friendguess a number between 1-20
Answer:
17
Explanation:
When a seller allows a buyer thirty to sixty days to pay for a purchase, the sales arrangement is called a. a promissory note. b. equity financing. c. trade credit. d. a bank loan. e. None of these answers is correct.
The sales arrangement when a seller allows a buyer thirty to sixty days to pay for a purchase is known as Trade credit
A trade credit is an arrangement that exists between buyers and sellers with respect to exchange of goods and services.
In trade credit, the supplier allows the buyer purchase on credit and pay later usually between 30, 60 or 90 days.
Hence, trade credit is where a seller allows a buyer thirty to sixty days to pay for a purchase.
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4. When it comes to owning a hotel there are a variety of options for ownership such as
franchising, independent lodging, REITS management contracts and vacation ownershipsh
or timeshares Briefly explain each of these highlighting the disadvantages and
advantages of each which would you choose? Why?
5. Why are room counts important to hotels? What are some strategies to achieve accuracy
in this department? Within your answer explain and analyze the value and impact of
calculation of hotel occupancy average daily rate (ADR) and revenue available room
The four basic types of hotel ownership and management are franchise, privately owned and operated, leased, and managed. Even though a franchise is privately owned, the owner is still required to pay a one-time franchise fee and ongoing royalties.
A timeshare is a holiday home with a shared ownership structure. In a typical timeshare, you split the property's cost with other purchasers in return for a specific number of years of access to the franchising property. Less freedom to plan vacations While owning a timeshare may have a lot of drawbacks, the lack of flexibility many of them offer when it comes to vacation planning is possibly the most important.
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Shawn lost $15,000 on his stock investments this past year. Which is true? (5 points)
He can deduct the loss from his property taxes.
He can recover the loss through his insurance.
He can deduct the loss from his taxable income.
He has to pay an administrative fee on the loss.
The TRUE statement about Shawn, who lost $15,000 on his stock investments this past year, is that C. He can deduct the loss from his taxable income.
Shawn's taxable income (capital gains) will be reduced by the amount of the investment loss. However, he can only recover $3,000 in each year while the remaining will be carried forward to subsequent years.
Shawn cannot recover the investment loss:
From his property taxesThrough his insuranceBy paying an administrative fee.
Thus, the true statement is C.
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why did the industrial revolution lead to a growth in marketing research?
The Industrial Revolution led to the growth of marketing research due to several reasons. One of the reasons is the need for increased production, which required companies to find new ways to sell their products.
Additionally, the rise of mass production made it possible for companies to produce goods on a large scale, which meant that they needed to find ways to market their products to a wider audience.
Marketing research became crucial during the Industrial Revolution because it helped companies identify the needs and preferences of their customers. By conducting surveys, companies were able to find out what their customers wanted and needed, which enabled them to tailor their products and marketing campaigns to meet those needs. This helped companies increase their sales and profits, which, in turn, fueled further growth in the industry.
Moreover, the rise of transportation and communication technologies also contributed to the growth of marketing research. Improved transportation made it easier for companies to distribute their products across the country, while the telegraph and telephone made it possible for companies to communicate with customers and suppliers over long distances.
This enabled companies to conduct surveys and gather data from a wider audience, which helped them stay ahead of their competitors.
In conclusion, the Industrial Revolution led to the growth of marketing research due to the need for increased production, the rise of mass production, the need to identify the needs and preferences of customers, and the improvement in transportation and communication technologies.
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People who buy shares of a company are called entrepreneurs.
a.True
b.False
Answer:False they are called stockholders
Explanation:
Answer:
false
Explanation:
What is 2+2-5x(87x-32)=
Answer:
-435x^2+160x+4
Explanation:
put the 2 as a square root
chris borrowed $20,000 for 15 years at 7.2 percent compounded quarterly. what is chris's quarterly payment?
Chris's quarterly payment on a $20,000 loan for 15 years at 7.2 percent compounded quarterly can be calculated using the formula for quarterly loan payments.
To determine Chris's quarterly payment, we can use the formula for calculating loan payments. The formula is:
Payment = (P * r * (1 + r)^n) / ((1 + r)^n - 1)
Where:
P = Principal amount of the loan ($20,000)
r = Quarterly interest rate (7.2% / 4 = 1.8% or 0.018)
n = Number of payment periods (15 years * 4 quarters per year = 60 quarters)
Plugging these values into the formula, we get:
Payment = (20,000 * 0.018 * (1 + 0.018)^60) / ((1 + 0.018)^60 - 1)
By solving this equation, we can find the exact quarterly payment that Chris needs to make on his loan.
Calculating the quarterly payment allows Chris to budget and plan his finances effectively. It ensures that he can meet his repayment obligations and manage his cash flow accordingly. The quarterly payment consists of both principal and interest, with a portion going towards reducing the loan balance and the remaining portion covering the interest accrued during the period.
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If you were a business man,how would you handle your home trade
Answer:
I wouldnt
Explanation:
i like my home, i wouldnt want to trade it
Your parents have been advised to save 5% of their income for your college education,
which would include money for housing, tuition, books, and fees. How much would your
parents have saved in one year, following the recommended 5%, if they had an average
household income of $99,948? Show your work. (5 points)
Sydnee would like a chart to appear once in her report, but she is having trouble making this occur. She does not understand why the chart is showing multiple times in the report. What is most likely causing the problem?
The chart is placed in the header and footer of a database.
The chart is placed in the field of a database.
The chart is placed in a database with one group.
The chart is placed in a database with five groups.
Answer:
The chart is placed in a database with five groups.
Hope this helped.
4A: Economic Systems Assessment
Which of the following is NOT one of the three basic questions of economics when looking at economic systems?
How should the goods be produced?
O What goods should be produced?
O What monetary system will be used to pay for goods?
O Who will have access/get to consume the goods?
he answer to the question "Which of the following is NOT one of the three basic questions of economics when looking at economic systems?" is option C - "What monetary system will be used to pay for goods?"
When studying economic systems, the three basic questions of economics are typically considered. These are:
1. What goods should be produced?
2. How should the goods be produced?
3. Who will have the access/get to consume the goods?
Option C - "What monetary system will be used to pay for goods?" is not one of the three basic questions of economics. While it is important to consider the monetary system in any economic system, it is not one of the fundamental questions that need to be addressed when looking at how an economy operates. Therefore, option C is the answer to the question.
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this is for you so i dont feel bad
a city ordered goods at an estimated cost of $4,500. when the goods were received, 30 days after the order was placed, they were accompanied by an appropriate invoice in the amount of $4,800. what amount will be recognized as an adjustment to encumbrances when the goods are delivered?
The amount recognized as a charge adjustment when the product is delivered is $300. This is calculated by subtracting the estimated cost of $4,500 from the bill of $4,800.
What does heavy load mean?A burden is a burden on property by a party that does not own the property. A burden affects the transferability of property and limits its free use until the burden is removed. Land is the most common burden. These include mortgages, easements and property tax liens.
Given the,
$4,800 (billed amount) - $4,500 (estimated cost) = $300 (adjusted fee)
Therefore, the price adjustment amount is $300.
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You have a $1,475 annual budget for spending on social media. The budget increases by 20% for December. What is your
budget for the month of December?
Answer:
To calculate the budget for the month of December, we need to first find 20% of the annual budget and then add it to the original budget.
20% of the annual budget = 0.2 x $1,475 = $295
So the budget increase for December is $295.
To find the budget for December, we add the budget increase to the original budget:
December budget = $1,475 + $295 = $1,770
Therefore, the budget for the month of December is $1,770.
Explanation:
When we discuss the Evaluate phase in ACE, which question do you ask to evaluate effectiveness of your instructional visuals?
A) Answer 1: Do cues in the visual help perception of selection, organization, and integration?
B) Answer 2: Is the visual learner-friendly?
C) Answer 3: Have you weeded out the extraneous data?
Answer 4: All of the Above
The Evaluate phase in ACE as the all of the above question as the relevant to the asked the effectiveness of your instructional visuals. Thus, option (d) is correct.
What is visuals?
The term visuals refer to represent the data, charts, drawings, paintings, design and the other things as included. The visuals are the concluded, the details and the easily to find out.
The evaluation of the ACE as the instrumental visuals are the first question is the selection, organization, and integration of the relevant and the visual learner-friendly and the quickly, extraneous data. As the all of the above, the question to the included.
Therefore, option (d) is correct.
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1; Choose a business or an industry that is considered as a perfect market and explain which characteristics of a perfect market are not met by this business or industry.
Answer:
hey what kind of watch is that in your profile pic
Who determines the interest rate for the nation?
The ____ is the amount earned on an investment for a given period of time.
Answer:
Investment income.
Explanation:
Investment income is income that comes from interest payments, dividends, capital gains collected upon the sale of a security or other assets, and any other profit made through an investment vehicle. Generally, individuals earn most of their total net income each year through regular employment income.
hope this helped broski =))
Mr. Benjamin salgado invested his savings to salgado and delgado construction corporation amounting to php500,000 in cash and equipment worth php250,000.00
Answer:
Mr. Benjamin has invested total php 750,000 in Salgado and Delgado construction corporation.
Explanation:
The investment made by Mr. Benjamin in cash and as an equipment both will be considered as investment made in the company. The percentage of stake will be calculated by considering both forms of investments. Mr. Benjamin will have controlling stake in Salgado and Delgado corporation. The company can receive dividends according to percentage of stake declared by the company.
if example your a newbie and inexperienced what kind of business would you do in your newly made business account also if your interested in Nightcore songs and an underage?
Answer:
I want be doctor but still I can do the business of handicrafts . I don't like nightcore songs .
Answer:
wanna be a doctor if I want buissnes maybe art I donno.
Explanation:
do you watch anime which one
.Other things equal, a restrictive monetary policy during a period of demand-pull inflation will:
A. lower the interest rate, increase investment, and reduce net exports.
B. lower the price level, increase investment, and increase aggregate demand.
C. increase productivity, aggregate supply, and real output.
D. increase the interest rate, reduce investment, and reduce aggregate demand.
The correct answer is D. A restrictive monetary policy during a period of demand-pull inflation will increase the interest rate, reduce investment, and reduce aggregate demand.
Demand-pull inflation is caused by an increase in aggregate demand, and a restrictive monetary policy is designed to decrease aggregate demand by reducing the money supply and increasing interest rates. By increasing interest rates, the cost of borrowing increases, which reduces investment spending. The reduction in investment spending, in turn, reduces aggregate demand.
Option A is incorrect because a restrictive monetary policy would increase, not decrease, the interest rate, which would reduce investment and have a negative impact on net exports.
Option B is incorrect because a decrease in the price level is associated with a deflationary, not inflationary, monetary policy. A restrictive monetary policy is designed to reduce inflationary pressures, not exacerbate them.
Option C is incorrect because monetary policy does not directly affect productivity or aggregate supply. Monetary policy affects the demand side of the economy by influencing consumer and business spending, which in turn affects aggregate demand.
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do this document and I will give you 100 points send it back to me completed all the directions are on here.
Answer:
I like chicken
Explanation:
Home Smart Inc. is a chain of supermarkets that sells its products at higher prices than its competitors. Yet, the supermarket chain has a large customer base due to its wide product portfolio and superior customer service. Which of the following generic business strategies has Home Smart adopted in this scenario?
a. market penetration
b. cost-leadership
c. differentiation product
d. diversification
Answer:
C
Explanation:
Product differentiation is a marketing strategy where a company strives to distinguish the products it offers to consumers from other products.
differentiation could be in terms of offering a broad range of products to consumers or offering products of superior quality to consumers or offering better services to customers
discuss wether trade unions always have a harmful effect on the wider economy
Answer:
1 could lead to disruption of economy
2 could lead to firm going out of business
3 it cause an increase in unemployment
4 output damage reputation of a country
5 can lead to higher wages
Why is it necessary for the housekeeping supervisor to ensure employees discipline in the workplace?
Answer:
Discipline is crucial at workplace as it ensures employees behave in a decent way and also maintain the decorum of the workplace.
what is the key difference that determines whether an international transaction appears in the current account or the financial account?
Only trade in commodities and services that are now being produced are included in the current account. The capital and financial account includes trades of existing assets.
A country's current account balance in an economy tracks the value of exports, imports, and international capital flows. One of the two components of the balance of payments, the other is the capital account (sometimes called the financial account). The current account, which includes the trade balance, net primary income, factor income, and net unilateral transfers made over a period of time, measures a country's profits and expenditures abroad.
One of the two key indicators of a country's foreign trade is the current account balance and the other is the net capital outflow. When a country has a current account surplus or deficit, it means that its net foreign assets (assets minus liabilities) have risen during that period. The calculation takes into account payments from the public and private sectors. It is called a current account because most goods and services are issued in the current period.
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