The form used to document crucial maintenance data for significant equipment is known as an equipment maintenance form. It is a standardized document that enables technicians to track maintenance history and plan future maintenance tasks effectively.
An equipment maintenance form is an essential tool that helps organizations maintain their equipment's reliability and extend its lifespan. It typically includes information about the equipment, such as its make and model, maintenance tasks performed, and any issues or defects identified during maintenance.
It also provides a space to record the technician's name, date, and time of the maintenance activity. This information helps organizations to track their equipment's maintenance history, identify trends, and plan future maintenance tasks more effectively.
By using an equipment maintenance form, organizations can reduce equipment downtime, prevent breakdowns, and ensure that their equipment is always running at its best.
For more questions like Organization click the link below:
https://brainly.com/question/29694317
#SPJ11
Financial literacy includes information about income, banking, loans, and credit cards.
True
False
Which expense is a direct cost in the product costing of a fabric manufacturer?
Α.cost of cotton
B.electricity
C.water supply
D.salaries of employees
Answer:
A and D
Explanation:
Direct expenses are operational expense that can be straightforwardly applied to creating a particular expense object, similar to a decent or administration. Cost objects are things that expenses are allotted to. Instances of direct expenses incorporate direct work, direct materials, and assembling supplies.
Brainliest?
suppose+that+you+manage+a+risky+portfolio+with+an+expected+rate+of+return+of+15%+and+a+standard+deviation+of+20%.+the+t-bill+rate+is+5%.
Suppose that you manage a risky portfolio with an expected rate of return of 15% and a standard deviation of 20%. The T-bill rate is 5%.
The expected rate of return is the anticipated rate of return of an investment based on its potential profits or losses. In this case, the expected rate of return for the risky portfolio is 15%.
The standard deviation measures the amount of variability or dispersion of a set of data points. In other words, it is a measure of the portfolio's risk. A higher standard deviation means that the portfolio is riskier. In this case, the standard deviation of the risky portfolio is 20%.
The T-bill rate is the rate of return offered by US Treasury bills, which are considered to be a risk-free investment. The T-bill rate is typically used as a benchmark to compare the performance of other investments. In this case, the T-bill rate is 5%.
Managing a risky portfolio with an expected rate of return of 15% and a standard deviation of 20% can be challenging. The higher expected return comes with higher risk, and investors must carefully weigh the potential returns against the potential losses. The T-bill rate of 5% serves as a benchmark for comparison, and investors must aim to outperform this rate of return to justify the additional risk taken on by investing in a risky portfolio. Diversification, asset allocation, and risk management strategies are crucial in managing a risky portfolio effectively.
learn more about risky portfolio
https://brainly.com/question/18094882
#SPJ11
the goal in developing customer relationships is gaining customer loyalty. group of answer choices true false
The statement "The goal in developing customer relationships is gaining customer loyalty" is TRUE because Developing customer relationships is a crucial aspect of any business. It is not enough to attract new customers and make one-time sales.
The long-term success of any business is largely dependent on the loyalty of its customers. By establishing strong relationships with customers, businesses can gain their loyalty, which leads to repeat business and increased profitability. In addition, loyal customers are more likely to recommend the business to others, leading to new customer acquisition.Customer relationship management (CRM) is a business strategy aimed at developing strong relationships with customers. The primary goal of CRM is to improve customer satisfaction and retention by providing excellent customer service, personalized interactions, and customized solutions.
By building trust and rapport with customers, businesses can gain their loyalty and create brand ambassadors who can spread positive word-of-mouth about the business.In conclusion, the statement that the goal in developing customer relationships is gaining customer loyalty is true. By focusing on building strong relationships with customers, businesses can improve customer satisfaction, retention, and profitability.
To know more about Customer Relationship:
https://brainly.com/question/7051678
#SPJ11
The formula for applying overhead to a specific job is ______.
The formula for applying overhead to a specific job is predetermined overhead rate × amount of allocation base incurred by job. Thus, option (d) is correct.
The estimated manufacturing overhead is divided by the estimated allocation base to arrive at the predetermined overhead rate. The work's overhead can be calculated once the specified overhead rate is established by multiplying it by the amount of allocation base incurred by the job.
Another formula for applied overhead involves dividing the number of hours worked or pieces of equipment used by the overhead allocation rate.
Therefore, option (d) is correct.
Learn more about on formula, here:
https://brainly.com/question/20748250
#SPJ6
Your question is incomplete, but most probably the full question was.
The formula for applying overhead to a specific job is ______.
Estimated manufacturing overhead ÷ amount of allocation base incurred by job
Estimated manufacturing overhead ÷ estimated allocation base
Estimated manufacturing overhead × amount of allocation base incurred by job
Predetermined overhead rate × amount of allocation base incurred by job.
A 20-year-old married (G1P0) kindergarten teacher, was admitted to the labor and delivery unit with contractions occurring every 3-5 minutes and lasting 50-60 seconds. The husband reports to the nurse that she is doing well with her breathing and that they are excited about natural childbirth. During the assessment the nurse finds no complications with the current pregnancy, no family or medical history. BP 128/64, P. 90, R. 24. She has spontaneous rupture of the membranes and the FHT decreases to 70 . When the nurse does a cervical exam the cervix is 5CM dilated 100% effaced and feels something soft and oblong at the cervical opening. What do you suspect is happening?
Prompt recognition and appropriate management of umbilical cord prolapse are crucial to ensure the well-being and safety of both the mother and the baby.
Based on the information provided, the situation suggests a potential complication known as umbilical cord prolapse. Umbilical cord prolapse occurs when the umbilical cord slips through the cervix and presents before or alongside the fetal presenting part. This can lead to compression or occlusion of the cord, compromising fetal oxygenation and circulation.
The presence of spontaneous rupture of the membranes, along with the decrease in fetal heart tones (FHT) to 70, raises suspicion for cord prolapse. The soft and oblong structure felt at the cervical opening during the nurse's examination further supports this possibility.
Urgent intervention is required to relieve pressure on the umbilical cord and ensure adequate blood flow to the fetus. The healthcare team should immediately notify the physician or midwife, initiate measures to relieve pressure on the cord (e.g., placing the mother in a knee-to-chest position, elevating the presenting part off the cord), and prepare for an emergency cesarean delivery if necessary.
Learn more about Prompt recognition here
https://brainly.com/question/29022932
#SPJ11
You are a vendor representative with a new line of fashion watches showing it to a new buyer. The costume jewelry buyer says she would like to buy the line but has too many lines of fashion watches in her assortment already that are not selling. She continues to complain that her worst-selling brand of watches will not help her out with any markdown allowances or take any of the merchandise back. She states that she is no longer buying any more merchandise from this line and will have to wait until it sells before she can bring in a new line of watches. What might you suggest or negotiate?
Answer:
Doing a buyback
Explanation:
Answer:
Since She states that she will no longer buy any more merchandise from this line and she will have to wait until it sells before she can bring in a new line of watches what i would or might you suggest or negotiate is for her to do a BUYBACK.
Therefore BUYBACK can be seen as something or item that have been repurchased due to some unresolved issues that has been reported by the initial owner but has since been resolved and it can as well mean an agreement to buy something in return.
Lastly BUYBACK can tend to be a sale whereby something that is been sold is repurchased from the buyer by either the seller or the initial owner.
In what ways may legally required benefits have contributed to an employee entitlement mentality regarding discretionary benefit offerings?
Discretionary benefits within the organizational setting are mandated by the law. Due to this reason, the first contribution towards employees is that they have taken it as their right rather than a privilege. Other contributions are as follows:
Building psychology of arrogance towards the rights as it is mandated by law, even if they don’t perform their action.Reduction in the responsibilities towards the organizations as employees know that they will overall get the legally mandated benefits.Attention on the benefits rather than on their own contributions towards the key responsibility areas that brings sustainability to the organizationInability of the employers to provide discretionary benefits becomes a point of legal case and bargaining from the employees’ end.The discretionary benefits refer to employment benefits, that are not mandated by the authority, and involve a variety of employee benefits such as health insurance, sick leave, maternity leave, vacation leave, life insurance, and health insurance. The benefits are granted at the intention of a company, that are viewed by the employees as an entitlement.
Learn more about health insurance here: https://brainly.com/question/1941778
#SPJ4
the tax burden of the firm is 0.5, the interest burden is 0.55, the profit margin is 0.25, the asset turnover is 1.5, and the leverage ratio is 1.65. what is the roe of the firm? multiple choice 6.68% 17.02% 12.15% 1.88%
The formula for calculating ROE (Return on Equity) is: ROE = Net Income / Shareholder's Equity
To calculate the net income, we can use the formula: Net Income = Profit Margin x Sales
And to calculate the shareholder's equity, we can use the formula: Shareholder's Equity = Total Assets - Total Liabilities
Given the information in the question:
Tax Burden = 0.5
Interest Burden = 0.55
Profit Margin = 0.25
Asset Turnover = 1.5
Leverage Ratio = 1.65
Let's calculate the different components:
Tax Rate = 1 - Tax Burden = 1 - 0.5 = 0.5
Net Profit Margin = Profit Margin x (1 - Tax Rate) = 0.25 x 0.5 = 0.125
Asset-to-Equity Ratio = Leverage Ratio / (Leverage Ratio + 1) = 1.65 / (1.65 + 1) = 0.623
Debt-to-Equity Ratio = 1 - Asset-to-Equity Ratio = 1 - 0.623 = 0.377
Interest Coverage Ratio = EBIT / Interest Expense = (Sales - Variable Costs) / (Fixed Costs + Interest Expense) = (Sales x Net Profit Margin) / (1 - Interest Burden) = (Sales x 0.125) / (1 - 0.55) = -0.27778 (Negative number means the firm is not able to cover its interest expense)
Since the interest coverage ratio is negative, we cannot calculate the net income using the above formula. This means that the ROE cannot be calculated.
Therefore, the answer is none of the multiple choice options provided.
To calculate the Return on Equity (ROE) for the firm, we will use the DuPont analysis formula, which breaks down the ROE into different components. The formula is:
ROE = (Net Profit Margin) x (Total Asset Turnover) x (Equity Multiplier)
Using the given terms:
Net Profit Margin = 0.25
Total Asset Turnover = 1.5
Equity Multiplier = 1 + Leverage Ratio = 1 + 1.65 = 2.65
Now, let's calculate the ROE:
ROE = (0.25) x (1.5) x (2.65) = 0.99375
To express the ROE as a percentage, we multiply by 100:
ROE = 0.99375 * 100 = 99.375%
None of the multiple-choice options provided match the calculated ROE.
Visit here to learn more about Equity Multiplier brainly.com/question/30734472
#SPJ11
which tactic involves the closing of a work site by the management of a company so that employees cannot go to work?
The tactic that involves the closing of a work site by the management of a company so that employees cannot go to work is called a lockout.
A lockout is a tactic used by the management of a company to prevent employees from entering the workplace by locking the gates or doors of the premises. It is a form of industrial action that is typically used during a labor dispute, such as a strike, to exert pressure on the employees to accept the employer's terms.
The lockout is intended to disrupt the employees' ability to work and earn wages, and to force them to negotiate with the employer. Lockouts are often used as a last resort by the employer after negotiations have broken down and other forms of industrial action have failed to achieve the desired result.
The legality of lockouts varies depending on the jurisdiction and the specific circumstances of the lockout.
For more questions like Employer click the link below:
https://brainly.com/question/1361941
#SPJ11
What modification options are available in Design view of a report? Check all that apply.
align fields
o change text color
change the header title
create a query from scratch
o rename the underlying table
change the background color
Answer:
A,B,C,F
Explanation:
Modification options are available in Design view of a report are -
a. Align fields
b. Change text color
c. Change the header title
e. Rename the underlying table
f. Change the background color
What is modification?Modification is the action of modifying something.
What is a design?Design is a plan or drawing produced to show the look and function or workings of a building, garment, or other object before it is made.
What is a report?A report is a document that presents information in an organized format for a specific audience and purpose.
To learn more about Modification and design refer
https://brainly.com/question/15207311
#SPJ2
What are some actions that may be taken by a nation to reduce interest rates in a country
Answer:
If needed, the Federal Reserves has the ability to lower interest rates.
Explanation:
Ronny and Assoc. issued a check for $2,400 to pay salaries. This transaction would be recorded with a debit entry on the left hand side of which account:
a. Salaries payable
b. accounts recievable
c. salaries expense
d. cash
The correct answer is d. The transaction would be recorded with a debit entry on the left hand side of cash account.
When a check is issued to pay salaries, it means that the company is paying its employees, which is an expense. Expenses are recorded as debit entries, so the account to be debited is "Salaries Expense." At the same time, the company is reducing its cash balance by the amount of the check, which means that the account to be credited is "Cash."
Option a, "Salaries Payable," is a liability account used to record the amount of salaries owed to employees that have not been paid yet. It would not be the correct account to record the payment of salaries.
Option b, "Accounts Receivable," is an asset account used to record amounts that customers owe the company. It would not be the correct account to record the payment of salaries.
Option c, "Salaries Expense," is the account that should be debited to record the payment of salaries. However, the question asks for the account to be debited in relation to the check that was issued, and the account to be debited in that case is "Cash."
To know more about Transaction click here:
https://brainly.com/question/24730931#
#SPJ11
What is the goal of networking? (5 points)
To conduct research that can help you pass certification tests
To discover business ideas you can claim as your own
To learn and expand one's business connections
To socialize and raise money for local charities
Answer:
The correct answer is option 3, To learn and expand one's business connections.
Explanation:
The primary goals of networking are to gain valuable business connections, learn of potential business or career opportunities, and share knowledge & ideas, among others. When executed correctly, this process is mutually beneficial.
What is the definition of hangry my friend keeps saying it but i dont understand
Answer:
hangry is when you feel hungry and angry at the same time
Explanation:
basically, your angry because of the fact that your hungry
Tejas has decided to finance his college education through student loans. He is planning on taking out $100,000 in loans to become a nursery school teacher. On average, would this be something a finance professional would recommend?
A. No, because he is taking out more debt then he will ever be able to pay back.
B. Yes, because you should always finance your education.
C. Yes, because he is using the money to advance his career.
D. No, because you should never take out student loans.
Answer: A. No, because he is taking out more debt then he will ever be able to pay back.
Explanation:
Getting the finance to foot one's bills could come from many different sources, one of which is to put in for a loan. However, the advice to secure a loan might best be given by a finance expert who has the knowledge and expertise required to adequately access the value of the loan, the probable return on investment and ayher embedded considerations. In the scenario given above, taking out a loan of up to $100,000 in other to target the job of finally landing a teaching job at a nursery school which would on average return a meagre pay than cannot be pitted with the loan value would be considered unreasonable on average by a finance professional simply because the return on investment will probably be nothing near the value of the loan. This way, the debt incurred from due to the loan application may never be returned from the intended job.
A standard inventory form should include:
a) The date of the inventory
b) The list of the items
c) The unit size for each item
d) All of these
Answer:
B
Explanation:
The list of the items
Hope it helped brainiest plz
-Guesty
The correct option is B. A standard inventory form should include a list of the items. Using an inventory form, you can keep track of all the supplies, goods, and merchandise in your company at any one time.
Why Inventory form is important?Small businesses need inventory management because it helps them manage many locations, avoid stockouts, and maintain correct records. As opposed to attempting to complete them all manually, an inventory system makes these operations simpler.
The form typically serves three functions: requisitioning things from inventory, releasing inventory records in the quantity of the items selected, and billing the targeted task for the cost of the products requisitioned. Any inventory products that are not currently in stock can also be ordered again using the form as a guide.
Learn more about Inventory Form here:
https://brainly.com/question/17961248
#SPJ5
a company with adequate cash balances at the beginning and end of the year, blank . multiple choice question. may still have cash deficiency issues during the year does not need a financing section on their cash budget only needs to prepare a single annual cash budget will have a positive net income for the year
A company with adequate cash balances at the beginning and end of the year may still have cash deficiency issues during the year.
This is because cash flows are dynamic and can vary from one period to the next. Even if a company has enough cash at the beginning and end of the year, it may still have cash flow issues during the year due to unexpected costs, changes in customer payment terms, or other factors.
Therefore, the company will still need to prepare a cash budget to track and forecast cash flows for the upcoming year. This will allow the company to identify any potential shortfalls and take the necessary steps to remedy them.
A cash budget will also help the company understand the impact of any strategic decisions it makes on its cash flows. Ultimately, the company's ability to maintain a positive cash flow is essential for its success, even if it has adequate cash balances at the beginning and end of the year.
Know more about cash flow here
https://brainly.com/question/29768594#
#SPJ11
Which of the following are subtractions from taxable income in computing current E&P?
A) Which of Federal income taxes paid
B) Current charitable contributions in excess of 10 percent limitation
C) Current year net capital loss
D) All of the choices are subtractions from taxable income in computing current E&P
D) All of the choices are subtractions from taxable income in computing current E&P. These deductions reduce the taxable income for the purpose of calculating the company's E&P.
In computing current E&P (Earnings and Profits), all of the mentioned items (Federal income taxes paid, current charitable contributions in excess of 10 percent limitation, and current year net capital loss) are subtracted from taxable income. These deductions reduce the taxable income for the purpose of calculating the company's E&P, which is used to determine the amount of earnings available for distribution or taxation. Therefore, all of the choices listed are considered subtractions from taxable income in the computation of current E&P.
learn more about income here:
https://brainly.com/question/14732695
#SPJ11
If I were a Philadelphia Eagles fan deciding whether to buy a ticket to see a certain 2018 NFL playoffs game, then my _________________ would most likely determine the choice I might make. (CHOOSE ONLY ONE BEST ANSWER) a. routines b. cognates c. goals d. cognition e. beliefs f. rational religion
If I were a Philadelphia Eagles fan deciding whether to buy a ticket to see a certain 2018 NFL playoffs game, then my beliefs would most likely determine the choice I might make.
The Philadelphia Eagles are a Philadelphia-based American football team on the professional level.
The Eagles are a team in the National Football Conference East division of the National Football League.
The South Philadelphia Sports Complex's Lincoln Financial Field is where the team plays its home games.
Both Phil-Pitt and the Steagles were names given to the group.
Co-coaches Walt Kiesling of the Steelers and Greasy Neale of the Eagles led the team to a 5-4-1 record.
Neale guided the Eagles to their first notable victories in the NFL during his 10 seasons as their head coach, including the 1943 campaign.
To know more about Philadelphia Eagles, click here:
https://brainly.com/question/15166290
#SPJ11
total cost data follow for greenfield manufacturing company, which has a normal capacity per period of 20,000 units of product that sell for $54 each. for the foreseeable future, regular sales volume should continue to equal normal capacity.
Thank you for providing the context. However, you haven't provided the actual total cost data for Greenfield Manufacturing Company.
To answer any questions related to the total cost, Total cost includes both fixed costs (such as rent, salaries, and utilities) and variable costs (such as raw materials and direct labor) associated with production. By considering the total cost, the company can determine its profitability and make informed decisions regarding pricing, production levels, and cost management.If you can provide the necessary cost data, I would be able to perform cost calculations and provide a more comprehensive analysis of Greenfield Manufacturing Company's financial situation.
learn more about providing here :
https://brainly.com/question/30600837
#SPJ11
How can I unclog the toilet the potatoes got stuck in there? (I hope this not a inapropriate question)
Answer:
Just get something like a brush and it will get off
Explanation:
Just do it
The current yield on a bond is the yearly interest of the bond divided by the cost of the bond at closing. Group startsTrue or FalseTrue, unselectedFalse, unselected
The statement that the current yield on a bond is the yearly interest of the bond divided by the cost of the bond at closing if false.
What is current yield?The current yield is also defined as the interest yield or income yield or flat yield or market yield or mark to market yield or running yield.
It is a financial term that is used in quotation to bonds and another fixed-interest securities like golds.
The formula of calculating the current yield are as follows:
\(\text{Current Yield} = \dfrac{\text{Annual Interest Earned}}{\text{Current Price of the Bond}}\)
Therefore, the given statement is false.
To learn more about the current yield, refer to:
https://brainly.com/question/16748047
#SPJ1
Who determines the price of a good or service for other firms in an industry?
producers
consumers
price leader
manufacturer
The price leader is the one who sets the price of a good or service for other companies in an industry.
What is price leadership?It corresponds to a company that is more positioned in the market, that is, it has reached a leadership position in its sector and is capable of determining the price of a good or service for other companies based on direct influence.
Therefore, the price leader is the company that influences the entire market with its strategic actions. A market sector that is likely to have a price-leading company will have higher entry barriers, with inelastic demand and less differentiation between products and services.
Find out more about price leadership on:
https://brainly.com/question/14395542
#SPJ1
Using the CAPM approach, draw the SML, then Illustrate (draw) a decrease in inflation rate. Using the CAPM approach, draw the SML, then illustrate (draw) an increase in risk aversion.
Using the Capital Asset Pricing Model (CAPM) we can draw the SML to represent the expected return for different levels of risk. A decrease in inflation rate will shift the SML downwards, indicating a decrease in expected return. An increase in risk aversion will shift the SML upwards, showing an increase in expected return.
The Capital Asset Pricing Model (CAPM) is a financial model used to determine the expected return on an investment based on its risk. It helps investors make decisions by considering both the risk of an investment and the expected return.
To draw the Security Market Line (SML) using the CAPM approach, we need to plot the expected return and beta for various investments. The SML represents the expected return for different levels of risk.
To illustrate a decrease in the inflation rate using the CAPM approach, we need to understand that inflation affects the expected return on investments. When the inflation rate decreases, the expected return on investments also decreases. This is because lower inflation reduces the overall risk in the economy, leading to a decrease in the required return for investments. Therefore, the SML will shift downwards, reflecting the decrease in expected return for various levels of risk.
To illustrate an increase in risk aversion using the CAPM approach, we need to consider that risk aversion refers to the preference of investors for lower-risk investments. When investors become more risk-averse, they require a higher return for taking on additional risk. This means that for the same level of risk, the expected return will be higher. As a result, the SML will shift upwards, indicating the increase in expected return for different levels of risk due to higher risk aversion.
In summary, using the CAPM approach, we can draw the SML to represent the expected return for different levels of risk. A decrease in inflation rate will shift the SML downwards, indicating a decrease in expected return. An increase in risk aversion will shift the SML upwards, showing an increase in expected return.
Learn more about Capital Asset Pricing Model from this link:
brainly.com/question/24158909
#SPJ11
Partnership made when direct investment in a foreign country occurs with a domestic partner are called a. Multinationals b. Mini-nationals c. Joint ventures d. Cooperatives
Answer:
c. Joint ventures
Explanation:
A foreign direct investment (FDI) can be defined as an investment made by an individual or business entity (investor) into an investment market (industry) located in another country. The investor here, shares a different country of origin from the country where his investment is located. In a foreign direct investment (FDI), an investor must establish his business, factory and operations in a foreign country or acquire assets in a business that is being operated in a foreign country.
Additionally, foreign direct investment (FDI) are categorized into three (3) main types and these are;
1. Vertical FDI: it involves establishing a different business that is however similar to the main business owned by the investor.
2. Horizontal FDI: it involves establishing the same type of business in a foreign country as owned in the investor's country.
3. Conglomerate FDI: it involves establishing a business that is completely different in another (foreign) country.
Partnership made when direct investment in a foreign country occurs with a domestic partner are called joint ventures. It is typically established or initiated by two or more people on mutual grounds to make profits and sharing costs.
How many years would it take for money to increase to 3 times the initial amount at an interest rate of 18% per year?
Answer:
7 years (to the nearest year)
Explanation:
Given that;
A = amount
P= principal
t = time
r = rate
A =3P(given in the question)
Formula for compound interest;
A = P(1 + r)^t
Substituting values;
3P = P(1 + 18/100)^t
3P/P= (1.18)^t
3 = (1.18)^t
log 3 = t log 1.18
t = log 3/log 1.18
t = 0.4771/0.0719
t = 6.6 years
t = 7 years (to the nearest year)
What do behaviorist and cognitivist theories have in common?
a. Praise is an important aspect of learning in both of them.
b. They both rely on a simple stimulus-response system.
c. Repetition is an important aspect of learning in both of them.
d. They both accept that the mind has a conscious role in learning.
2.which of the following statements best describes a keynesian approach to economics? a)aggregate demand is the most important driving force in the economy, but free-markets have no self-balancing mechanisms that lead to full-employment; therefore, government intervention is often necessary to stabilize an economy. b)politics determines economics, the nature of economics is conflictual, and the main actors are nation-states; therefore, the main goal of economic activity is the maximization of national interest. c)individual freedom to pursue interests/wealth in an open market free of government interference with the role of government to primarily protect property rights. d)resources flow from a periphery of poor and underdeveloped countries (global south) to a core of wealthy states (global north) enriching the latter at the expense of the former. poor countries are systemically locked into this unfavorable situation.
Option a is correct. The main economic driver is aggregate demand, but since free markets lack self-balancing mechanisms that lead to full employment, stabilising an economy frequently requires government intervention.
A macroeconomic theory known as Keynesian economics examines the total amount of spending in the economy and how it affects production, employment, and inflation. In an effort to comprehend the Great Depression, British economist John Maynard Keynes created it in the 1930s.
The fundamental tenet of Keynesian economics is that economic stabilisation may be achieved by government intervention. Keynes' theory was the first to clearly distinguish between the study of individual motivations and economic behaviour from those of broad aggregate variables and conceptions.
Keynes' theory led him to propose higher government spending and lower taxes as a way to boost demand and rescue the world economy from the Great Depression. Later, the term "Keynesian economics" was used to describe the idea that economic performance could be optimised and economic downturns might be avoided.
Know more about macroeconomic here:
https://brainly.com/question/28489802
#SPJ4
when a country experiences high economic growth, a major cause usually is often _______
When a country experiences high economic growth, a major cause is often higher productivity. Option A is correct.
Higher productivity can lead to increased output and income, which can help to drive economic growth. When workers are able to produce more goods and services per unit of time, this can lead to increased efficiency and profitability for businesses. In turn, this can lead to higher wages and more spending in the economy, which can help to further boost economic growth.
Lower interest rates can also help to stimulate economic growth by making it easier and more affordable for businesses and consumers to borrow money, which can increase spending and investment.
However, while lower interest rates can be a contributing factor to economic growth, they are not always a major cause or the only factor driving growth. Other factors, such as technological innovation, favorable trade policies, and political stability, can also play a role in driving economic growth in a country.
Therefore, option A is correct.
When a country experiences high economic growth, a major cause usually is often ______
A. Higher productivity
B. Higher wages
C. Lower interest rates
Learn more about economic growth https://brainly.com/question/13795445
#SPJ11