according to the critics of the international monetary fund (imf), how should moral hazards exhibited by banks be resolved?

Answers

Answer 1

The banks should be forced to pay the price for their rash lending policies. individual manufacturers have few firm-specific skills that contribute to the value of their products.

The international monetary Fund (IMF) is a chief financial organization of the United Nations, and an international monetary institution, founded in Washington, D.C., consisting of 190 countries. Its said project is "operating to foster global monetary cooperation, comfy financial balance, facilitate international trade, sell high employment and sustainable economic increase, and reduce poverty around the world." fashioned in 1944, and started on 27 December 1945. on the Bretton Woods conference normally by using the ideas of Harry Dexter White and John Maynard Keynes, it got here into formal lifestyles in 1945 with 29 member nations with the objective of rebuilding the global monetary system.

It now performs a principal function in the management of stability of payments difficulties and international economic crises. countries contribute funds to a pool through a quota machine from which countries experiencing balance of payments issues can borrow money. The IMF seems as the worldwide leader of the ultimate inn.

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Related Questions

An unknown customer wants to return a small appliance, a fragrance, Nicorette and Diabetic test strips. Which of the following is not recommended as a course of action?
o Go ahead and issue the refund
o Respond to the request according to CVS refund guidelines
o Obtain the customer's name and phone number
o Contact the store's DL/DAPL

Answers

As an unknown customer wants to return a small appliance, a fragrance, Nicorette and Diabetic test strips, an option which is not recommended as a course of action is responding to the request according to CVS refund guidelines. The Option B is correct.

What is a goods return?

Basically, a goods return is when a customer returns a goods to the buyer, because he/she does not needs it.

But in accounting, a goods return, is seen as a transaction where the buyer of inventory or other items sends goods back to the seller which may be due to various reasons such as poor quality, defective items or extra items being ordered.

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In a certain economy, the components of planned spending are given as: IP-200-450r, G-250, NX-20, T-300 Cd-600+0.8(Y-T)-350r, a) Find the relationship between planned aggregate expenditure and the rea

Answers

In a certain economy, the components of planned spending are given as: IP-200-450r, G-250, NX-20, T-300 Cd-600+0.8(Y-T)-350r. The relationship between planned aggregate expenditure and the real output is discussed below:Aggregate planned expenditure is the sum of all planned spending in an economy.

This can be calculated as follows:Aggregate planned expenditure (APE)

(APE) = C + I + G + NX

where: C is consumption expenditure

           I is investment expenditure

          G is government expenditure

          NX is net exports.

In the given economy, planned spending includes C and I components, i.e., IP-200-450r and Cd-600+0.8(Y-T)-350r, respectively.

Hence, the relationship between planned aggregate expenditure (APE) and the real output (Y) can be derived as follows:

APE = IP + Cd + G + NXAPE

       = (200-450r) + (600 + 0.8(Y - T) - 350r) + 250 + (-20)APE

       = 600 - 100r + 0.8Y - 0.8T

Since real output (Y) is equal to the aggregate planned expenditure (APE) in an economy, the above equation can be rewritten as follows:

Y = 600 - 100r + 0.8Y - 0.8T

Therefore, the relationship between planned aggregate expenditure and the real output is given by:

Y = (600 - 100r)/(1 - 0.8) + 0.8T

This equation shows that the real output (Y) is determined by the level of taxation (T) and the interest rate (r).

If taxation is increased or interest rates are reduced, then the real output will increase.

Similarly, if taxation is reduced or interest rates are increased, then the real output will decrease.

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A. The relationship between planned aggregate expenditure (PAE), the real interest rate (r), and output (Y) in this economy is expressed as PAE = 1150 - 800r + 0.8(Y - T). B. The exact value of Y is undefined as T is not given. C. The output gap is Y - 4100. D. To eliminate the output gap and restore full employment, the Reserve Bank can use monetary policy tools.

How did we arrive at these values?

a) The relationship between planned aggregate expenditure (PAE), the real interest rate (r), and output (Y) in this economy can be derived by summing up the components of planned spending:

PAE = IP + G + NX + T + Cd

= 200 - 450r + 250 + 20 + 300 + 600 + 0.8(Y - T) - 350r

Simplifying this expression, we get:

PAE = 1150 - 800r + 0.8(Y - T)

b) To find the short-run equilibrium output, set PAE equal to Y and solve for Y:

Y = 1150 - 800r + 0.8(Y - T)

Since we don't have information about taxes (T), we cannot solve for the exact value of Y without that information. However, we can assume T is fixed and proceed with the calculations based on the given information.

c) To find the output gap, compare the actual output (Y) with the potential output (Y*). The output gap is calculated as:

Output Gap = Y - Yˣ

Given that Yˣ is 4100, and the Reserve Bank has set the real interest rate equal to 5% (r = 0.05), we need to find the output gap.

Output Gap = Y - Yˣ = Y - 4100

To eliminate the output gap and restore full employment, the Reserve Bank can use monetary policy tools. Since the real interest rate is already set at 5%, the Reserve Bank could use expansionary monetary policy by decreasing interest rates further. By lowering interest rates, it becomes cheaper to borrow, which stimulates investment and consumption. This leads to an increase in aggregate demand and helps close the output gap.

Additionally, the Reserve Bank can implement other measures such as open market operations (buying government securities), lowering reserve requirements, or engaging in quantitative easing to further stimulate the economy and restore full employment.

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The complete question goes thus:

In a certain economy, the components of planned spending are given as: IP-200-450r, G-250, NX-20, T-300 Cd-600+0.8(Y-T)-350r, a) Find the relationship between planned aggregate expenditure and the real interest rate, r, and output, Y, in this economy. (3 marks) b) The real interest rate, r, is set by the Reserve Bank to equal 0.05 (5 per cent). Find the short-run equilibrium output. (2 marks) c) Suppose potential output (Y*) is 4100. The Reserve Bank has set the real interest rate equal to 5 per cent. At that real interest rate, what is the output gap? What should the (6 marks) Reserve Bank do to eliminate the output gap and restore full employment?

For each of the following state whether the question better fits the description of a microeconomics question or a macroeconomics question. (Note: You are not answering these questions, you are just sorting them between micro/macro questions). (a) What are the major determinants for economic growth in an economy? [ Select] (b) How does a consumer determine the optimal way to spend a limited budget? [Select] (c) How many fewer miles does a typical family drive when faced with increasing gas prices? (Select ] (d) How will recent monetary policies by the Federal Reserve impact inflation in the United States? [Select) (e) How does government spending on stimulus programs like we saw over the last two years impact the US unemployment rate? [ Select)

Answers

(a) What are the major determinants for economic growth in an economy? [macroeconomic question]

(b) How does a consumer determine the optimal way to spend a limited budget? [microeconomic question]

(c) How many fewer miles does a typical family drive when faced with increasing gas prices? [microeconomic question]

(d) How will recent monetary policies by the Federal Reserve impact inflation in the United States? [macroeconomic question]

(e) How does government spending on stimulus programs like we saw over the last two years impact the US unemployment rate? [macroeconomic question]

(a) What are the major determinants for economic growth in an economy? [macroeconomic question]

(b) How does a consumer determine the optimal way to spend a limited budget? [microeconomic question]

(c) How many fewer miles does a typical family drive when faced with increasing gas prices? [microeconomic question]

(d) How will recent monetary policies by the Federal Reserve impact inflation in the United States? [macroeconomic question]

(e) How does government spending on stimulus programs like we saw over the last two years impact the US unemployment rate? [macroeconomic question]

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Content marketing is intended to attract potential buyers by building a strong brand reputation through online content, including:

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It is true that Content marketing  aims to attract potential buyers through building of strong brand reputation through online content.

Content marketing refers to a marketing strategy which aims to attract and engage the audience (prospective buyers) through creation of relevant articles, videos, media etc.

The approach of Content marketing does promotes brand awareness and ensures that the business stays top of mind of the audience.

Hence, it is true that Content marketing  aims to attract potential buyers through building of strong brand reputation through online content.

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the three major types of forecasts used by organizations in planning future operations are: strategic, tactical, and operational. economic, technological, and demand. exponential smoothing, delphi, and regression. causal, time-series, and seasonal. departmental, organizational, and territorial.

Answers

The three major types of forecasts used by organizations in planning future operations are strategic, tactical, and operational. Strategic forecasting involves long-term planning and decision-making based on factors such as economic and technological trends. The answer is a.

Tactical forecasting focuses on mid-term planning and decision-making based on demand forecasts and sales trends. Operational forecasting involves short-term planning and decision-making based on factors such as seasonality and inventory levels.

These types of forecasts can be further classified into different methods, such as causal, time-series, and seasonal. Depending on the organization's needs, they may use techniques such as exponential smoothing, Delphi, or regression to make more accurate predictions.

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A state charges an 8.5% sales tax and a 10% excise tax on gasoline. Nandin purchased $25 of gasoline before both taxes were added. How should Nandin find the total tax on his purchase

Answers

The total tax on Nandin's purchase of $25 of gasoline would be $4.625.

To find the total tax on his purchase, Nandin should calculate the sales tax and the excise tax separately and then add them together. The sales tax is calculated by multiplying the pre-tax cost of the gasoline ($25) by the sales tax rate (8.5%), which equals $2.125. The excise tax is calculated by multiplying the pre-tax cost of the gasoline ($25) by the excise tax rate (10%), which equals $2.50. Therefore, the total tax on Nandin's purchase of $25 of gasoline would be $2.125 (sales tax) + $2.50 (excise tax) = $4.625.

Sales tax is a tax imposed on the sale of goods and services, and the rate is typically a percentage of the sale price. Excise tax, on the other hand, is a tax levied on specific goods or services, such as gasoline, tobacco, and alcohol. It is usually included in the price of the product and collected by the seller, who then remits it to the government.

By understanding how to calculate and distinguish between these different types of taxes, consumers like Nandin can make more informed purchasing decisions and better manage their finances.

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What is likely to happen if the price of a product goes up?
A.
The supply is likely to increase.
B.
The supply is likely to decrease.
C.
The demand is likely to cause scarcity.
D.
The demand is likely to increase.

Answers

Option B, The demand is likely to cause scarcity. is the correct answer

Which technique of advertising shows that multiple consumers use a product to build consumer trust in the product?

Answers

Answer:

don doing it for 5 point give 100 then ill think abt it

Explanation:

inside of the Sun's orbit? Give your answer in scientific notation and in units of solar masses.

Answers

The Sun's orbit is about 25,000 light-years from the center of the Milky Way galaxy.  

Therefore, anything located inside the Sun's orbit would be closer to the center of the galaxy than the Sun is.

In scientific notation and in units of solar masses, the mass of objects within the Sun's orbit would be less than 1 solar mass (1.0 x 10^0 M☉).

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when purchase costs are (rising/declining) , lifo will report the lowest cost of goods sold yielding the highest gross profit and net income.

Answers

When purchase costs are declining, LIFO (last-in, first-out) will report the lowest cost of goods sold, yielding the highest gross profit and net income.

LIFO stands for last-in, first-out, and it is a method of accounting for inventory costing. The last goods obtained are the first to be sold under this approach. As a result, the value of inventory on the balance sheet is based on the oldest inventory items.

LIFO has a big effect on the cost of goods sold and, as a result, net income. When purchase costs are increasing, LIFO will report the highest cost of goods sold and the lowest gross profit, lowering net income. When purchase costs are decreasing, however, LIFO will report the lowest cost of goods sold and the highest gross profit, raising net income. Therefore, when purchase costs are declining, LIFO will report the lowest cost of goods sold, yielding the highest gross profit and net income.

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Your plan projects revenue of $5,000, $8,000, and $10,000 in years 1 through 3. Expenses are projected to be $9,000 for each of years 1 through 3. If your only funding need is the gap between revenue and expenses, which is the best estimate of your maximum cumulative funding need?

a) $0
b) $1,000
c) $4,000
d) $50,000

Answers

Answer:

c) $4,000

Explanation:

The only funding needed is the difference between revenue and expense.

For year 1: funding required is $9,000 -$5000 = $4000

For year 2: funding required is$ 9,000 - $8000 = $1000

For year 3: funding required is $9000 -$10,000 = -$1000

cumulative funding = $4000, + $1000 + (-$1000)

=$5000 - $1000

=$4000

The elements of products that may be changed to meet customer needs are features, usage, and _______. a. qualityb.promotionc.protectiond.production

Answers

The elements of products that may be changed to meet customer needs are features, usage, and C. protection. It is because the market taste is change in the periodic time based on their necessary.

In the term of economic market and also business, The changes in consumer taste generally can be defined as an increase in e-commerce as well as more demand for sustainable and inclusive products. The change in the economic market is the impact of the emergence of Gen-Z who cares more about the environment and social issues, businesses with a vision aligned with them will benefit greatly. The change in the watch market is significant because the market tastes will continue to change, whether by changing in the features, usage, or also protection.

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60 points please help
1. What are two environmental hazards created by transportation? How are these hazards produced?

2. Imagine that you are a hospitality manager and you want to warn your guests about possible risks in the nearby park. What are two pieces of advice that you would give them to help them stay healthy while enjoying the park?

3. Some workers in transportation and logistics may work in factories or in transporting goods from factories. What are three common factory hazards? Describe each.

4. What are three hazards that might be found in restaurants? Why are these hazards found in restaurants?

5. Workers in hospitality and transportation careers often have to follow strict rules about environmental hazards. Why is this important?


Hospitality Manager <- your second lab link

1. Why is hospitality important in business?

2. What types of things does a hospitality manager do?

3. What courses or information would be helpful for a hospitality manager?

4. What do you think you'd like best about working as a hospitality manager?

Answers

Answer:

The environmental impact of transport is significant because transport is a major user of energy, and burns most of the world's petroleum. This creates air pollution, including nitrous oxides and particulates, and is a significant contributor to global warming through emission of carbon dioxide.

Constant Growth Corporation is expected to pay a dividend of $10 a year from now and dividends are expected to grow at a rate of 1% into the infinite future. If the expected rate of return for Constant Growth Corporation's equity is 13%, what should the price of the company's shares be, today?

Answers

According to the Gordon Growth Model and the provided assumptions, the price of Constant Growth Corporation's shares today should be around $83.33.

The calculation is as follows:

We may utilize the Gordon Growth Model, sometimes referred to as the dividend discount model (DDM), to determine the current share price of Gordon Growth Model Corporation. The following is the DDM formula:

Price is Dividend / (Return Rate - Growth Rate).Given: The anticipated dividend for the upcoming year (D1) is $10.

Constant Growth Corporation's anticipated (g) is 1%.Return on Expected Investment (Required Investment) = 13% When we enter these numbers into the formula, we obtain:

Price = $10 / (0.13 - 0.01)

Price = $10 / 0.12

$83.33 (rounded to two decimal places) is the price.

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How does residents right violation impact
payers/insurers/health plans, health care professionals, health
provider organizations, or health product developers?

Answers

Resident rights violations impact various stakeholders in the healthcare industry, including payers/insurers/health plans, health care professionals, health provider organizations, and health product developers. These impacts can include increased costs, legal consequences, reputational damage, and ethical implications.

Resident rights violations can have significant impacts on various stakeholders in the healthcare industry. These include:

1. Payers/Insurers/Health Plans: Increased healthcare costs and potential damage to reputation and trust.

2. Health Care Professionals: Professional and ethical implications, including potential legal consequences and reputational harm.

3. Health Provider Organizations: Legal consequences, financial penalties, reputational damage, and potential closure.

4. Health Product Developers: Potential legal liability, reputational damage, and decreased sales.

In summary, resident rights violations can lead to financial, legal, reputational, and ethical consequences for payers/insurers/health plans, health care professionals, health provider organizations, and health product developers.

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Which quality is a requirement In order for a destination to become a tourism destination area (TDA)?

A. should be accessible by road
B. should be in a developed country
C. should have a unique feature
D. should have a moderate climate​

Answers

C, otherwise there is no reason to go
i think it would be a bit i’m not for sure yet

Cover pages should include
a. The name of your class
b. The date you turn in the paper
c. Your teacher's name
d. All of these
Please select the best answer from the choices provided
O A
B
Ос

Answers

The answer it’s letter D

Answer:

the answer is D

Explanation:

Identify and explain the three basic steps strategy formulation

Answers

The first three steps in the strategic management process are part of the strategy formulation phase. These include analysis, strategy formulation, and goal setting. The final two steps in strategic management constitute implementation.

I hope this helps it’s all I know

The following data are accumulated by Geddes Company in evaluating the purchase of $120,000 of equipment, having a four-year useful life: Net Income Net Cash Flow Year 1 $43,500 $73,500 Year 2 27,000 57,000 Year 3 19,000 49,000 Year 4 3,500 33,500 a. Assuming that the desired rate of return is 15%, determine the net present value for the proposal. If required, round to the nearest dollar. Net present value b. Would management be likely to look with favor on the proposal? the net present value indicates that the return on the proposal is I than the minimum desired rate of return of 15%.

Answers

The management would be likely to look with favor on the proposal.

The given data is as follows:Net Income Net Cash Flow

Year 1$43,500  $73,500

Year 2  $27,000 $57,000

Year 3  $19,000   $49,000

Year 4   $3,500   $33,500

Now, we need to determine the net present value for the proposal assuming that the desired rate of return is 15%.

Formula for net present value is:Net present value = -Initial investment + Present value of net cash flows

where,Present value of net cash flows = Net cash flow / (1+i)^n

For Year 1:Present value of net cash flow = 73,500 / (1+0.15)^1 = $63,913.04

For Year 2:Present value of net cash flow = 57,000 / (1+0.15)^2 = $43,267.69

For Year 3:Present value of net cash flow = 49,000 / (1+0.15)^3 = $32,480.90

For Year 4:Present value of net cash flow = 33,500 / (1+0.15)^4 = $18,448.90

Net present value = -120,000 + 63,913.04 + 43,267.69 + 32,480.90 + 18,448.90= $38,110.53

The net present value indicates that the return on the proposal is higher than the minimum desired rate of return of 15%. Hence, management would be likely to look with favor on the proposal.

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Question 2 of 10
Before taking the exam to receive CPA certification, a person must:
A. complete two years of professional education.
B. complete a one-to two-year supervised internship program.
C. gain two years of experience in financial management.
D. complete at least 120 credit hours of postsecondary education.
SUBMIT

what's the answer please

Answers

Before taking the exam to receive CPA certification, a person must complete at least 120 credit hours of postsecondary education.

What is a CPA certification?

The CPA certification means the certified public accountant certification which is a designation given to those who meet education and experience requirements and pass an exam.

Hence, the requirement to take the exam to receive CPA certification, a person must complete at least 120 credit hours of postsecondary education.

Therefore, the Option D is correct.

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What is business overview

Answers

Answer:

A company overview (also known as company information or a company summary) is an essential part of a business plan. It's an overview of the most important points about your company—your history, management team, location, mission statement and legal structure.

Explanation:

Answer:

It is an essential part of a business plan. It's an overview of the most important points about your company.

Explanation:

Hope this helps!

Which of the following is the major means to signal good quality of goods by firms?
a. sales
b. advertisement
c. warranties/guarantees
d. both sales and advertisements

Answers

The major means to signal good quality of goods by firms is through warranties/guarantees. These are promises made by the company to the customer that their product is of good quality and will perform as advertised.

Warranties/guarantees provide a sense of security to the customer as they know that if the product fails to meet their expectations, they can return it for a refund or repair. This helps to build trust between the customer and the company, leading to customer loyalty and repeat business.

Sales and advertisements can also be effective in promoting the quality of goods, but they are not as reliable as warranties/guarantees. Sales may be a temporary promotion, and advertisements can be misleading or exaggerated. Therefore, companies should focus on providing strong warranties/guarantees to signal good quality of goods.

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5. question 5 the following is a selection from a spreadsheet: a b c 1 country population in 2020 (millions) growth in population 2000-2020 2 china 1,439,323,776 13.4 % 3 india 1,380,004,385 37.1 % 4 united states 331,002,651 17.3 % 5 indonesia 273,523,615 27.7% 6 pakistan 220,892,340 44.9% 7 brazil 212,559,417 21.9% 8 nigeria 206,139,589 66.3% 9 bangladesh 164,689,383 27.9% 10 russia 145,934,462 -0.8% to search for the growth in population in indonesia, what is the correct vlookup syntax?

Answers

To search for the population of Brazil, the syntax is = VLOOKUP ("Brazil",A2:B10,2, false)."Brazil" is the reference.A2:B10 is the table array.The 2 indicates the number of the coloumn from which the value should be returned.

What is population?In most everyday uses, the word population implies a group of people or at least a group of living beings. However, statisticians refer to whatever group they are studying as a population. The population of a study might be babies born in North America in 2021, the total number of tech startups in Asia since the year 2000, the average height of all accounting examination candidates, or the mean weight of U.S. taxpayers.Statisticians and researchers prefer to know the characteristics of every entity in a population to draw the most precise conclusions possible. This is impossible or impractical most of the time, however, since population sets tend to be quite large.

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To search for the growth in population in Indonesia using the VLOOKUP function in Excel, the correct syntax would be =VLOOKUP("indonesia",A1:C6,3,FALSE)

What is V LOOKUP syntax?This formula will search for the value "Indonesia" in the first column of the range A1:C6 and return the value in the third column (the column with the growth in population) of the same row. The fourth argument, "FALSE", specifies that an exact match is required, rather than an approximate match.It is also possible to search for the growth in population in Indonesia using INDEX and MATCH function:= INDEX(C2:C6,MATCH("Indonesia",A2:A6,0)

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Identity theft and financial fraud
have declined in recent years.
TRUE,
FALSE

Answers

Answer:

false

Explanation:

I hate the us school system and how the pull out bs subjective questions like this, what year is it, what country, time period, stuff like that helps and big schools dont give us it

Answer:

false

Explanation:

hope it helps thank you

Investment advisers estimated the stock market returns for four market segments: computers, financial, manufacturing, and pharmaceuticals. annual return projections vary depending on whether the general economic conditions are improving, stable, or declining. the anticipated annual return percentages for each market segment under each economic condition are as follows:



economic condition

market segment

improving

stable

declining

computers

10%

2%

-4%

financial

8%

5%

-3%

manufacturing

6%

4%

-2%

pharmaceuticals

6%

5%

-1%

a. assume that an individual investor wants to select one market segment for a new investment. a forecast shows improving to declining economic conditions with the following probabilities: improving (0.2), stable (0.5), and declining (0.3). what is the preferred market segment for the investor, and what is the expected return?

Answers

Based on the given forecast probabilities, the individual investor can calculate the expected return for each market segment by multiplying the annual return for each economic condition.

For the computers segment:

Expected return = (10% * 0.2) + (2% * 0.5) + (-4% * 0.3) = 2% + 1% - 1.2% = 1.8%

For the financial segment:

Expected return = (8% * 0.2) + (5% * 0.5) + (-3% * 0.3) = 1.6% + 2.5% - 0.9% = 3.2%

For the manufacturing segment:

Expected return = (6% * 0.2) + (4% * 0.5) + (-2% * 0.3) = 1.2% + 2% - 0.6% = 2.6%

For the pharmaceuticals segment:

Expected return = (6% * 0.2) + (5% * 0.5) + (-1% * 0.3) = 1.2% + 2.5% - 0.3% = 3.4%

Based on the expected returns the probabilities, the preferred market segment for the investor would be Pharmaceuticals, which has the highest expected return of 3.4%.

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There are tools economists and strategic planners can use to evaluate a nation's progress towards economic development. Which of the following is a true statement with regards to such measurement? Select one: O a GDP is a larger figure and includes a nation's income generated from oxports, imports, and international operations. Ob legal activities such as gambling and black market transactions are considered in GDP and GNP. c. Using gross product figures to compare production across countries accounts for different cost of living in each country, Od. The purchasing power parity is a poor indicator of a people's total well-being.

Answers

The true statement with regards to measuring a nation's progress towards economic development using tools like GDP, GNP, and purchasing power parity (PPP) is that these measurements have their limitations.

GDP, for instance, is a larger figure that includes a nation's income generated from exports, imports, and international operations. However, it does not account for the distribution of wealth among the population, nor does it consider the impact of non-economic factors like environmental degradation.

Similarly, GNP includes legal activities like gambling and black market transactions, but again, it does not consider factors like income inequality or social welfare. Comparing production across countries using gross product figures is also flawed as it does not account for the different cost of living in each country.

Lastly, the PPP, while a useful indicator of a people's total well-being, is not a comprehensive measure and may not reflect the true standards of living in a country.

Therefore, while these tools are useful in evaluating a nation's progress towards economic development, they must be used with caution and in conjunction with other measures to paint a more complete picture.

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Determining Operating Cash Flows—Direct Method
Adjusted trial balances for Garboz Company, an industrial recycler, at December 31, 2020, and 2019, follow.
Debits December 31 2020 2019
Cash $38,200 $35,000
Accounts receivable 30,250 27,500
Inventory 29,680 45,000
Property, plant, & equipment 70,000 75,000
unamortized bond discount 3,600 4,000
Cost of goods sold 210,000 340,000
Selling expenses 118,000 140,000
General and admnistrative expenses 100,100 130,000
Interest expense 4,135 2,500
Income tax expense 14,400 41,200
Credits Allowance for uncollectible accounts 1,100 1,000
accumilated depreciation 10,500 12,000
Trade accounts payable 22,000 15,500
Income Taxes payable 18,000 24,100
Deffered income taxes 6,000 4,000
8% callable bonds payable 35,000 18,000
common stock 38,000 22,000
Additional paid in capital 8,100 6,500
Retained earnings 52,500 47,500
sales 427,165 689,600
total cresits $618,365 $840,200
Additional information
1. Purchased $5,000 of equipment in 2020. 2. Allocated one-third of its depreciation expense to selling expenses and the remainder to general and administrative expenses. 3. Assume no accounts receivable were written off or recovered during the year.

Answers

Operating cash flows under the direct method include cash receipts and cash payments. Cash receipts include the cash collected from customers, the cash received from interest and dividends, and the cash received from other income sources.

Cash payments include the cash paid to suppliers, the cash paid to employees, the cash paid for interest, the cash paid for taxes, and the cash paid for other expenses. Given information, the purchases of $5,000 in equipment in 2020 would be reported as a cash outflow in the investing activities section of the cash flow statement.

This transaction would not be reflected in the operating activities section of the statement. The depreciation expenses are allocated to selling expenses and general and administrative expenses.

The amount of depreciation allocated to selling expenses would be subtracted in the operating section of the cash flow statement as an expense, and the amount of depreciation allocated to general and administrative expenses would also be subtracted in the operating section of the cash flow statement as an expense. 

The fact that no accounts receivable were written off or recovered during the year is relevant only for the direct method of calculating operating cash flows. This information is necessary to calculate the cash collected from customers.

The sales revenue would be adjusted to account for the change in the balance of accounts receivable between the beginning and end of the period. Thus, the change in the accounts receivable balance should be subtracted from the sales revenue to calculate the cash received from customers.

The sales revenue is adjusted because it reflects the amount of revenue that was earned during the period rather than the amount of cash that was received.

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Which of the following fields from the Projects table is not a good candidate to index?

a. ProjectID

b. ProjectStartDate

c. ClientID

d. ProjectNotes

Answers

The field from the Projects table that is not a good candidate for the index is Project Notes. Option d is correct.

An index is a set of structured data, similar to a table of contents, that contains pointers to the actual data that is held in a table. It is used by databases to quickly search and retrieve specific data from a table. It's comparable to the index of a book, which lists the page numbers where specific topics can be found.

A database index is a data structure that improves the speed of data retrieval operations on a database table by providing swift access to specific rows in the table based on the values in certain columns or expressions in the table. A database index improves the speed of data retrieval operations on a database table by providing swift access to specific rows in the table based on the values in certain columns or expressions in the table.

Indexes are used to speed up database queries, but they come at the cost of increased storage space and slower write operations to the table. Therefore, not all fields in a database table are good candidates for indexing. Field from Projects table that is not a good candidate for indexProjectNotes is not a good candidate for indexing as it is not a field that will be frequently used in queries or sorting operations.

Option d is correct.

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Can Someone Please help me with this ASAP

From the following list of terms, select the one that best fits each definition below. Write your selected word on the lines provided.

Word bank:

feedback
empathy
active listening
credibility
consistency
packaging options
image
interpersonal
initiative
electronic

Questions:
1. One method of recording client requests. ____________________
2. A skill when using appropriate body language. ____________________
3. Good customer service builds the reputation, trust ____________________ of a business.
4. A communication skill needed to understand customers. ____________________
5. An example of choices that customers have. ____________________
6. Personal hygiene and grooming contribute to one’s ____________________.
7. Important in understanding the needs and point of view of a client. _____________________
8. Means reliability and constancy. ______________________
9. Employers appreciate workers who use their own ____________________ when making decisions.
10. When customers provide comments or reactions to customer service. ___________________

Answers

______________

1.One method of recording client requests. electronic. 2. A skill when using appropriate body language. _active listening 3. Good customer service builds the reputation, trust credibility of a business.__________. 4. A communication skill needed to understand customers. interpersonal 5. An example of choices that customers have. _packaging options. 6. Personal hygiene and grooming contribute to one’s_image. 7. Important in understanding the needs and point of view of a client. empathy. 8. Means reliability and constancy. consistency. 9. Employers appreciate workers who use their own ___initiative when making decisions. 10. When customers provide comments or reactions to customer service. feedback

Piechocki corporation manufactures and sells a single product. the company uses units as the measure of activity in its budgets and performance reports. during may, the company budgeted for 6,700 units, but its actual level of activity was 6,650 units. the company has provided the following data concerning the formulas used in its budgeting and its actual results for may: __________

Answers

The company can identify any areas that require improvement or adjustments in future budgeting and performance reporting.



The Piechocki Corporation manufactures and sells a single product, using units as the measure of activity in its budgets and performance reports.

In May, the company had budgeted for 6,700 units; however, the actual level of activity was 6,650 units. This indicates that the company's performance was slightly below its budgeted expectations for the month.

To better understand the discrepancy and analyze the financial performance, it's essential to review the provided data concerning the formulas used in the company's budgeting process and compare it with the actual results for May.

By doing this analysis, the company can identify any areas that require improvement or adjustments in future budgeting and performance reporting.

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