If the demand for loanable funds increases real interest rate and the international value of the U.S. Dollar (USD) will increase as well.
you need to note that on the other hand, we can argue that in case the demand of loanable funds decreased, real interest rates would decrease.
Therefore, we can conclude that if interest rates in US decreased, the obvious thing will be that the investors would move their money to some other country where they offer higher interest rates.
The loanable funds concept adds bank credit to the traditional approach, which only considered saving and investment for determining interest rates. Due to the ability of the banking sector to generate credit out of thin air, the total quantity of credit available in an economy may surpass private savings. Therefore, in addition to the propensities for saving and investing, the production or destruction of fiat money and credit also has an impact on the equilibrium (or market) interest rate.
If the banking system expands credit, the market interest rate will at least momentarily fall below the natural rate. The natural rate, according to Wicksell, is the interest rate that is consistent with a steady level of prices.
To know more about loanable funds visit:
https://brainly.com/question/15851247
#SPJ4
Answer:
Increase/Increase
Explanation:
The quantity of a product demanded by consumers is a function of its price. The quantity of one product demanded may also depend on the price of other products. For example, if the only chocolate shop in town (a monopoly) sells milk and dark chocolates, the price it sets for each affects the demand of the other. The quantities demanded, and , of two products depend on their prices, and , as follows: If one manufacturer sells both products, how should the prices be set to generate the maximum possible revenue? What is that maximum possible revenue? Enter the exact answers. Enter your answer; p1 Enter your answer; p2
The focus on traditional financial statements is -Select- data rather than cash flow. However, cash flow is important to investors, managers, and stock analysts. Therefore, corporate decision makers and security analysts need to modify accounting data provided to them. An important modification is the concept of free cash flow (FCF). Many analysts regard FCF as being the single and most important number that can be developed from the accounting statements, even more important than net income. The equation for free cash flow is:
Answer:
The focus on traditional financial statements is ACCOUNTING data rather than cash flow.
Free cash flows = (EBIT x (1 - tax rate)] + non-cash expenses (depreciation and amortization) - capital expenditures - increases in net working capital
Explanation:
Cash is KING. A company might b extremely profitable from an accounting point of view, but if it doesn't have enough cash to keep running, it will go bankrupt. E.g. many companies increase their sales revenue by handing out long credit terms to most or all of its customers including some that may not be able to pay them back. That increases accounts receivables and net income, but until the cash is collected, this is useless. The other option that a company has is to factor their accounts receivables but factoring companies are not dumb and they will pay a very low amount for them.
Companies and stocks are always valued based on cash flows, never on accounting records. Accounting records might be deceiving, but cash never lies. Either the company has or doesn't have cash. A company's cash flow tells investors how well managed a company is.
E.g. Remember that during the Great Recession both GM and Chrysler went bankrupt and the government had to bail them out. If you looked at their accounting records of the previous year, they were both profitable, so why did they burst in just a few months? They didn't have cash. Cars and SUVs are useless unless you sell them and collect the cash. Ford didn't go bankrupt because it had billions of dollars in cash, not because they were doing great. Ford was actually the company that performed worst form an accounting point of view. But out of the 3 car companies, it was the only one properly managed. Accounting records are great for the IRS but are meaningless to an investor.
clearly mexico desperately needs financial help in handling its $96 billion foreign debt, since without any aid mexico cannot possibly reduce that enormous sum, and it is urgent that it be reduced.
Mexico obviously needs financial assistance severely to manage its $96 billion foreign debt since it is unable to do so on its own.
What does "debt" mean?
Debt is the amount owed by the borrower to the lender.. A debt is an amount of money that has been borrowed for a set period of time and must be repaid, plus interest. The borrower's creditworthiness will determine the debt's amount and whether it will be approved.
What are equity and debt?
Debt capital is the process of borrowing money from people or organizations for a set period of time. The money a corporation raises in exchange for investors' ownership rights is called equity capital. Role. Debt financing is
To know more about Debt visit:
https://brainly.com/question/17286021
#SPJ4
April is worried that she is not a "good speller," so she plans to let the spelling
checker correct all her mistakes. What would be the most helpful advice for
April?
PLS help, 25 pts and brainliest will be given !
How can reflecting on morals and ethics; help you identify your areas of strengths and weaknesses?
Explanation:
Identifying your strengths and weaknesses can be extremely valuable. Not only will it allow you to approach tasks and challenges with a better understanding of how to succeed and what pitfalls to look out for, but it also allows you to effectively communicate what you can contribute, which is essential for things like job interviews.
a bank has no right to charge a customer's account for the amount of a stale check. true or false?
Answer:
your answer
Explanation:
its False
hope this helps
What is the difference between a total and a subtotal?
Explanation:
SUB-TOTAL:
The total for a part of a list of numbers being summed.
TOTAL:
An amount obtained by addition of smaller amounts.
Answer:
subtotal is all the different parts being added together from different list.
total is the all items being added together plus tax.
Explanation:
The general ledger
A) is used to record infrequent or non-routine transactions.
B) simplifies the process of recording large numbers of repetitive transactions.
C) records all detailed data for any general ledger account that has individual sub-accounts.
D) contains summary-level data for every account of the organization.
The general ledger is a fundamental component of an organization's accounting system. It is a master record that contains summary-level data for every account of the organization. This means that option D is the correct answer.
The general ledger is used to capture and record all financial transactions in an organization. It helps to ensure the accuracy and completeness of financial records. It also simplifies the process of preparing financial statements and helps managers to make informed decisions. While option A and B may be true to some extent, they do not represent the primary purpose of the general ledger. Furthermore, option C only applies to accounts that have individual sub-accounts. In summary, the general ledger is a critical accounting tool that provides a comprehensive view of an organization's financial health.
To know more about general ledger visit:
https://brainly.com/question/30164100
#SPJ11
Countries rely on each other for good and services, this is called economic
A
balance of trade
B
interdependence
с
international trade
D
quota
Answer:
B. interdependence
Explanation:
Trade can be defined as a process which typically involves the buying and selling of goods and services between a producer and the customers (consumers) at a specific period of time.
Economic integration can be defined as a strategic trade arrangement between countries to eliminate or mitigate trade barriers, as well as coordinate fiscal and monetary policy among its members.
There are different types of market or trade bloc used in economic integration and these includes;
I. Customs union
II. Free trade area
III. Common market
IV. Political union
VI. Economic union
A free trade area (zone) can be defined as an economic area wherein goods are exported or imported from one country to another without being subjected to normal trade laws such as quotas, bureaucratic requirements and tariffs of the country. Thus, a free trade area (zone) stimulates or enhances foreign trade, investment and globalization.
Hence, when countries rely on each other for good and services, this is called economic interdependence.
Economic interdependence can be defined as a situation in which two or more individuals, organizations or countries depend on one another through the exchange of goods and services, in order to meet their demands or needs.
I want to sing, act in tv shows, or ghost hunt. What should I do?
(real life situation) please tell me!
rent received in advance by the lessor for an operating lease should be recognized as revenue a.at the lease's expiration b.at the lease's inception c.when received d.over the lease term
The correct answer is b. at the lease's inception. Rent received in advance for an operating lease should be recognized as revenue at the lease's inception, which is when the lessor begins operating the leased asset.
This is because the lessor has fulfilled its obligation to provide the lessee with the use of the asset for the agreed-upon period, and thus revenue should be recognized at that point. Recognizing revenue over the lease term or at the lease's expiration would not be appropriate, as it does not accurately reflect when the lessor has fulfilled its obligations and earned the revenue.
This is because, in an operating lease, the lessor retains ownership of the asset and recognizes revenue over the term of the lease. The rent received in advance is initially recorded as a liability (unearned revenue) and then gradually recognized as revenue over the lease term.To learn more about “revenue” refer to the https://brainly.com/question/25102079
#SPJ11
In parliamentary procedure, a meeting begins when the chair person says which of the following phrases?
a. We will now begin the meeting.
b. The meeting has been called.
C. The meeting will now come to order.
d. There shall be order and commencement.
Answer:
c
Explanation:
got it right on test
In parliamentary procedure, a meeting begins when the chairperson says The meeting will now come to order. Thus option A is correct.
What is parliamentary procedure?A parliamentary system, sometimes known as a parliamentarian system, is a method of democratic government whereby the executive branch obtains the backing of the legislative, usually a parliament, to whom it is answerable.
A really well agenda results in shorter sessions that go more smoothly. The topics that will be covered in what order should be listed on the agenda. Establish a priority list if there are multiple critical items.
Ahead-of-time preparation and the use of agendas is preferred by some boards. This was stating that there will be a commencement. Therefore, option A is the correct option.
Learn more about parliamentary procedure, Here:
https://brainly.com/question/14271770
#SPJ5
There commencement.
The housing market has collapsed. banks are becoming very restrictive in their lending practices. which action would the federal reserve take to encourage banks to increase lending to home buyers? increase federal funds rate. lower reserve requirements. sell government securities. raise the discount rate.
The real estate sector is in disarray. The Federal Reserve may take action to encourage banks by easing reserve requirements as they become considerably more strict in their lending rules.
What is meant by federal funds?Any money received directly from the federal government is considered a federal fund and is listed as such in the "Detail of Appropriations" section of the governor's budget. Any organization or department may use these monies however they see fit. The interest paid on a federal funds overnight loan between financial institutions is known as "federal funds," and it is used to refer to money that commercial banks and other financial institutions have on deposit with a regional Federal Reserve System.
How Does the Federal Funds Rate Work?The federal funds rate is the interest rate that banks charge one another when lending or borrowing excess reserves overnight. 8 According to the legislation, banks must maintain a minimum amount of reserves in relation to their deposits. This reserve requirement is stored at a Federal Reserve Bank.
To know more about Federal Funds visit:
https://brainly.com/question/29761058
#SPJ4
Answer:Lower Reserve Requirments
Explanation:i took the test
does 1 plus 1 = 65 yes or no
Answer:
No 1 + 1 = 2
Explanation:
Lol
When two companies get involved in each other's business in any form, there are structural changes that take place in both companies. The following is one of the ways in which companies join forces: Two companies enter into a formal relationship to pursue a mutually beneficial goal without combining all their assets. This statement best describes a. Digicon Inc. has been a leading producer of computer hardware, including hard drives and CD-ROM drives, for a couple of decades. More recently, Digicon entered the software market, and this division has grown to be a major part of Digicon's overall corporate structure. The hardware and software markets are very different lines of business and the firm has struggled at times when making strategic decisions that affect both lines. Digicon is now in the process of carving out its software division. Which method of changing corporate control does this example illustrate? Merger or acquisition Leveraged buyout Divestiture Corporate alliance
The example provided in the statement illustrates a divestiture as a method of changing corporate control. Option C is correct.
A divestiture refers to the process of a company selling, spinning off, or otherwise disposing of a portion of its business or division. In this case, Digicon Inc., a company primarily involved in computer hardware production, entered the software market and developed a software division. However, the hardware and software markets are distinct and have different strategic considerations.
Due to the challenges faced by Digicon in making strategic decisions that affect both the hardware and software lines of business, the company has decided to carve out its software division. Carving out the division means separating it from the rest of the company, potentially creating a separate entity or forming a partnership to focus on the software market independently.
By divesting the software division, Digicon can streamline its operations, allocate resources more effectively, and potentially enable the software division to pursue its goals and strategies more efficiently. This approach allows both the hardware and software divisions to pursue their respective goals and objectives without completely combining all their assets.
Hence, C. is the correct option.
To know more about divestiture here
https://brainly.com/question/14789157
#SPJ4
--The given question is incomplete, the complete question is
"When two companies get involved in each other's business in any form, there are structural changes that take place in both companies. The following is one of the ways in which companies join forces: Two companies enter into a formal relationship to pursue a mutually beneficial goal without combining all their assets. This statement best describes a. Digicon Inc. has been a leading producer of computer hardware, including hard drives and CD-ROM drives, for a couple of decades. More recently, Digicon entered the software market, and this division has grown to be a major part of Digicon's overall corporate structure. The hardware and software markets are very different lines of business and the firm has struggled at times when making strategic decisions that affect both lines. Digicon is now in the process of carving out its software division. Which method of changing corporate control does this example illustrate? A) Merger or acquisition B) Leveraged buyout C) Divestiture D) Corporate alliance."--
PLZ help
Why must people make choices about which goods to produce and consume? Select three options.
Consumption is difficult.
Resources are limited.
Production requires resources.
Everyone wants or needs goods.
Not enough people are producers.
Answer:
Resources are limited.
Production requires resources.
Everyone wants or needs goods.
Explanation:
Different regions provide different resources that people can use for their business. People in that region need to understand the type of resources that are available for them and produce the goods that can be sustained by the available resource.
This scarcity means that acquiring resources require a certain amount of capital. Since people do not unlimited capital, they have to be picky with their consumption/production to ensure the ones with highest priority are fulfilled first.
On top of that, everyone wants or needs goods. Meaning that in order to obtain a certain resources, people will have to face competition. As the competition become more fierce, the sacrifice that is needed to obtain a certain product is increased. This is also why they have to watch out which product they should choose to consume.
Answer:B,C,D
Explanation:
the information to prepare the statement of cash flows comes from all of the following sources except
The information to prepare the statement of cash flows comes from all of the following sources except retained earnings.
The statement of cash flows refers to a financial statement that outlines how changes in balance sheet accounts and income affect cash and cash equivalents. The cash flow statement presents the cash inflows and outflows during the reporting period according to three activities: operating, investing, and financing. The statement of cash flows is a critical tool for analysts, investors, and creditors to evaluate a company's liquidity and solvency. It demonstrates the company's ability to generate cash and how it is used in the short and long term.As a result, the statement of cash flows is a useful tool for managers to evaluate a company's cash position, liquidity, and operations. The statement of cash flows is divided into three sections:Operating activities, which include revenue-generating activities, such as the sale of goods and services.Investing activities, which include the purchase or sale of long-term assets.Financing activities, which include raising funds and the payment of dividends or debt.Retained earnings aren't a source of information for the statement of cash flows because it's merely a financial account that records a company's accumulated profits over time. Retained earnings aren't classified as an operating, investing, or financing activity. Therefore, the statement of cash flows doesn't use retained earnings as a source of information.
To know more about investors, visit:
https://brainly.com/question/28538187
#SPJ11
The information to prepare the statement of cash flows comes from all of the following sources except changes in the current liability.
A cash flow statement is a financial statement that reflects a company's inflows and outflows of cash and equivalents over a certain period of time. It demonstrates how much cash a company generated or used in operations, investing activities, and financing activities. The statement of cash flows is generated through the following sources:
From the Income Statement: The net profit earned for the reporting period is the first item in the statement of cash flows. Non-cash expenses, such as depreciation, amortization, and depletion, are added back to net profit.
From the Balance Sheet: The net changes in current assets and liabilities over the period are reported in the statement of cash flows. Long-term asset investments, borrowings, and equity issuances are also included. The cash balances on the opening and closing balance sheet are used to generate the ending cash balance.
Conclusion: Therefore, changes in the current liability is the only source of information that is not used to prepare the statement of cash flows.
To know more about cash visit
https://brainly.com/question/26389863
#SPJ11
How do government regulations affect supply and demand? Explain how a government regulation to
increase bicycle safety might affect supply and demand. The new government regulation requires
bicycle manufacturers to put a chain guard on bicycles they make. Would that affect the supply of
bicycles? Give reasons for your answer.
Answer:
Try using chatgpt to get your answers quickly. Check it out online
Explanation:
Government regulations can have a significant impact on supply and demand in the market. Depending on the type of regulation, it can either increase or decrease the supply and demand for a product.
In the case of the new government regulation to increase bicycle safety by requiring bicycle manufacturers to put a chain guard on bicycles they make, it is likely to affect the supply of bicycles. The reason is that the new regulation will increase the cost of production for bicycle manufacturers, as they will have to purchase and install chain guards on their bicycles. This additional cost will likely be passed on to consumers in the form of higher prices.
As a result of the higher prices, the demand for bicycles may decrease. Consumers who were previously willing to purchase bicycles at the lower price may opt not to purchase bicycles at the higher price. This decrease in demand may lead to a decrease in the quantity of bicycles supplied by manufacturers. Conversely, if the demand for bicycles remains unchanged, then the increase in the cost of production will likely result in a decrease in the supply of bicycles.
Overall, the new government regulation to increase bicycle safety by requiring bicycle manufacturers to put a chain guard on bicycles they make will likely lead to an increase in the price of bicycles and a decrease in the quantity of bicycles supplied. However, it may also lead to an increase in the demand for bicycles from safety-conscious consumers who are willing to pay the higher price for a safer product.
Government regulations can affect supply and demand by changing the cost structure for businesses, which can impact prices and output.
The new bicycle safety regulation may increase production costs, leading to a potential decrease in the supply of bicycles, but it may also increase demand due to improved safety.
How do government regulations affect supply and demand?Government regulations can impact supply and demand by altering the cost structure for businesses, which can have a ripple effect on prices, output, and consumer behavior.
Regulations that increase production costs, such as taxes or requirements for safety features, can reduce the supply of goods or services, as businesses may choose to decrease production or exit the market.
On the other hand, regulations that incentivize production or consumption, such as subsidies or tax breaks, can increase the supply or demand for goods or services.
Government regulations can also impact consumer behavior by altering prices or availability, which can shift demand for certain products or services.
Overall, government regulations play a significant role in shaping the supply and demand dynamics in markets and can have far-reaching effects on economic activity.
Learn more about government regulations here:
https://brainly.com/question/29618672
#SPJ2
Tickets to a fundraiser are $14 if purchased ahead of time and $25 if purchased at the door. The total amount raised from all ticket sales was $625. If eleven tickets were purchased at the door, how many tickets were purchased ahead of time?.
What is the first thing the law requires you to do when you arrive at an intersection? Explain what you should do if there is an officer directing traffic.
Answer:
If a law enforcement officer if directing traffic where there are traffic lights, OBEY the officer – not the signals. You must yield the right-of-way to all other traffic and pedestrians at stop signs. Move forward only when the road is clear. At four-way signs, the first vehicle to stop should move forward first.
The very first action we do is stop at the junction as if it were a red light and waiting for police to notify you when it is safe to go.
Explanation:
If a police officer directs traffic in an area with traffic signals, respect the officer rather than the signals. At stop signs, you must surrender the right-of-way to all other cars and pedestrians. Only proceed when the road is clear. When approaching a four-way stop, the first car to halt shall proceed first.
Learn more:
https://brainly.com/question/18468755?referrer=searchResults
What are some examples of information you might include in the current status of a career plan? check all that apply. Classes you have takenjob or volunteer experienceintermediate goalspossible obstaclessoftware skillsfinancial challengesleadership skills.
Option A, B, E & G, Some examples of information a person may include in the present status of a career plan are classes you have taken, job or volunteer experience, software skills, and leadership skills.
A career plan outlines a person's immediate and long-term career objectives, as well as the steps required to reach them.
The choice of coursework, as well as the identification of extracurricular activities, research, and internships that will make one stand out as a competitive employment candidate, can all be aided by career planning.
What are some examples of information you might include in the current status of a career plan? Check all that apply.
A. classes you have taken
B. job or volunteer experience
C. intermediate goals
D. possible obstacles
E. software skills
F. financial challenges
G. leadership skills
To learn more about career plan please click on below link
https://brainly.com/question/28275628
#SPJ4
Venture capital required rate of return. Red Devil Investors has a success rate of one project for every four funded. Red Devil has an average loan period of 3 years and requires a portfolio return of 23.7%. If you borrow from Red Devil, what is your annual cost of capital? What is the annual cost of capital?
Annual cost of capital for borrowing from Red Devil Investors can be calculated as follows:
Given, Venture capital required rate of return = 23.7%
Success rate = 1
project for every 4 funded Average loan period = 3 years
Let's first calculate the probability of the funded project's success, which is the reciprocal of the success rate:
P(success) = 1/4 = 0.25
Now, we can use the probability of success to calculate the expected portfolio return as follows:
Expected portfolio return = P(success) × required rate of return+ P(failure) × required rate of return(1 - P(success))Expected portfolio return = 0.25 × 23.7% + (1 - 0.25) × 0% = 5.925%
Therefore, the annual cost of capital for borrowing from Red Devil Investors is:
\(Annual cost of capital \\= (expected portfolio return)/(1 - tax rate) \\= 5.925% / (1 - 0) \\= 5.925%\)
Answer: Annual cost of capital for borrowing from Red Devil Investors is 5.925%.
To know more about expected portfolio return visit :
https://brainly.com/question/32133392
#SPJ11
How does American style differ from Japanese style? Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. Japanese style is identified as casually elegant, often using very luxurious fabrics while American style is noted for being chic, sophisticated, and smart. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casual, athletic, and clean-cut while Japanese style is noted for having complicated cutting and structure. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. American style is identified as casually elegant, often using very luxurious fabrics while Japanese style is noted for being chic, sophisticated, and smart. Japanese style is identified as casual, athletic, and clean-cut while American style is noted for having complicated cutting and structure.
Answer:
American style is identified as casual, and ethic and clean cut while japanese style is considered poorly and has been noted for having complicated cutting and structure
Explantion:
got it right on Edge 2022
When lifting, you should use what part of your body to do most of the lifting? A. Your legs B. Your feet C. Your arms D. Your back
Explanation:
Your glutes and hamstrings are the muscles that do the heavy lifting in deadlifts. If you are interested in growing those muscles by using deadlifts you need to ensure you can both lift and lower the weight with control.
In 2019, McKenzie purchased qualifying equipment for his business that cost $212,000. The taxable income of the business for the year is $5,600 before consideration of any Section 179 deduction.
a. Calculate McKenzie’s Section 179 expense deduction for 2019 and any carryover to 2020.
b. How would your answer change if McKenzie decided to use additional first-year (bonus) depreciation on the equipment instead of using Section 179 expensing?
Answer:
A) The cost reduction for 2019 is $5,600. His accumulation to 2020 from Sec 179 is $206,400.
B) The allowance for spending is $0 for 2019. His accumulation to 2020 with Sec 179 is $0.0.
Explanation:
1) As per sections 179, a total of $212,000 is available for deduction, but the payment is related to taxable investment income as a restriction. Company revenue here is $5,600. Exemption is then decreased to $5,600 and holdover to nest year without $206,400 is the residual expense.
2) When we seek extra first-year expense, regardless of taxable business profits, we will claim the entire equipment costs as a deductible. So, Section 179 is going to be Zero and there's no reason to roll on to next term because in the first last year we were claiming maximum costs.
If a business is owned by many people, it is called a _____ . A. sole proprietorship. B. corporation. C. limited liability company. D. partnership
Answer:
bbb
Explanation:
When a business is owned by many people, then such a kind of business will be termed as corporation. Hence, Option B is correct.
What is a business?A business is a term which is used to denote the kind of activity that makes a person engaged and so that they can earn money to provide support to their family as well as themselves.
In terms of the monetary sector, with the help of this , they will continue in a smooth and efficient manner. With the help of business, one can earn that much money through which they can move towards master status.
When a person runs a kind of business there, apart from him, many other people will also become owners. It will be referred to as a corporation.
Therefore, Option B is correct.
Learn more about business from here:
https://brainly.com/question/15826604
#SPJ2
Which of the following is not a step in the marketing research process?
O a. Estimate sales
O b. Interpret the information
O c. Make a preliminary investigation
O d. Gather factual information
The correct answer is option (a) Estimate sales.
The practice of assessing the viability of a new good or service through interviews with prospective customers is known as market research. With the aid of this technique, businesses and organizations may identify their target market, gather and record customer feedback, and arrive at well-informed conclusions.
In a marketing research process, it includes only the steps involving the study of the market and interpreting information based on that.
In the given question, a market research process always includes the steps like gathering factual information, making a preliminary investigation and interpreting the information that was achieved through the market study. But, in a market research process, there is no work of sale estimation. Sales estimation is an end process and marketing research is a beginning process. Sales value may fluctuate and to derive a correct sales estimation, there needs to be a proper marketing research.
Therefore, estimating sales is not a part of a marketing process, hence, option (a) is the correct answer for this question.
Learn more about Market Research here: https://brainly.com/question/24906199
#SPJ9
What does health insurance cover? If you pass will they help with funeral cost?
Answer:
Funeral or bereavement expenses aren't considered medical expenses and can't be paid for using funds from a Medical Savings Account plan.
The Marketing Club at your university is thinking about undertaking a moneymaking project. All coeds will be invited to compete and twelve will be selected to be in the "Girls of (insert your school University calendar. All photographs will be taken by a profesional photographer and tastefully done. Some club members are concerned about the reactions of other students who might think that the calendar will degrade women. Taking each of the "don'ts of question wording, write a question that would tend to bias answers such that the responses would tend to support the view that the calendaris degrading. Indicate how the question is in error, and provide a version that is in better form.
A biased question could be: "Don't you think the calendar project is exploiting women and sending a negative message to the student body?" This question is in error because it is leading and assumes that the calendar is degrading, which may not necessarily be true.
A better version of the question could be: "What is your opinion on the calendar project being conducted by the Marketing Club at our university?" This question is neutral and open-ended, allowing the respondent to express their thoughts without any influence. It allows for a more balanced view of the situation and provides room for constructive criticism or support.
To learn more about “Marketing” refer to the https://brainly.com/question/25754149
#SPJ11
Malaki ran 9,656 meters on Monday and 4,687 meters on Tuesday. How many more meters did she run on Monday than on Tuesday?
Answer: 4969 meters
Explanation: Here's what you do: 9,656 - 4,687 = 4969
Answer: 4969 meters
Explanation: