If the Fed wanted to follow a more expansionary monetary policy, it should purchase additional U.S. securities and other assets.Purchasing additional U.S. securities and other assets is a strategy that the Federalc (Fed) employs to implement expansionary monetary policy.
In order to boost the economy, the Fed is looking to increase the money supply. The following are some of the strategies that the Fed employs to expand the money supply:Lowering of the interest rates – When interest rates are lower, it encourages more borrowing, which in turn leads to an increase in spending and investment. Increase in government spending – When the government spends more, it increases the demand for goods and services, which in turn stimulates the economy.
Reduction in reserve requirements – Reducing reserve requirements would allow banks to hold less in reserve, and lend more, increasing the money supply. Purchase of government securities – By purchasing government securities in the open market, the Fed injects money into the economy, increasing the money supply.
To know more about assets visit:
https://brainly.com/question/14826727
#SPJ11
In the cpi, goods and services are weighted according to.
Answer:
A consumer price index (CPI) is usually calculated as a weighted average of the price change of the goods and services covered by the index.
Explanation:
The weights are meant to reflect the relative importance of the goods and services measured by their shares in total consumption of household.
PLZ HELP ME!!!!!!
Which statement about credit card interest rates is TRUE?
A.) The more money you spend on purchases, the higher your interest rate will be
B.) A high interest rate means you'll pay MORE money total
C.) A high interst rate means you'll pay LESS money total
D.) Most credit cards do not charge any interest rate
Answer:
I think its A?
Explanation:
I am a foundational piece to planning a lesson. I
- outline what a student is expected to learn. In
the state of Texas I am called TEKS.
( Principles of education and training )
Answer:
that's good lol, keep it up
The ability to read, understand, and analyze accounting reports and financial statements is critical in understanding ______.
Answer:
business operations
Explanation:
What role do career pathways play?
A. Career pathways lay out the academic courses, skills, and knowledge required for a position.
B. Career pathways help students determine whether a position will have information technology as a primary or secondary focus.
C. Career pathways lay out the advantages and disadvantages of potential careers.
D. Career pathways organize jobs into 16 major groups to help students plan their careers.
Answer:
I think it's A. but don't depend on me i'm probley wrong
Explanation:
What part do career paths play is The educational requirements, necessary skills, and expertise for a position are outlined in career pathways. As a result, choice (A) is right.
What is meant by Career pathways ?A career path is a list of steps you should take to advance into new or more senior responsibilities at work during your professional life. Employees are guided toward their ultimate professional ambitions as well as their long-term goals through a series of positions and experiences.
By highlighting their existing professional situation and providing advice on how to improve it, career pathing can increase their levels of engagement and job satisfaction.
An essay about your career objectives is a piece of writing in which you describe the career route you hope to take and the goals you have for yourself. You will discuss your career aims, pertinent accomplishments that help you be more successful in achieving your goals, and how your aspirations can help you advance even farther in the essay.
Learn more about Career pathways , from :
brainly.com/question/2773489
#SPJ5
when an economist evaluates a positive statement, he or she is primarily
When an economist evaluates a positive statement, they are primarily concerned with whether or not the statement is factual and can be supported by data.
A positive statement is a statement that can be tested and either proven true or false through empirical evidence. Therefore, economists evaluate such statements by analyzing the empirical evidence available and determining whether the statement is supported by the data at hand. If the statement is not supported by the data or is proven false by the data, then the economist will reject it.
Economists rely on positive statements in their research and analysis, as they provide a foundation for building economic models and making policy recommendations. These statements help to establish the facts of the economic situation and provide a framework for analyzing the effects of different policy options.
Positive statements are distinguished from normative statements, which involve value judgments and opinions about what ought to be. Economists generally avoid normative statements as they are subjective and cannot be tested in the same way as positive statements.
know more about economist
https://brainly.com/question/28556553
#SPJ11
.You recently came into a large sum of cash. After putting a portion towards paying off existing debts, you have decided to put the rest into investments to help secure your personal financial future. Please discuss at least three options. For each option, you should identify the option, explain how it works, and give your reason for selecting it.
Answer:
Depending on your age, you can diversify your investment in 3 ways:
Stocks: on the long term this is the best investment possible since it yields the highest returns and it is fairly safe, of course depending on which type of corporations you decide to invest. You buy stocks from corporations that trade in public markets and earn money by receiving dividends and is the stock price increases. Corporate bonds: they are a safer investment but yields lower returns than stocks. You buy bonds issued by corporations that generally pay annual or semiannual coupons. US Treasuries: they are the safest investment, but also the one that yields the lowest returns. Investing in government bonds is very safe, since the government should be able to pay its debt since it owns the machine that prints money. The problem with this investment is that yields tend to be very low and if you compare them to inflation, they might yield negative real returns.What levels of risk does investing in the stock generally carry
medium
medium, high,
low, high
or low?
Low, high levels of risk does investing in the stock generally carry. Over the long term, stocks have the highest potential for growth for investors. Investors who have chosen to hold onto stocks for an extended length of time—say let's 15 years.
Typically been rewarded with robust, profitable returns. Utilize your associated banking account to open a risk and trading account. Access that trading account. Choose the shares you want to purchase or sell. Make sure you have the necessary investing funds in your account to purchase the shares stocks. taking dividends in— Many stocks distribute dividends, which are based on the company's earnings per share.
To learn more about investing, click here.
https://brainly.com/question/15353704
#SPJ1
In which of the following situations would an extroverted professional likely perform more strongly than an introverted counterpart
Extroverted professional likely perform more strongly than an introverted counterpart in -
1. Networking events
2. Sales and customer services
3. Public Speaking
An extroverted professional may perform more strongly than an introverted counterpart in situations where strong social skills and the ability to effectively communicate with others are important. Examples of such situations might include:
Networking events and business meetings: Extroverts tend to be more outgoing and sociable, which can help them make connections and build relationships with potential clients or colleagues.Sales and customer service roles: Extroverts may be better at engaging with customers, building rapport, and closing deals.Public speaking and presentations: Extroverts may be more comfortable speaking in front of large groups and have an easier time engaging with an audience.Teamwork and collaboration: Extroverts may be more comfortable working in a team setting and be better at facilitating communication and cooperation among team members.Please note that this is a generalization and it is not true that extroverts always perform better than introverts in these situations. It depends on the individual's personality, skills and experience.
Know more about Extroverts and Introverts - https://brainly.com/question/1524586
#SPJ4
Consider the following probability mass function for X, where x = 0, 1, 2: p(0) = (1-a)² p(1) = 2a(1 - a) p(2) = a² Develop the moment generating function for X, where a is a constant and 0 < a < 1. Using the moment generating function only, determine the mean of X. O a O 2a O 2(1 - a) O a/2
The moment generating function (MGF) for a discrete random variable X is defined as MGF(t) = E[e^(tX)], where t is the argument and E denotes the expected value.
To find the moment generating function for X, we can use the given probability mass function:
MGF(t) = E[e^(tX)] = Σ(e^(tx) * p(x)), for all possible values of x
Plugging in the values from the probability mass function:
MGF(t) = e^(t*0) * p(0) + e^(t*1) * p(1) + e^(t*2) * p(2)
= p(0) + e^t * p(1) + e^(2t) * p(2)
= (1-a)² + e^t * 2a(1-a) + e^(2t) * a²
Now, to determine the mean of X using the moment generating function, we differentiate the MGF with respect to t and evaluate it at t=0:
Mean of X = E[X] = d(MGF(t))/dt | t=0
Differentiating the MGF:
d(MGF(t))/dt = 0 + e^t * 2a(1-a) + 2e^(2t) * a²
Evaluating at t=0:
Mean of X = E[X] = d(MGF(t))/dt | t=0 = 0 + e^0 * 2a(1-a) + 2e^(2*0) * a²
= 2a(1-a) + 2a²
= 2a - 2a² + 2a²
= 2a
Therefore, the mean of X is 2a.
Learn more about function here:
https://brainly.com/question/21145944
#SPJ11
Privacy laws include governing what
Help. business management
Answer: The break-even point is 66 units.
Explanation:
The break-even point can be found by dividing total fixed costs by the difference between selling price and variable cost.
(fixed cost) / (sale price - variable cost)
1980 / (50 - 20) = 66 units
Salt & Battery must sell 66 units of product before breaking even.
Suppose that the U.S. government decides to charge beer consumers a tax. Before the tax, 10 billion cases of beer were sold every year at a price of $7 per case. After the tax, 5 billion cases of beer are sold every year; consumers pay $9 per case (including the tax), and producers receive $6 per case.
a. The amount of the tax on a case of beer is ($_____) per case. Of this amount, the burden that falls on consumers is ($_____) per case, and the burden that falls on producers is ($_____) per case.
b. (True or False) The effect of the tax on the quantity sold would have been smaller if the tax had been levied on producers.
Answer:
$3
$2
$1
false
Explanation:
Tax is a compulsory sum levied by the government on goods and services. it increases the price of the good
Tax on a case of beer = amount consumers pay after the tax has been levied - amount producers receive = $9 - $6 = $3
Burden on consumers = amount consumers pay after the tax has been levied on the cases of beer - amount consumers pay before tax was levied on cases of beer = $9 - $7 = $2
Burden on producers = Tax on a case of beer - Burden on consumers = $3 - $2 = $1
false. producers are already being taxed
1. In the POW camps of WWII, what did prisoners do with the contents of their Red Cross packages
that "maximized individual satisfaction"?*
(1 Point)
Prisoners gave away things they didn't want
Prisoners traded for what they wanted.
Prisoners hoarded their meager supplies.
Answer:
The correct option is;
Prisoners traded for what they wanted
Explanation:
In the war camps, being that there where no privileged persons, everyone had to trade what they where given as rations for what they needed and as such trading became predominant in the camp as those who could afford to manage without taking some of the package contents from the Red Cross such as beef, coffee, biscuits and cheese can trade for other items with some making small fortunes in cigarettes (which became more or less the currency) and biscuits.
Discuss the extent to which ethical leadership is evident in the case study
The case study on Nike highlights both ethical and unethical leadership practices. The ethical leadership is evident in the way the company was able to react and respond to the allegations of poor labor practices in their foreign factories.
Initially, when it was brought to the attention of the company that their suppliers were using underage workers, poor working conditions, and low wages, they took corrective measures by issuing new code of conduct, updating their auditing practices, and increased monitoring of the supplier factories. Additionally, the company also established the Global Alliance for Workers and Communities as a way of engaging with stakeholders to promote fair labor practices in the footwear and apparel industries. This is a good example of ethical leadership in action.However, the case study also highlights unethical leadership practices.
The company was aware of the poor labor practices in their suppliers’ factories but did not take proactive measures to address it. Instead, they waited for the media expose to respond. The company failed to do due diligence and relied solely on supplier’s word to determine labor practices in the factories. This is an example of unethical leadership practices as it shows the company did not uphold their social responsibilities and instead waited for the media and customer pressure to act. In conclusion, while Nike exhibited some ethical leadership practices, there are still areas where the company needs to improve.
The company needs to take proactive measures to address labor practices in their suppliers’ factories and ensure that they uphold their social responsibility as a multinational company. This will not only improve the company's image but also foster trust and confidence among its stakeholders.
To know more about ethical leadership visit:
https://brainly.com/question/33422869
#SPJ11
A problem with the specific identification method is that.
A problem with the specific identification method is that it is time-consuming and expensive compared to other inventory costing methods.
The specific identification method is a type of inventory costing method that is used to track and assign the actual cost of a specific unit of inventory to that unit. The main advantage of this method is that it provides an accurate cost of goods sold and ending inventory. However, it also has some drawbacks that include:
Time-consuming and expensive: This is because it requires detailed records to be kept for each individual item in inventory, which takes a lot of time and can be expensive to maintain if there are many different items in inventory. Also, it requires a high level of accuracy and attention to detail to ensure that the records are correct.
Risk of manipulation: Another problem with specific identification is that it is more prone to manipulation than other inventory costing methods. This is because it allows management to choose which items are sold first, which can be used to manipulate the cost of goods sold and, in turn, the reported profits of a business.
Dependent on inventory flow: Specific identification method depends on the flow of inventory and how it is used in the production process. This can lead to discrepancies in inventory costs if there are any changes in production methods or if inventory flow changes for any other reason.
Learn more about specific identification method: https://brainly.com/question/15319587
#SPJ11
Vera has a June credit card balance of $476.09. Her payment due date is June 27th, with a grace period of 5 days. If her payment is late, the credit card company charges a $30 late fee.
Answer: $506.09
Explanation:
Just took the test
What was the Civil Rights Act of 1964 law intended to do?
Make it so employers couldn't decide who to hire anymore
Curb societal beliefs that people are different based on their physical appearance
Only protect people on the basis of color and race
Take away employers' free will
"The Civil Rights Act of 1964 law intended to curb societal beliefs that people are different based on their physical appearance."
what was the Civil Rights Act 1964?Provisions of the Civil Rights Act of 1964 for-bade discrimination on the basis of se-x, as well as, race in hiring, promo-ting, & firing. The Act prohibit-ed discrimination in public accommodations & federally funded pro-grams. It also strength-ened the enforce-ment of voting rights & the desegregation of schools.
The Civil Rights Act 1964 is a land-mark civil rights & labor law in the United States that out-laws discrimination based on race, color, reli-gion, sex, & national origin.
To know more about Civil Rights Act 1964 click below:
brainly.com/question/30896775
#SPJ4
How important are signs.symbols and designs in relation to carpentry?if you do not have access to internal.you may answer based on your opinion
Answer:
Symbols—such as gestures, signs, objects, signals, and words—help people understand that world. They provide clues to understanding experiences by conveying recognizable meanings that are shared by societies.
Explanation:
I HOPE IT HELPS PO...☺️☺️☺️For example, in cell B26 enter the formula " B5" Check your worksheet by changing the budgeted unit sales in Quarter 2 of Year 2 in cell C5 to 75,000 units. The total expected cash collections for the year should now be $2,085,000. If you do not get this answer, find the errors in your worksheet and correct them Data Year 2 Quarter Year 3 Quarter Budgeted unit sales 40,000 60,000 10 0,000 50,000 70,000 80,000 S8 per unit Selling price per unit Accounts receivable, beginning balance Sales collected in the quarter sales are made Sales collected in the quarter after sales are made Desired ending finished goods inventory is Finished goods inventory, beginning Raw materials required to produce one unit Desired ending inventory of raw materials is Raw materials inventory, beginning .Raw material costs Raw materials purchases are paid $65,000 75% 25% 30% of the budgeted unit sales of the next quarter 2,000 units 5 pounds 10% of the next quarter's production needs 23,000 pounds $0.80 per pound 60% in the quarter the purchases are made 40% in the quarter following purchase and Accounts payable for raw materials, beginning balance $81,500 Enter a formula into each of the cells marked with a? below Review Problem: Budget Schedules Construct the sales budget Year 2 Quarter Year 3 Quarter Budgeted unit sales Selling price per unit Total sales Construct the schedule of expected cash collections Year 2 Quarter Year Accounts receivable, beginning balance First-quarter sales Second-quarter sales Third-quarter sales Fourth-quarter sales Total cash collections Construct the production budget Year 2 Quarter Year 3 Quarter Year Budgeted unit sales Add desired finished goods inventory Total needs Less beginning inventory Required production Construct the raw materials purchases budget Year 2 Quarter Year 3 Quarter 3 Year Required production (units) Raw materials required to produce one unit Production needs (pounds) Add desired ending inventory of raw materials (pounds) Total needs (pounds) Less beginning inventory of raw materials (pounds) Raw materials to be purchase Cost of raw materials per pound Cost of raw materials to be purchased 2 2 2 2 Construct the schedule of expected cash payments Year 2 Quarter 3 Year Accounts payable, beginning balance First-quarter purchases Second-quarter purchases Third-quarter purchases Fourth-quarter purchases Total cash disbursements 2 2what is the total expected cash collections for the year when the budgeted unit sales in q2 of year 2 change to 75,000?
The total expected cash collections for the year should be $2,085,000.
To find the total expected cash collections for the year when the budgeted unit sales in Q2 of Year 2 change to 75,000, follow these steps:
1. Update the budgeted unit sales for Q2 of Year 2 in cell C5 to 75,000.
2. Calculate the total sales for each quarter by multiplying the budgeted unit sales with the selling price per unit (which is $8).
3. Determine the cash collections for each quarter using the given percentages for sales collected in the quarter sales are made (75%) and sales collected in the quarter after sales are made (25%).
4. Add the cash collections from each quarter to find the total expected cash collections for the year.
After changing the budgeted unit sales in Q2 of Year 2 to 75,000 and following these steps, the total expected cash collections for the year should be $2,085,000.
Learn more about budget here: https://brainly.com/question/24940564
#SPJ11
Select the response that corrects the capitalization error in the sentence below. I live in Kentwood, louisiana. a. i b. kentwood c. Louisiana Please select the best answer from the choices provided A B C
Answer:
a) I
Explanation:
The letter I continues to be capitalized because it is the only single letter pronoun. Because the pronouns I and me have different uses, it's easy to distinguish between the two in terms of capitalization rules.
The job outlook suggests that the translator field will likely to continue to grow. Will likely to continue to shrink. Has changed very little over time. Tends to be unclear or hard to predict.
From the information given, the job outlook implies that the translator field will likely to continue to grow.
According to the complete information, a chart was given to show facts that related to professional interpreters.
It can be deduced from the chart that was given that the job outlook will suggest that the translator field will likely to continue to grow. This can easily be deduced from the chart.
Learn more about charts on:
https://brainly.com/question/25804679
Answer:
A. will likely to continue to grow.
Explanation:
Which is an example of a small business showing social responsibility to individuals within the company?
A. starting an office recycling program
B. developing sustainable business practice
C. donating money to local organizations
D. allowing employees to work from home
Starting an office recycling program, developing sustainable business practice and donating money to local organizations are examples of a small business showing social responsibility to individuals within the company.
Company have a social responsibility to the communities in which they operate. This includes ensuring that they are good corporate citizens, providing support for local causes and charities, and protecting the environment.
Sustainable business is a term that is often used to describe businesses that are environmentally friendly or that have a positive social impact.
Hence, the correct options are "A, B & C".
To know more about social responsibility, click here.
https://brainly.com/question/24176816
#SPJ1
2. Read the following data from Maria's personal monthly bank statement and
answer the questions that follow:
Rent: $850
Groceries: $276.89
Public transportation: $45
Utilities: $135.24
Entertainment: $150.26
a) Enter Maria's data into a spreadsheet using a spreadsheet program. Be sure to
include proper headings (3 points).
a)Maria's data entered into a spreadsheet program: Ren $850.00, Groceries ,$276.89 Public transportation ,$45.00 Utilities $135.24, Entertainment $150.26.
b)To create a bar graph in a spreadsheet program, enter the category names and amounts in two columns, select the data, and insert a bar chart from the chart options.
a. Maria's data entered into a spreadsheet program:
Category Amount
Rent $850.00
Groceries $276.89
Public transportation $45.00
Utilities $135.24
Entertainment $150.26
b. To create a bar graph representation of Maria's monthly expenses, follow these steps:
Click on the "Insert" tab in the top menu bar.
Select the "Column" chart type.
Choose a sub-type of the chart you prefer (e.g. 2D Column chart).
The bar graph will appear on the worksheet.
The resulting bar graph will display the monthly expenses for each category on the horizontal axis, and the amount spent on the vertical axis. The bars will be colored differently for each category to make it easy to see the differences in spending. The size of each bar will be proportional to the amount spent on that category, making it easy to compare the expenses visually.
Learn more about monthly expenses,
https://brainly.com/question/26383826
#SPJ4
Full Question: Read the following data from Maria's personal monthly bank statement and answer the questions that follow:
Rent: $850
Groceries: $276.89
Public transportation: $45
Utilities: $135.24
Entertainment: $150.26
a. Enter Maria’s data into a spreadsheet program. Be sure to include proper headings.
b. Maria would like an efficient way to analyze how she spent her money this month. Using the spreadsheet program, create a bar graph representation of her monthly expenses. Briefly describe how you create the bar graph.
Smokers impose negative externalities on nonsmokers. Suppose the airspace in a restaurant is a resource owned by the
restaurant owner.
a. How would the owner respond to the negative externality caused by smokers?
b. Suppose smokers own the airspace. How would that change matters?
c. If the government gives ownership of the air to nonsmokers, would that change matters? Explain your answer.
d. What does a ban on smoking in the restaurant do?
am I correct? if not lmk the answer please
Which of the following real estate investments were involves purchasing real estate and charging a monthly fee for use of your space
Answer:
when you flip you buy at a low price, fix it up then sell at a higher price for profit. usually in less than 6 months.
Which is true of competitive balance measures?
Describe the life cycle of an insurance claim. include details related to claim submission, transfer of funds, denial and follow up. post your part 1 response to the discussion board.
The insurance claim life cycle involves claim submission, review, fund transfer (if approved), denial (if applicable), and potential follow-up for resolution.
The life-cycle of an insurance claim typically involves several stages. First, the policyholder submits the claim to the insurance company, providing necessary documentation and details about the incident or loss. The insurer then reviews the claim, assessing its validity and coverage.
If approved, the transfer of funds occurs, with the insurer disbursing the agreed-upon amount to the policyholder. However, in some cases, the claim may be denied due to various reasons such as policy exclusions or insufficient evidence.
If denied, the policyholder has the option to appeal the decision and provide additional information or clarification. Follow-up communication between the policyholder and insurer may occur throughout the process to resolve any questions or issues.
Learn more about Insurance here
https://brainly.com/question/32975929
#SPJ4
The given question is incomplete, the complete question is
Describe the life cycle of an insurance claim. include details related to claim submission, transfer of funds, denial and follow up.
A bank loaned out $15,500, part of it at the rate of 14 nnual interest, and the rest at 8 nnual interest. the total interest earned for both loans was $1,660.00. how much was loaned at each rate?
The loan at a 14% interest rate was $7000 and the loan at an 8% interest rate was $8500.
Let's the amount loaned at the rate of 14% is "x"
The amount loaned at the rate of 8% as "y."
According to the given information:
Loan amount at 14% + Loan amount at 8% = $15,500 (equation 1)
Interest earned from the loan at 14% + Interest earned from the loan at 8% = $1,660 (equation 2)
We can determine the equations based on the given information.
From equation 1:
x + y = $15,500 (equation 3)
From equation 2:
0.14x + 0.08y = $1,660 (equation 4)
To solve this equation, we can use the substitution or elimination method. In this given case, we'll use the substitution method.
From the equation 3, we can express x in terms of y:
x = $15,500 - y (equation 5)
By Substituting the equation 5 into equation 4:
0.14($15,500 - y) + 0.08y = $1,660
Simplify and solve for y:
$2,170 - 0.14y + 0.08y = $1,660
-0.06y = $1,660 - $2,170
-0.06y = -$510
y = -$510 / -0.06
y = $8,500
Now, by substituting the value of y back into equation 3 to find x:
x + $8,500 = $15,500
x = $15,500 - $8,500
x = $7,000
Hence, the loan at a 14% interest rate was $7000 and the loan at an 8% interest rate was $8500.
know more about interest rate
https://brainly.com/question/28236069
#SPJ4