Risk and return which type of investment would be an example of an investment at point b: A stock.
Investment is the dedication of money to purchase of an asset to acquire an growth in cost over a period of time. investment requires a sacrifice of some present asset, along with time, money, or attempt. In finance, the purpose of investing is to generate a return from the invested asset.
An funding is an asset or object obtained with the intention of producing income or appreciation. Appreciation refers to an boom in the fee of an asset over time. whilst an man or woman purchases a terrific as an funding, the reason isn't to eat the best but instead to apply it within the future to create wealth.
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Allied insurer has a $450,000 xs $150,000 per risk excess of loss reinsurance treaty with omega reinsurer. An insured with a limit of $1,000,000 sustains the following losses: loss 1: $125,000 loss 2: $500,000 loss 3: $850,000 how much will omega reinsurer pay for loss 2?
Omega reinsurer will pay an amount of $450,000 for loss 2.
How much will omega reinsurer pay for loss 2?Based on the excess of loss reinsurance treaty between Allied Insurer and Omega Reinsurer, the reinsurer will only be liable for losses that exceed the $450,000 retention or deductible limit per risk.
Therefore, the reinsurer will not pay for Loss 1 since it is below the retention limit. For Loss 2, the reinsurer will pay $150,000, which is the excess amount above the retention limit. For Loss 3, the reinsurer will pay $450,000, which is the maximum amount of coverage under the treaty, since the loss exceeds both the retention limit and the per-risk excess amount. Therefore, Omega Reinsurer will pay $450,000 for Loss.
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Question 1 of 3
The bank limits deposits to $200 per day. Ash has $300
to deposit. What should she do?
Select a response.
A Make multiple deposits over a few days
B Not agree to the Terms and Conditions
According to the information provided, Ash should make several deposits spread out over a few days. Thus option A is correct.
Ash can divide the deposit into two separate transactions because the bank only allows deposits of $200 per day and she has $300 to deposit. She is permitted to deposit $200 on the first day and the final $100 on the second day.
She will be able to successfully complete her deposit and stay inside the bank's deposit cap with this method. The correct response is, "Make several deposits over a few days."
Therefore, option A is appropriate.
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The figure shows the U.S. market for 1 carat diamonds. The free trade, the price
in the United States for diamonds is equal to___
and with the quota
illustrated in the figure, the price in the United States is equal to___
A. $2,000;$2,000
B. $2,000;$3,000
C. $2,000;$4,000
D. $4,000;$2,000
E. $4,000;$3,000
Answer:
Option E ($4,000; $3,000) is the appropriate alternative.
Explanation:
Assuming that America pursues a policy recognized as free-trade by imposing no limits against diamond exportation as well as importation, the amount of those policy balance shall be towards the particular moment whenever domestic supplies exceed domestic demand, in other words, $4,000. This same amount of balance would be at a stage wherever American production crosses the domestic production with something like a quota limit of $3,000 unless the U.S sets the allocation.Some other possibilities don't relate to the type of situation in question. The answer, then, is the right one.
Calculate the nominal annual cost of trade credit under each of the following terms. Assume a 365-day year. Do not round intermediate calculations. Round your answers to two decimal places. 1/15, net 20. % 2/10, net 55. % 3/10, net 45. % 2/10, net 45. % 2/15, net 35. %
The nominal annual cost of trade credit for each is:
18.62%28.22%16.55%37.24%Calculations and ParametersNominal cost of trade Credit = Discount percentage/100- discount percentage * 365/Day Credit 0/s-Discounts period .
1/15, net 20
Here,
Discount percentage = 1 Discount period = 20 day Day credit OKS = 15 days.Nominal cost of trade credit = 1/100 - 1 x 365/20- 15 = 78.73%.
1. 2/10 net 50.
Nominal cost of trade credit = 2/100-2 * 365/50-10= 18.62%
2. 3 /10 net 50.
Nominal cost of trade credit = 3/100-3 * 365/50-10 = 28.22%
3. 2/ 10 net 55
Nominal cost of trade credit = 2/100-2 * 365/55-10 = 16.55%
4. 2/ 15 net 35 =
Nominal cost of trade credit = 2/100-2 * 365/35-15= 37.24%
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Referring to an individual as “a person with schizophrenia,” as opposed to “a schizophrenic,” is an example using _____________ language.
Diagnostic
People-first
Inappropriate
Boundary-safe
Answer:
People-first
Explanation:
People-first language is a form of linguistic medication style involving a speaker putting a person before describing the actual diagnosis, that is, what a person "has" rather than asserting what a person "is."
For example, “a man walks with crutches” rather than” he is disabled.” Person-first language tends to be positive and promotes abilities rather than limitations.
Hence, in this case, Referring to an individual as “a person with schizophrenia,” as opposed to “a schizophrenic,” is an example using PEOPLE-FIRST Language.
Assume you can buy a pure discount bond today at a price of $866. The bond matures in 5 years.
What would be the percentage capital gain over the life of the bond?
Enter your answer as a percentage, rounded to one decimal, and without the percentage sign ('%'). For example, if your answer is 0.123456, then it is equivalent to 12.4%, so you should enter 12.4 as the answer.
The percentage capital gain over the life of the bond is approximately 15.5%.
To calculate the percentage capital gain over the life of the bond, we need to determine the difference between the maturity value and the purchase price, and then express it as a percentage of the purchase price.
Given:
Purchase price = $866
Maturity value (face value) = $1,000
The capital gain is calculated as:
Capital gain = (Maturity value - Purchase price) / Purchase price
Capital gain = ($1,000 - $866) / $866
Capital gain = $134 / $866
Capital gain ≈ 0.1549
To express it as a percentage, we multiply by 100:
Percentage capital gain = 0.1549 * 100 ≈ 15.5
Therefore, the percentage capital gain over the life of the bond is approximately 15.5%.
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two countries produce copper and lead. country A can produce a maximum of 300 tons of copper per day or 150 tons of lead. Country b can produce a maximum of 400 tons of copper per day or 100 tons of lead. which statement best describes this situation
Answer:
A. Country B has a comparative advantage producing copper.
Multiple -choices
A. Country B has a comparative advantage producing copper.
B. Country A has an absolute advantage producing copper and lead.
C. Country A has an absolute advantage producing copper.
D. Country B has a comparative advantage producing lead.
Explanation:
A country has a comparative advantage over others if it can produce a product using fewer resources. It means that given equal inputs, a country with a comparative advantage will have more output than competitors. Therefore, comparative advantage is the ability to produce at a lower opportunity cost than rivals.
Country B's ability is 400 tons while country A capacity is 300 tons. Country B uses fewer resources hence has a higher output than country A. Country B has a comparative advantage over country A.
Answer:
Country B has a comparative advantage producing copper.
Explanation:
Benefits of having a strong brand image
Answer:
benefits of building and maintaining a strong brand are endless: customer recognition, word-of-mouth marketing, customer loyalty, enhanced credibility, and ease of purchase, to name a few. Your brand is one of your company's most valuable assets.
Calculate the range of potential annual returns if you invested 10% in bonds and 90% in stocks. How does this compare with the range of potential annual returns if you invested 10% in stocks and 90% bonds?
Answer:
From the graph, if you invest 10% in bonds and 90% in stocks, the range of potential return is given as +49.8% to -39.0% with a average of 9.9% whereas if investment is made by 10% in stocks and 90% in bonds, then the range of annual returns would become +31.2% to -8.2% with a average of 6%. Therefore, as the investment in stocks increases the average annual returns also increase.
Explanation:
Hope this helps!
When used together correctly, verbal and nonverbal communication can convey a rich and multilayered communication experience.
A. True
B. False
It is completely appropriate to mention that verbal and nonverbal communication can convey a rich and multilayered communication experience, when used correctly. Therefore, the option A holds true.
What is the significance of verbal and non-verbal communication?Verbal communication can be referred to or considered as the form of communication that involves the usage of words to speak and communicate, whereas, non-verbal communication refers to as the use of actions or gestures to communicate.
Therefore, the option A holds true and states regarding the significance of verbal and non-verbal communication.
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Marketing segmentation is one of the easiest aspects of marketing.
true or false
Answer:
false
Explanation:
I THINK IT'S FALSE OK?! I'm a straight B student, if that's enough proof LOL
PLEASE HELP AND HURRY!!!
Just tell me A B C or D for these 3 questions... Thanks so much
Answer:
C A D
Explanation:
Firms engage in an activity called "forward pricing" when they establish, during the early stages of the learning curve, a price for their products that is lower than their actual costs, in anticipation of lower costs later on, after significant learning has occurred. Under what conditions, if any, does forward pricing make sense?
The learning curve refers to the rate of improvement in productivity that is achieved as experience with a product or service is gained. As a firm gains experience, it is able to produce goods or services more efficiently and at lower costs.
Forward pricing makes sense under the following conditions: Anticipated cost reductions: Firms expect that their production costs will decrease over time due to learning curve effects, economies of scale, or technological advancements, which will eventually enable them to cover the initially lower price with lower costs.
Market penetration: Firms aim to gain a significant market share or establish a strong presence in the market quickly. By offering a lower price, they can attract more customers and build brand loyalty.
High competition: In highly competitive markets, forward pricing can help firms differentiate themselves from competitors and increase their market share.
First-mover advantage: When firms introduce new products or technologies, forward pricing can help them build a customer base and establish a reputation for innovation before competitors enter the market.
Future profitability: Firms believe that the long-term benefits of forward pricing, such as increased market share and customer loyalty, will outweigh the initial losses due to selling below cost.
In summary, forward pricing makes sense when firms anticipate cost reductions, aim for market penetration, face high competition, seek a first-mover advantage, and expect long-term profitability.
Forward pricing can make sense under certain conditions. When a firm is operating in an industry where there is a steep learning curve, it can benefit from forward pricing.
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33. In the percent-of-sales method, an increase in dividends:
A. will increase required new funds.
B. will decrease required new funds.
C. has no effect on required new funds.
D. more information is needed.
The correct option is A. The percent-of-sales method is a forecasting technique used to estimate the amount of funds a company will need in the future.
It is based on the premise that the funds required by a company are directly proportional to the level of sales generated. Thus, an increase in sales will result in an increase in the required new funds, and vice versa. When it comes to dividends, the percent-of-sales method assumes that dividends are paid out of the company's profits. Hence, an increase in dividends would reduce the company's retained earnings, which would result in a lower level of funds available for investment in the company's growth. Consequently, an increase in dividends would lead to an increase in the required new funds.
Therefore, the correct option is A. An increase in dividends will increase the required new funds in the percent-of-sales method. This is because an increase in dividends reduces the company's retained earnings, which, in turn, reduces the amount of funds available for investment in the company's growth. To compensate for this reduction, the company will need to raise additional funds to finance its growth initiatives.
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Sam's Club has accounts payable of $75, accounts receivable of
$25, Cash of $50, and inventory of $25. What is the current ratio
of the company?
The current ratio of the company is 1.33.
The current ratio is a financial metric used to evaluate a company's short-term liquidity and ability to meet its current obligations. It is calculated by dividing current assets by current liabilities. In this case, Sam's Club has accounts payable of $75, accounts receivable of $25, cash of $50, and inventory of $25.
To calculate the current ratio, we sum up the current assets, which include accounts receivable, cash, and inventory. The total current assets in this case are $25 (accounts receivable) + $50 (cash) + $25 (inventory) = $100.
The current liabilities represent the obligations that are due within one year. In this case, the accounts payable amount is $75.
Using the formula, the current ratio is calculated as follows:
Current Ratio = Current Assets / Current Liabilities
Current Ratio = $100 / $75
Current Ratio = 1.33
The current ratio of Sam's Club is 1.33, indicating that the company has $1.33 of current assets for every $1 of current liabilities. This suggests that Sam's Club has a relatively healthy liquidity position and is capable of meeting its short-term obligations.
A current ratio above 1 is generally considered favorable, as it signifies a company's ability to cover its short-term liabilities.
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Help don’t know what I’m doing pls help
Answer:
£53,000, £83,000, £82,000
Explanation:
Let's figure out how much the State Valley spends on fixed costs.
13,000 + 2,500 + 35,000 + 3,000 = 53,500
The State valley spends £53,000 on fixed costs every year.
The next question asks for the total costs of State Valley for the year, assuming that they sell 60,000 units.
Let's figure out the wage fee from selling 60,000 units.
If each wage fee is £0.50, we can use this equation.
60,000 × 0.5 = 30000
The State Valley pays £30,000 for wage fees.
To find the total costs for State valley for that year, we would need to add the fixed fees and the wage fees.
53,000 + 30,000 = 83,000
The State Valleys total costs for the year is £83,000.
Now it's asking the total revenue of selling 60,000 units.
We first would need to figure out how much the State Valley would buy a bag of blue stale chippings (bsc).
(Cost of bag + wage fees = total cost of bag)
1.75 + 0.50 = 2.25
The State valley buys a bag of bsc for £2.25.
If they sell a bag of bsc for £4.50, we need to figure out their profit on each bag.
4.50 - 2.25 = 2.25
They make a profit of £2.25 on each bag of bsc they sell.
Now multiply that by 60,000:
2.25 × 60,000 = 135,000
They make a total revenue of £135,000 by selling 60,000 units.
Now, if we were to subtract the fixed costs from that:
135,000 - 53,000 = 82,000
The State Valley makes £82,000 by selling 60,000 units.
1. An occupation, the practice of which directly influences human well-being and requires mastery of a complex body of knowledge and specialised skills, requires both formal education and practical experience...
This is a definition of:
A - A trade.
B - A profession.
C - Academic life.
D - Somebody who has completed a university degree.
2. To say your research is valid means:
A - you can repeat the experiment over and over for the same result.
B - The outcomes are what you predicted.
C - you are measuring what you say you are measuring.
D - All of the above.
3. When preparing for a presentation, what should you plan first?
A - Introduction.
B - Summary.
C - Key words.
D - Aims and objectives.
4. Introduction, body and conclusion is which basic method of public speaking planning?
A - Complex.
B - Intricate.
C - Sandwich.
D - Fail-safe.
1. The definition given describes B - A profession.
2. To say your research is valid means D - All of the above.
3. When preparing for a presentation, you should plan D - Aims and objectives first.
4. Introduction, body, and conclusion is the C - Sandwich method of public speaking planning.
1. A profession is characterized by its influence on human well-being, the requirement of specialized knowledge and skills, and the need for both formal education and practical experience. It goes beyond a trade or academic life, and it encompasses occupations that demand expertise and impact individuals' welfare.
2. Validity in research refers to the extent to which the outcomes align with the intended objectives and accurately measure what is intended to be measured. It encompasses the ability to replicate results, the alignment of outcomes with predictions, and the accurate measurement of variables. Therefore, all the options (A, B, and C) are correct.
3. When preparing for a presentation, outlining the aims and objectives is crucial as it helps establish the purpose and direction of the presentation. It provides a clear focus and guides the content development process, ensuring that the presentation stays on track and effectively communicates its intended message.
4. The introduction, body, and conclusion represent the structure of the presentation known as the sandwich method. It is a basic and commonly used approach in public speaking where the introduction serves as an opening, the body contains the main content and supporting points, and the conclusion summarizes the key takeaways and brings closure to the presentation.
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Which one of these items is NOT a processed material?
O Paper
O Steel
O Sand
O Glass
Can someone please help me with this if your not going to help please don't comment thank you. I'm only saying this because I saw someone asked ant the person replied this is so long
(a) This transaction increases inventory and creates a new liability of $770 for accounts payable.
(b) This transaction increases cash at bank and decreases accounts receivable by $280.
(c)
This transaction increases fixtures and decreases cash at bank by $1,000.
How did we get these assertions?Using the information given, we can create the following statement of financial position (balance sheet) as at 30 April 2017:
Statement of Financial Position (as at 30 April 2017)
Assets Amount ($)
Fixtures 3,500
Motor vehicle 4,200
Inventory 4,950
Accounts receivable 3,280
Cash at bank 6,450
Cash in hand 120
Total Assets 22,500
Liabilities and Equity Amount ($)
Loan from T. Sasso 2,000
Accounts payable 1,600
Capital 18,900
Total Liabilities and Equity 22,500
After the transactions in the first week of May 2017, we can update the statement of financial position as follows:
Statement of Financial Position (as at 7 May 2017)
Assets Amount ($)
Fixtures 4,500
Motor vehicle 4,200
Inventory 5,720
Accounts receivable 3,560
Cash at bank 6,730
Cash in hand 120
Total Assets. 24,830
Liabilities and Equity Amount ($)
Loan from T. Sasso 2,000
Accounts payable 2,370
Capital 20,460
Total Liabilities and Equity 24,830
Explanation:
(a) Bought extra stock of goods $770 on credit
This transaction increases inventory by $770 and creates a new liability of $770 for accounts payable.
(b) Received $280 in cash from a customer
This transaction increases cash at bank by $280 and decreases accounts receivable by $280.
(c) Bought extra fixtures $1,000 by cheque
This transaction increases fixtures by $1,000 and decreases cash at bank by $1,000.
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As a financial analyst at Deutsche Bank, you are analyzing how futres will be used to reduce the risk. It is March 31, 2021 now. A company knows that it will need to purchase 30,000 barrels of crude oil sometime in June. You have collected the following information about the futures contracts. The current May oil futures price is $25.00 per barrel and the current July oil futures price is $27. On June 11, the spot oil price is $28 per barrel and the company decides to take oil position (one oil futures contract =1,000 barrels) and July futures price is $29. a. What futures contract should be used for hedge purpose? (sample answer: May Futures; or July Futures) b. What will be the net cost of oil per barrel if you take a long position in the oil futures contracts on April 15, 2020? (Sample Answer: $25.50)
a. July Futures should be used for hedge purpose. b. The net cost of oil per barrel if you take a long position in the oil futures contracts on April 15, 2021 will be $26 per barrel.
The use of futures is a means of mitigating the risk of a spot price change by purchasing contracts that specify the price and quantity of an underlying asset to be exchanged at a future date.
The current May oil futures price is $25.00 per barrel and the current July oil futures price is $27. On June 11, the spot oil price is $28 per barrel and the company decides to take oil position (one oil futures contract =1,000 barrels) and July futures price is $29.
Therefore, the futures contract that should be used for hedge purpose is July Futures. The net cost of oil per barrel if you take a long position in the oil futures contracts on April 15, 2021, will be $26 per barrel.
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The greatest loss of biodiversity in the last two centuries has resulted from: (a) the introduction of alien species to new ecosystems. (b) the use of fossil fuels to power transportation and electrical production. (c) the physical alteration of habitats. (d) the use of rivers, lakes, and oceans for transportation.
The greatest loss of biodiversity in the last two centuries has resulted from (c) the physical alteration of habitats.
While all the options listed can have an impact on biodiversity, the physical alteration of habitats (option c) has been the primary driver of biodiversity loss in the last two centuries. Human activities such as deforestation, urbanization, land conversion for agriculture, and infrastructure development have led to the destruction, fragmentation, and degradation of natural habitats worldwide. These alterations disrupt ecosystems, displace native species, and reduce their populations, resulting in a significant loss of biodiversity.
While the introduction of alien species (option a), fossil fuel use (option b), and transportation in water bodies (option d) also contribute to biodiversity loss, they are secondary factors compared to the physical alteration of habitats. Habitat destruction and degradation directly impact the survival and abundance of countless species, leading to loss of biodiversity at a global scale. Conserving and protecting habitats, along with sustainable land-use practices, are crucial for preventing further biodiversity decline and promoting the preservation of ecosystems and their associated species.
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an account that reduces a related account on a financial statement.
An account used in a general ledger to lower the value of a connected account is called a contra account.
They can be used to report a decrease or write-down in a different contra account that nets to the current book value while maintaining the historical value in the main account. On the same financial statement as the associated account, contra accounts are displayed, usually immediately beneath it with a third line for the net amount.
To maintain accurate financial accounting records, it should be noted that accountants employ contra accounts rather than immediately reducing the value of the original account. Accumulated depreciation and the provision for questionable accounts are two prominent instances of contra accounts. Contra asset, contra liability, contra equity, and contra are the four main categories of contra accounts.
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anyone like jschlatt here
Answer: yes.
Explanation:
cause he's amazing, he's jschlatt, and he's awesome
thank you for coming to my TedTalk :)
45 points, please help.
Business #1 Information: Month - March
Business Name - ABC Rentals
Asset accounts and balances:
1. Cash $14,000
2. Party Equipment $26,000
3. Supplies $10000
Liability accounts and balances:
1. Accounts Payable - Party Zone $20,000
2. Accounts Payable - Party Town $14,000
Owner's Equity account and balance:
1. Emily Violante, Captial $16,000
Instructions: Complete the balance sheet for ABC Rentals by recording account titles and amounts to determine if the equation Total Assets = Total Liabilities + Owner's Equity is correct.
The total of the assets in a balance sheet is equal to the summation of the owners' equity capital and the total liabilities of the firm.
What is a balance sheet?Balance sheet is the financial statement of an organization that gives the details about the financial position of the company at the end of the financial period.
In the above case, the total of the assets is $50000 and the total of the equities and liabilities tallies the amount of assets. An image for the same has been attached for better reference.
Thus, the equation of the balance sheet holds true in the case of ABC Rentals.
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A yield can be paid in the form of?
Answer:
both a and b
Explanation:
For what purpose are goods and service produced in a socialist economy
Answer: The options are missing from the question,the options are;
A) Profits
B) Their usefulness
C) To create demands
D) To meet all consumer needs.
The correct answer to the question is option D
In a capitalist economy,goods and services are being produced for the sole aim of making profits and to accumulate capital, but when we talk about the SOCIALIST ECONOMY,it differs from the capitalist economy and the sole aim is different.
Socialist economy employs a technique known as usage value in the meeting of the needs and wants of the people, this prevents the over production or under production of goods and services based on their rewards and usage.
In socialist economy,goods are services are produced and those goods and services are made directly accessible to the people that is the masses. A scarce economic resources in a socialist economy are being utilized judiciously inorder to meet the needs of the consumers and make them satisfied in every way possible.
Expliquen la siguiente frase:
El mero crecimiento económico no es suficiente para terminar con la pobreza y preservar el medio ambiente
Answer:
Efectivamente, el mero crecimiento económico no es suficiente para terminar con la pobreza y preservar el medio ambiente, sino que dicho crecimiento debe ir acompañado de un desarrollo estructural que contemple el acceso igualitario a los distintos servicios por parte de la sociedad, así como también el establecimiento de controles sanitarios y medioambientales que preserven el bienestar de los individuos en el marco del desarrollo de las actividades económicas.
pls help
Your lifestyle desires should be a big part of choosing your career.
Is this statement true or false?
true
false
Answer:
True
Explanation:
You should incorporate your life desires into choosing a career choice because if you are not happy with your job or you don't feel fulfilled with what you are doing then you are only harming yourself mentally and sometimes physically by continuing to do something that doesn't fit with your desires.
What is fiscal policy and what are the three goals of fiscal policy?
Answer:
Fiscal policy is the use of public expenditure and taxation to affect the economy, particularly macroeconomic conditions. These include employment, inflation, economic expansion, and the total demand for goods and services.
The three goals of fiscal policy are :
to achieve or maintain full employment a high rate of economic growth, and price and wage stabilization.Explanation:
Fiscal policy may be of two kinds : Expansionary fiscal policy: Here, the tax rates are lowered or spending is increased to boost the overall demand and promote economic growth. The rationale behind this strategy is that when people pay less in taxes, they have more money to invest or spend, which increases demand. Because of this demand, businesses increase hiring, which lowers the unemployment rate and intensifies the labor market. As a result, salaries will rise and consumers will have more money to spend and invest. It's a positive feedback loop or cycle.Contractionary fiscal policy: Here, the rates are raised or spending is reduced to stop or lower inflation. To do this, the government raises taxes, cuts spending, and eliminates employment or lowers wages in the public sector.To know more about fiscal policy, visit :
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Answer: "Fiscal policy refers to the use of government spending and tax policies to influence economic conditions, especially macroeconomic conditions. These include aggregate demand for goods and services, employment, inflation, and economic growth."
Explanation:
The three goals of fiscal policy are:
Inflation rate: it refers to the rise in cost of goods and service and decrease in purchasing power. For example, if the rate of inflation is 5%, than your $5.00 morning cup of coffee will cost you $5.25 in a year. In most countries, central banks try to maintain an inflation rate of not more than 3%.Full employment: means low unemployment rate.GDP: Gross Domestic Product (GDP) needs to be at increasing rate.https://brainly.com/question/13982103?referrer=searchResults
D. Short answer questions:
a. Compare the monopoly’s price and quantity with that of a
perfectly competitive firm’s. Which is better for the consumer?
b. How can government regulation of a monopoly increase the
allocative efficiency of the monopoly?
Answer:
Explanation:
a. Monopoly has no competition so it can charge a higher price and produce less quantity when compared to a perfectly competition. For a consumer, perfectly competition which provides more goods at a lower price is better.
b. Due to lack of competition, monopoly does not have to be efficient in its resource allocation. To increase the allocative efficiency, the government can pass regulation to limit price charged and increase quantities of goods produced by the monopoly.
Answer:
Explanation:
compared 2 perfectly competitive firms, monopoly charges higher price and produces less quantity.
perfectly competitive firms are better for consumer
govt regulation can increase monopoly's efficiency by putting restriction on price n requiring quantity of goods produced.