The correct answer is d) discount rate policy. The Fed's discount rate policy is likely its most prominent monetary tool.
The Fed's board of governors determines the discount rate, which can be changed as a tool for monetary policy by going up or down. One of the Fed's main tools for implementing monetary policy is lending at the discount rate, which is a part of its role as a lender of last resort.
The federal funds rate, other market interest rates, and eventually consumer and company borrowing and spending are all primarily influenced by interest on reserves.
To accomplish macroeconomic objectives, a monetary policy employs a variety of tools, including open market operations, requirements for bank reserves, and the discount rate. Open market activities, however, are regarded as the most significant and often applied tool of the three.
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ad set may get zero leads based on how you've set up your ad set, you may not get any leads. to fix this, consider making changes to your ad set before publishing.
You might not have selected to optimise for a scenario that occurs frequently enough if your ad set is anticipated to generate no conversions. Examine your pixel data to determine which is the correct one.
What is ad set ?Ad sets are collections of ads that use the same parameters for how, when, and where to run. When you establish an ad set, all of the ads in the set are automatically affected by the decisions you make at the ad set level. Ad set level options are used to select audience attributes like location, gender, and age. A set of advertising with the same targeting, delivery optimization, budget, and schedule is known as an ad. Your keywords are organised using ad groups in AdWords; each ad group has a closely-related group of keywords that all pertain to particular ads. The parameters are taken from the campaign of the ad group because we normally don't make bid decisions at this level.
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Determine the overhead cost per book, assuming that the volume-based allocation system
described in Requirement a is replaced with an activity-based costing system.
Note: For all requirements, round your answers to 2 decimal places.
Deluxe Moderate economy a. Cost per book (volume-based allocation)
b. Cost per book (activity-based costing)
To allocate the overhead costs based on machine hours, we need to first calculate the total number of machine hours used for each type of textbook.
We can use the information given to calculate the total overhead cost and then divide it by the total number of machine hours to get the overhead cost per machine hour.
a. Cost per book (volume-based allocation):
For Deluxe textbooks:
Total machine hours = 250 hours/book × 50,000 books = 12,500,000 hours
Total overhead cost = $300,000
Overhead cost per machine hour = $300,000 ÷ 12,500,000 = $0.024
Overhead cost per book = Overhead cost per machine hour × Number of machine hours per book
= $0.024 × 250 = $6
For Moderate textbooks:
Total machine hours = 40 hours/book × 150,000 books = 6,000,000 hours
Total overhead cost = $760,000
Overhead cost per machine hour = $760,000 ÷ 6,000,000 = $0.127
Overhead cost per book = Overhead cost per machine hour × Number of machine hours per book
= $0.127 × 40 = $5.08
For Economy textbooks:
Total machine hours = 20 hours/book × 200,000 books = 4,000,000 hours
Total overhead cost = $192,000
Overhead cost per machine hour = $192,000 ÷ 4,000,000 = $0.048
Overhead cost per book = Overhead cost per machine hour × Number of machine hours per book
= $0.048 × 20 = $0.96
Therefore, the overhead cost per book for Deluxe, Moderate, and Economy textbooks are $6, $5.08, and $0.96, respectively.
b. Cost per book (activity-based costing):
To determine the overhead cost per book using activity-based costing, we need to allocate the overhead costs to each type of textbook based on the respective cost drivers. We can use the information given to calculate the overhead rate per cost driver and then allocate the overhead costs based on the actual amount of cost driver used for each type of textbook.
For machine maintenance:
Overhead rate = Total cost ÷ Total machine hours = $300,000 ÷ (250 × 50,000 + 40 × 150,000 + 20 × 200,000) = $0.002
Overhead cost for Deluxe textbooks = $0.002 × 250 = $0.50/book
Overhead cost for Moderate textbooks = $0.002 × 40 = $0.08/book
Overhead cost for Economy textbooks = $0.002 × 20 = $0.04/book
For setups:
Overhead rate = Total cost ÷ Total number of setups = $760,000 ÷ (35 + 5 + 60) = $6,320
Overhead cost for Deluxe textbooks = $6,320 × 35 = $221.20/book
Overhead cost for Moderate textbooks = $6,320 × 5 = $31.60/book
Overhead cost for Economy textbooks = $6,320 × 60 = $379.20/book
For packing:
Overhead rate = Total cost ÷ Total number of cartons = $192,000 ÷ (750 + 1,000) = $96
Overhead cost for Deluxe textbooks = $96 × 750 = $72,000/book
Overhead cost for Moderate textbooks = $96 × 1,000 = $96,000/book
Overhead cost for Economy textbooks = 0 (no packing activity for Economy textbooks
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The money supply represents the amount of money the Federal Reserve Bank makes available for people to buy goods a
True or false
Answer:
True
Explanation:
The federal reserve ensures that the bank has enough money by the end of the night in case anyone needs money so that the market crash problem in the 1920s won’t happen again
Rembrandt Paint Company had the following income statement items for the year ended December 31, 2021 ($ in thousands):
Sales revenue $29,000 Cost of goods sold $16,000
Interest revenue 320 Selling and administrative expense 3,600
Interest expense 520 Restructuring costs 1,900
In addition, during the year the company completed the disposal of its plastics business and incurred a loss from operations of $2.7 million and a gain on disposal of the componentâs assets of $4.2 million. 600,000 shares of common stock were outstanding throughout 2021. Income tax expense has not yet been recorded. The income tax rate is 25% on all items of income (loss).
Required:
Prepare a multiple-step income statement for 2021, including EPS disclosures.
If Suzie writes a check for a new car, she is using money as a
Answer:capital
Explanation:
In business if you use your money from it, it's your capital equity your using
provide the name of the financial institution and the account name
Explanation:
Global investment banks include JPMorgan Chase, Goldman Sachs, Morgan Stanley, Citigroup, Bank of America, Credit Suisse, and Deutsche Bank.
Outline the main principles for the consolidation of financial statements. Illustrate your discussion with the use of examples.
The main principles for the consolidation of financial statements are:
Combine like items of assets, liabilities, equity, income, expenses and cash flows of the parent with those of its subsidiaries;Offset (eliminate): The carrying amount of the parent's investment in each subsidiary; and - The parent's portion of equity of each subsidiary;Eliminate in full intragroup assets and liabilities, equity, income, expenses and cash flows relating to transactions between entities of the group.What should we know about Consolidated Financial Statements?In general, financial statement consolidation necessitates a company integrating and combining all of its financial accounting functions in order to produce consolidated financial statements that show results in standard balance sheet, income statement, and cash flow statement reporting.
The decision to file consolidated financial statements with subsidiaries is usually made on a year-to-year basis and is frequently motivated by tax or other benefits. The criteria for filing a consolidated financial statement with subsidiaries are primarily based on the parent company's ownership of the subsidiary.
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How important are rules and regulations in a particular industry, business or organization?
Answer:
Here are some reasons why they are important:
Ensuring Compliance and Accountability: Rules and regulations establish a framework that guides the behavior and operations within an industry, business, or organization. They set standards and expectations for ethical conduct, safety, quality, and legal compliance. By adhering to these rules, businesses and organizations demonstrate their commitment to responsible practices, fostering trust and accountability with stakeholders.
Promoting Fairness and Equality: Rules and regulations help create a level playing field by ensuring fair competition, preventing monopolistic practices, and protecting consumers from fraudulent or deceptive activities. They promote equal opportunities, non-discrimination, and ethical treatment of employees, customers, and partners. Through regulatory frameworks, businesses and organizations operate with transparency and fairness, enhancing the overall integrity of the industry.
Safeguarding Public Interest and Welfare: Rules and regulations serve to protect the public interest and welfare. They address concerns related to public health, safety, environmental sustainability, and consumer rights. Regulations may cover areas such as product safety standards, labor practices, data privacy, and environmental protection. By enforcing these regulations, industries, businesses, and organizations contribute to the well-being and protection of society as a whole.
Encouraging Innovation and Progress: Contrary to the perception that rules and regulations stifle innovation, they can actually foster it. Well-designed regulations provide a framework that encourages responsible innovation, sets quality standards, and ensures that new ideas are developed with due consideration for potential risks and societal impact. They provide a balance between promoting innovation and safeguarding against potential harm, creating a conducive environment for sustainable growth and progress.
Maintaining Stability and Confidence: Rules and regulations provide stability and predictability within industries, businesses, and organizations. They establish a baseline of expectations and requirements, allowing for consistent operations and reducing uncertainties. Compliance with regulations also helps build confidence among stakeholders, including investors, customers, and employees. They can trust that certain standards are being met, mitigating risks and promoting long-term sustainability.
Explanation:
after saving money in her piggy bank for three years, beverly decided to deposit $5,000 of the money in the millertown bank. if the bank were fully loaned out and the reserve requirement was 20%, then the change in the dollar value of the total money supply would be group of answer choices
After saving money in her piggy bank for three years, beverly decided to deposit $5,000 of the money in the millertown bank. if the bank were fully loaned out and the reserve requirement was 20%, then the change in the dollar value of the total money supply would be $20,000.
For a variety of reasons, saving is a crucial habit to develop. It helps you cover future costs, manage financial stress, prepare for trips, and more. You could be inspired to save more money if you realize the various ways that saving money can help you prosperOur basic requirements can be satisfied through the purchase of food, shelter, and healthcare thanks to money. It is imperative that we meet these requirements; else, both our individual wellbeing and the wellbeing of the community as a whole suffer tremendously.To know more about Money here
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A high Power Distance Index score implies that the people who hold power in a country are entitled to privileges.
a. True
b. False
Answer:
a. True
Explanation:
The Power-Distance Index refers to the relationship and interaction between a high ranking individual and a low ranking individual. The index depends on how a low ranking individual reacts to a high ranking individual.
It measures the degree where the members of a society or group accepts the hierarchy of the power and the authority.
Thus according to the high power distance index score, individuals with high power are entitled to number of privileges in a country or in society.
Hence the answer is TRUE.
THE FOLLOWING INFO IS AVAILABLE FOR BERLIN CORPORATION FOR THE YEAR ENDING 12/31/20. OTHER REVENUE/GAINS= 12700, OTHER EXPENSES/LOSSES=13300, COST OF GOODS SOLD= 156000SALES 592000, OPERATING EXPENSES= 186000, SALES RETURNS= 40000. PREPARE A STEP-BY-STEP INCOME STATEMENT. TAX RATE IS 30 PERCENT
Based on the revenue, the expenses, the sales, and other entries, the step - by - step income statement for Berlin Corporation is:
Berlin Corporation.
Income Statement
Sales Revenue $592,000
Less: Sales Return $40, 000
Net Sales $552, 000
Less : Cost of Goods sold ($156, 000)
Gross Profit $396, 000
Less Operating expenses: (186, 000)
Income from operations $210, 000
Other Revenue /Gains 12, 700
Other Expenses /Losses (13, 300) ( 600 )
Income before income taxes $209 ,400
Less: Income tax expense ($62, 820)
Net Income / (Loss) $146,580
How to make an income statement?When making an income statement, the goal is to find out how much net income or loss that a company makes.
First, write the revenue and then remove any sales returns or allowances. Then remove the cost of goods sold to find the gross profit. After this, the operating expenses are removed to find the income before taxes. After the taxes are removed, the remaining amount would be the Net income or loss.
The taxes here are:
= 209, 400 x 30%
= $62, 820
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Which of the following is most likely to happen if a borrower fails to make
payments on time?
A. The borrower's credit score will decrease.
B. The lender will charge a lower interest rate.
C. The lender will increase the credit limit.
D. The borrower's creditworthiness will improve.
A. The borrower's credit score will decrease.
Answer:
A. The borrower's credit score will decrease.
Explanation:
When the number of competitors in a market is small, and competitors influence each other through production and pricing decisions, a situation known as ________ is created.
Question 1 options:
A)
monopolistic competition
B)
oligopoly
C)
duopoly
D)
pure competition
E)
monopoly
When there are fewer competitors so that market we called that oligopoly.
The information with respect to the oligopoly is as follows:
In this, there are a few firms that are independent for pricing.Due to this, they have sufficient some kind of market power.Also, the pricing and production decisions should be impacted.Therefore we can conclude that when there are fewer competitors so that market we called that oligopoly.
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Which of the outcomes in are most appealing to you? Are you more attracted to extrinsic outcomes or intrinsic outcomes?
Extrinsic outcomes are external rewards such as money, status, or recognition that come from achieving a goal. These outcomes are appealing to some individuals because they provide tangible benefits and can be easily measured by others.
On the other hand, intrinsic outcomes are internal rewards such as personal satisfaction, a sense of accomplishment, or personal growth that come from achieving a goal. These outcomes are appealing to some individuals because they provide a deeper sense of fulfillment and can be more meaningful in the long-term.
Ultimately, whether someone is more attracted to extrinsic or intrinsic outcomes depends on their personal values and goals. Some people may prioritize external rewards and seek to maximize their income or social status, while others may prioritize personal growth and seek to achieve goals that align with their passions and values.
It is important to strike a balance between both types of outcomes and to find a sense of purpose and satisfaction in the goals that we pursue.
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The Linear Model of Communication is the model that is most accepted today because truly represents the process of human communication. true or false
Explanation:
Although this model is rather limited and has been superseded by two-way, transactional and mutual models for most purposes, it still has its uses in business
The linear model of communication refers to refers to the way in which a message, the content of information being sent, is transmitted from a sender to a receiver. It is the type of communication that only occurs one way and doesn't provide a means to respond to the message.
During the year, Gary, the sole shareholder of a calendar year S corporation, received a distribution of $16,000. At the end of last year, his stock basis was $4,000. The corporation earned $11,000 ordinary income during the year. It has no accumulated E & P. Which statement is correct?a. Gary recognizes a $1,000 LTCG.b. Gary’s stock basis is $2,000.c. Gary’s ordinary income is $15,000.d. Gary’s tax-free return of capital is $11,000.
Answer: a. Gary recognizes a $1,000 LTCG
Explanation:
Long Term Capital Gain is calculated by the formula:
= Distribution from company - Basis in stock - Ordinary income earned during the year
= 16,000 - 4,000 - 11,000
= $1,000
First statement is therefore correct that Gary would recognize an LTCG of $1,000.
please help this is urgent!!
The equation Total Assets = Total Liabilities + Owner's Equity is correct, as the total assets equal $36,000 and the total liabilities and owner's equity equal $36,000
How to calculate the amountThe completed balance sheet for XYZ Supplies:
Assets:
Cash $12,000
Supplies - Cleaning $14,000
Supplies - Office $10,000
Total Assets $36,000
Liabilities:
Accounts Payable - Supply Zone $15,000
Accounts Payable - Office Zone $5,000
Total Liabilities $20,000
Owner's Equity:
Zach DeFoe, Capital $16,000
Total Owner's Equity $16,000
Total Assets = $36,000
Total Liabilities + Owner's Equity = $20,000 + $16,000 = $36,000
As we can see, the equation Total Assets = Total Liabilities + Owner's Equity is correct, as the total assets equal $36,000 and the total liabilities and owner's equity equal $36,000.
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why is using a budget beneficial?
Answer:
All of The Above
Explanation:
They all make sense in terms of budget
If inflation is anticipated to be 5 percent during the next year, while the nominal rate of interest for a risk-free one-year loan is 10 percent, then what should the real rate of interest for a one-year loan be?
Real interest rates on one-year loans would be 15% if inflation was expected to be 5% over the course of the following year and the nominal interest rate for a risk-free loan was 10%.
Meaning of nominal and real interest rates is?Real interest rates, on the other hand, are permitted to be negative. Real interest rates are negative when the nominal interest rate is rising faster than inflation.
Hence, how is the nominal interest rate calculated?To calculate the nominal interest rate, the real interest rate is multiplied by inflation forecasts. In contrast to effective interest rates, nominal interest rates are those that are listed in the loan contract without taking compounding into consideration.
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From the case Ford Hybrid Car Case, by ARVIND RANGASWAMY
Develop forecasts of hybrid car penetration in the U.S. market from 2007 through 2016 for each scenario you develop, along with a justification and explanation for your forecasts. (In applying the Bass model, note that market penetration data for the three analog products mentioned in the case, namely, ABS, EFI, and Diesel cars, were all reckoned in terms of the percentage of the target market that adopted the product. Thus the maximum market potential can at most be equal to 100).
The forecasts of hybrid car penetration in the U.S. market from 2007 through 2016 for each scenario are Optimistic, Pessimistic and Realistic.
Scenario 1: Optimistic
In this scenario, I assume that the following factors will contribute to the growth of the hybrid car market:
Increasing awareness of the environmental benefits of hybrid carsGovernment incentives for purchasing hybrid carsContinued improvement in the performance and affordability of hybrid carsBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach 10% by 2016.
Scenario 2: Pessimistic
In this scenario, I assume that the following factors will hinder the growth of the hybrid car market:
High price of hybrid carsLack of charging infrastructureConsumer resistance to changeBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach only 5% by 2016.
Scenario 3: Realistic
In this scenario, I assume that the following factors will influence the growth of the hybrid car market:
A combination of the factors in the optimistic and pessimistic scenariosBased on these factors, I forecast that the market penetration of hybrid cars in the U.S. will reach 7% by 2016.
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Juan and Carl have a small medical practice that operates as a partnership. Juan does 70% of the work and Carl does 30%. However, Carl invested 60% of the money required to start the business. If the company makes $100,000 in profit this year, how much will each partner receive?
a. Juan will receive $70,000; Carl will receive $30,000.
b. Juan will receive $50,000; Carl will receive $50,000.
c. Juan will receive $40,000; Carl will receive $60,000.
d. Juan will receive $60,000; Carl will receive $40,000.
e. Profits will be shared in the proportion specified in the partnership agreement.
Answer:
e. Profits will be shared in the proportion specified in the partnership agreement.
Explanation:
Partnership agreement is the governing document of an partnership. The agreement consist of how profit will be shared and has been agreed right before the partnership contract become become binding. Thus, the fact that Juan does 70% of the work and Carl does 30% of work does not specifies nor idicate profit sharing. Also, the fact that Carl invested 60% of the money required to start the business does not specify profit sharing as well. The profit sharing agreement is in the partnership agreement.
Which of the following three factors affects an employee's motivation
Answer:
There are three major components of motivation which are (i) direction, (ii) intensity, and (iii) and persistency (Fig 1). Direction is a goal which forces the employees to perform an act to achieve the targets.
Explanation:
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11. a. Suppose David spends his income M on goods x1 and x2, which are priced p1 and p2, respectively. David’s preference is given by the utility function
(1, 2) = √1 + √2.
(i) Derive the Marshallian (ordinary) demand functions for x1 and x2. (25 marks)
(ii) Show that the sum of all income and (own and cross) price elasticity of demand
for x1 is equal to zero. (25 marks) b. For Jimmy both current and future consumption are normal goods. He has strictly convex and strictly monotonic preferences. The initial real interest rate is positive. If the real interest rate falls, in each of the following cases, argue what will happen to his period 2 consumption level? Clearly illustrate your argument on a graph.
(i) He is initially a borrower. (25 marks)
(ii) He is initially a lender. (25 marks)
Answer:
Explanation:
D
QUESTION 2 of 10: Three smoothie shops exist in your town with annual sales of $300,000; $344,000; and $412,000. What is the average of their sales?
Answer:
352,000
Explanation:
add up all the numbers, then you divide by 3
The average of the three smoothie shop sales is $352,000.
What are sales?A sale is a transaction between two or more parties with respect to a particular product or a service. the payment can be done in cash, digital form, or a barter system. sales can be found out with the help of cost price and profit or loss incurred on selling the product or rendering service.
The annual sale of the first smoothie shop is $300,000
The annual sale of the second smoothie shop is $344,000
The annual sale of a third smoothie shop is $412,000
The average sale of smoothie shop = total of sales/ number of shops
= (300,00 + 344,000 + 412,000) / 3
=$352,000
Therefore, the average sales of the three shops are $352,000.
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What is most likely to push the price of a company's stock higher?
A. An increase in demand for the company's products
B. An increase in demand for the company's stock
C. An increase in tariffs paid by the company's competitors
O
D. An increase in the exchange rate for the U.S. dollar
Answer:
b.
Explanation:
The correct answer is option B. An increase in demand for the company's stock.
What is most likely to push the price of a company's stock higher?
Confidence in the stock market can also push up demand and prices for individual stocks. If investors believe that stocks are a good investment, either because valuations are attractive or because the stock market has been trending upwards, an increase in demand for stocks can push up prices across the board.
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explain all the dimensions of Management functions in Human Resource management
Answer:down
Explanation:The four dimensions of human resource management practices are: Managing The Human Resource Environment, Acquisition and Preparation of Human Resources, Assessment and Development of Human Resources, and Compensation of Human Resources as stated by Noe et al (2010).
Answer: HR managers carry out a variety of tasks to ensure a business runs smoothly. The various dimensions of management functions in Human Resource management are as follows:
Explanation:
a. Planning
Planning for various things, from the hiring process to training and development programs, is the most crucial duty of an HR manager. Planning lays the foundation for other HR management responsibilities, such as determining job qualifications and the organization's need for recruitment.
b. Organizing
An HR manager is responsible for performing this role after the planning phase (discussed above) is finished. To meet the requirements and wants of the workforce while achieving business goals, they must create strategies and programs.
c. Directing
To carry out the goals and plans they have developed, HR managers need personnel. As a result, they lead their teams in a way that carries out the manager's goals and strategies. They assign tasks to the team members and keep tabs on their performance to assess their progress.
d. Controlling
One of the most significant managerial duties and obligations of an HR manager is this. In doing so, the HR manager monitors deviations, corrects them, and compares the results to the objectives. This entails tasks like audits and appraisals.
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Business activities require capital, which of the following is NOT a way to
raise capital?
reinvesting profite
investors
using owner's money
o
developing products
Answer:
reinvesting profit
Do you think this function actually helps?
Answer:
Uhh I think so
Explanation:
Answer:
Yes it does
Explanation:
It put my grades up
When entrepreneur Gene Reilly's dog couldn't drink water, he developed a canine sports drink, which he marketed and called Rebound. Which of the following is part of the general environment
for Reilly's company?
(A) Dog owners
(B) The American Kennel Association
(C) The company that supplies the plastic bottles in which the drink is sold
(D) The lending institution that gave Reilly his start-up capital
(E) The sociocultural belief that says it is all right for people to give dogs human characteristics
Option E is correct, the sociocultural belief that says it is all right for people to give dos human characteristics.
The importance of social interaction in the formation of the mind is emphasised by sociocultural theory. It implies that learning is primarily a social process and that contacts with people who are "more talented" than we are shape how we think and behave.
PESTEL analysis is a common framework for grouping various variables and trends and identifying how they affect certain markets and the businesses operating inside them. Political, economic, social, technical, environmental, and legal are the six PESTEL analysis dimensions that are each described below.
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Judi Pendergrass is an account representative at Ever Pharmaceuticals. She has a company car for customer visits, which she uses to commute from work to home on Friday nights and from home to work on Monday mornings, 50 weeks per year. Her commute is 26 miles in each direction.Required:Using the commuting rule, what is the valuation of the fringe benefit?
The valuation of the fringe benefit will be 3600.
How to calculate the benefits?The valuation of the fringe benefit will be calculated thus:
= (2 × miles in each direction) × number of weeks × benefit rate
= (2 × 24) × 50 × 1.50
= 48 × 59 × 1.50
= 3600
In conclusion, the valuation of the fringe benefit will be 3600.
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