Research evidence on the managerial grid supports which of the following statements? the 9,9 style has been found to be universally effective there is no universally effective style of leadership the concern for production dimension has been found to be universally effective initiating structure and consideration has not been found to be associated with the LPC a low concern for production with high concern for people is the most effective

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Answer 1

The statement supported by research evidence on the managerial grid is, there is no universally effective style of leadership. Option b is correct.

Numerous studies on leadership have consistently shown that there is no one-size-fits-all or universally effective style of leadership. Different situations, organizational contexts, and individual preferences require leaders to adapt their styles accordingly.

The managerial grid, developed by Robert R. Blake and Jane S. Mouton, emphasizes the importance of balancing concern for production and concern for people, but it does not claim that any specific point on the grid is universally effective. Effective leadership involves a dynamic and flexible approach, where leaders tailor their behaviors based on the needs of their followers and the demands of the situation. Option b is correct.

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--The complete question is, Which statement is supported by research evidence on the managerial grid?

a) The 9,9 style has been found to be universally effective.

b) There is no universally effective style of leadership.

c) The concern for production dimension has been found to be universally effective.

d) Initiating structure and consideration have not been found to be associated with the Least Preferred Coworker (LPC) scale.

e) A low concern for production with high concern for people is the most effective.--


Related Questions




Song Company, a calendar year taxpayer, purchased a total of $2,054,400 tangible personalty in 2017. How much of this cost can Song elect to expense under Section 179? $510,000 -0- $2,054,400 $485,600

Answers

The cost can Song elect to expense under Section 179 is $510,000. Thus, option A is correct.

Section 179 is related to business and this states that it allows deduction in expenses for certain qualifying property which also includes the tangible and personal property. It is for selected sources of income for a certain year and depreciating it over time.

The maximum Section 179 deduction for the year 2017 is $510,000. Even if the Song company purchases the tangible property, then only it can able to expense up to a limit of $510,000. So, the selected amount to expense under section 179 is $510,000

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Planner Corporation's comparative balance sheets are presented below.
PLANNER CORPORATION Comparative Balance Sheets December 31
Cash 2017 $ 21,570 2016 $ 10,700
A/R 2017 18,200 2016 23,400
Land 2017 18,000 2016 26,000
Building 2017 70,000 2016 70,000
Accumulated depreciation2017 (15,000) 2016 (10,000)
Total 2017 $112,770 2016 $120,100
Accounts payable 2017 $ 12,370 2016 $31,100
Common stock 2017 75,000 2016 69,000
Retained earnings 2017 25,400 2016 20,000
Total 2017 $112,770 2016 $120,100
Additional information: 1. Net income was $27,900. Dividends declared and paid were $22,500. 2. All other changes in noncurrent account balances had a direct effect on cash flows, except the change in accumulated depreciation. The land was sold for $5,900.
Instruction (a) Prepare a statement of cash flows for 2017 using the indirect method. (b) Compute free cash flow.

Answers

(a) The statement of cash flows would show operating, investing, and financing activities based on the provided information. (b) Free cash flow cannot be calculated without additional details on capital expenditures and cash flow from operations.

The statement of cash flows for 2017 using the indirect method would show the cash flows from operating activities, investing activities, and financing activities. The net income of $27,900 would be adjusted for non-cash items such as depreciation and changes in working capital.

The cash flows from investing activities would include the proceeds from the sale of land and any other investments made during the year. The cash flows from financing activities would include the dividends paid and any changes in long-term debt or equity.

Free cash flow is calculated by subtracting capital expenditures from cash flow from operations. Capital expenditures represent the investments made in property, plant, and equipment during the year. Cash flow from operations is the net cash provided by operating activities.

By subtracting capital expenditures from cash flow from operations, we can determine the amount of cash available for other purposes such as debt repayment or distribution to shareholders.

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How do developing countries today differ from already developed countries in their earlier stages of development? Explain any TWO differences.

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Developing countries today differ from already developed countries in their earlier stages of development in the following ways:

1. Level of Industrialization: Developing countries are still in the early stages of industrialization. They have an unbalanced economy, in which the majority of the population is still engaged in agriculture, and only a small percentage is engaged in industry and services. Developed countries, on the other hand, have a highly industrialized economy, in which the majority of the population is engaged in industry and services, and only a small percentage is engaged in agriculture.

2. Standard of Living: Developing countries have a lower standard of living than developed countries. They have inadequate infrastructure, including limited access to clean water, sanitation, healthcare, and education. As a result, the mortality rate in developing countries is higher, and life expectancy is lower than in developed countries. Developed countries have a higher standard of living, with better infrastructure, healthcare, and education, leading to a higher life expectancy and lower mortality rates.

3. Another difference is in terms of income. Developed countries have higher income levels than developing countries. Developed countries are characterized by high levels of income, low unemployment rates, and relatively small income inequalities. Developing countries, on the other hand, are characterized by low levels of income, high unemployment rates, and large income inequalities.

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Larry age 36 is a Master welder who works for Oklahoma welding Company, his wife Kay also 36 yrs old has a job with the local oil company.

Larry's Salary: $40,000

Kay's Salary: $20,000

Larry's 401K deferral: $4000

Kay's 401K deferral: $2000

Both have a student loan interest of $290

They both file "Married filed jointly" and so take a standard deduction of $24,400

With the above information, calculate the Adjusted gross income of Larry family:

a. $53,710

b. $54,000

c. $29,310

d. $60,000

Answers

From the information above about Larry's family, the adjusted gross income would be: C. $29,310.

How to calculate the AGI

The adjusted gross income is obtained by subtracting the adjustments to income from the gross income. So, the gross income are as follows:

40,000 + 20000 = $60,000

The adjustments to the gross income include the expenses such as:

the 401k deferral:

4000 + 2000 + 290 + 24,400 = 30,690

60,000 - 30690 = $29310

So, the adjusted gross income of the family would be $29,310.

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(a) In the context of the Barro-Gordon model, derive the discretionary rate of inflation.
Provide a diagram to support your answer.

(b) Is delegating monetary policy to a conservative central banker a good idea when there are supply-side shocks?

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(a) The Barro-Gordon model is a new classical model that explains the relationship between monetary policy and the actual level of inflation in an economy. The model proposes that the rate of inflation is determined by both the expected inflation rate and the level of unemployment in the economy. When inflation is greater than anticipated, the model assumes that individuals will adjust their expectations of future inflation upward and thereby drive the actual rate of inflation higher as well.

The discretionary rate of inflation can be derived as follows:When unemployment is higher than its natural rate, there is a negative output gap in the economy. In order to close this output gap, policymakers will increase aggregate demand. This leads to an increase in the rate of inflation. Similarly, when unemployment is lower than its natural rate, there is a positive output gap in the economy. Policymakers will decrease aggregate demand to reduce inflation. The discretionary rate of inflation is the rate of inflation that results from the difference between the actual rate of inflation and the expected rate of inflation in the economy.

If policy makers choose to use expansionary monetary policy, this will lead to a higher rate of inflation in the short run but will not impact the natural rate of unemployment in the long run.(b) Supply-side shocks are sudden changes in the production function, and they can cause inflation and unemployment to rise simultaneously. In such situations, it may be beneficial to delegate monetary policy to a conservative central banker because they are more likely to be committed to low inflation and can resist the temptation to use expansionary monetary policy to reduce unemployment.

They are less likely to accommodate supply-side shocks with an increase in aggregate demand, which would be inflationary in nature. However, it is important to note that delegation can only be successful if the central banker has credibility in the eyes of the public and the government. If the central banker is not seen as credible, their policies may be ignored or reversed by the government, and the benefits of delegation will not be realized. Thus, delegating monetary policy to a conservative central banker can be a good idea when there are supply-side shocks if the central banker has credibility.

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not-for-profit organizations use social media to: group of answer choices connect with the general public, the business community, and each other. learn about new goods and services. lobby for political gains. learn about new methods of production.

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Not-for-profit organizations use social media to connect with the general public, the business community, and each other.

Not-for-profit organizations use social media primarily to connect with the general public, the business community, and each other. Social media platforms provide a means for these organizations to engage with their target audience, share updates, promote their mission, and build relationships with stakeholders. While they may indirectly learn about new goods and services or new methods of production through their social media interactions, their main focus is on building relationships, disseminating information, and engaging with their target audiences rather than lobbying for political gains.

In conclusion, not-for-profit organizations utilize social media platforms to connect with various stakeholders, including the general public, the business community, and other organizations within their sector.

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The production frontier for public good G and private good Q is G+Q-320,000. The economy has 100 identical household with utility function U-XG where Q - ΣX₁. Determine the efficient levels of G and Q. If the markets for both goods are perfectly competitive, determine the levels produced.

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The levels produced are Q=160,000 and G=160,000 is the answer.

Efficient levels of G and Q- The production frontier for public good G and private good Q is given by G+Q-320,000. Also, the economy has 100 identical households with a utility function U=XQ, where Q=ΣX₁. First, we need to determine the efficient levels of G and Q. Since the economy has 100 identical households, the total utility function of the economy is U=100XQ.

To maximize utility, we need to allocate resources to public good G and private good Q such that the marginal utility of each good is equal.

We can derive the marginal utility of public good G as follows: MUᵢ(G) = ∂U/∂Gi = 100∂(XQ)/∂Gi = 100X₁ where i = 1, 2, ..., 100 and X₁ is the consumption of private good Q by household i.

Similarly, we can derive the marginal utility of private good Q as follows: MUᵢ(Q) = ∂U/∂Qi = 100∂(XQ)/∂Qi = 100 - 100i where i = 1, 2, ..., 100.

The efficient level of public good G is the sum of the marginal utility of public good G for all households. Therefore, G = ΣMUᵢ(G) = 100ΣX₁.

The efficient level of private good Q is the sum of the marginal utility of private good Q for all households.

Therefore,ΣMUᵢ(Q) = Σ(100 - 100i) = 100Σ(1 - i) = 100(1 + 2 + ... + 100) - 100² = 5,050.Q = ΣX₁ = Σ(100 - MUᵢ(Q)) = Σ(100 - (100 - 100i)) = Σ100i = 5,050.

Therefore, the efficient levels of G and Q are G=100ΣX₁ and Q=ΣX₁.

The efficient level of G is G=100ΣX₁ and the efficient level of Q is Q=ΣX₁.

If the markets for both goods are perfectly competitive, the levels produced are determined by the market demand and supply.

Since the production frontier is G+Q-320,000, we can derive the market demand and supply for each good as follows: D(Q) = 320,000 - G - QS(Q) = Q

Equating demand and supply, we get:320,000 - G - Q = Q

Solving for Q, we get: Q = 320,000 - G

Substituting Q into the supply equation, we get: G = 320,000 - Q

Solving the two equations simultaneously, we get: Q = 160,000G = 160,000

Therefore, the levels produced are Q=160,000 and G=160,000.

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The company that manufactures Molson beer launched the Arctic brand in Ontario and the Tornade brand in Quebec, with the intention of gaining a share of the rapidly expanding alcoholic lemonade segment of the beverage industry. The separate launch strategies for the products are due to different market conditions in the two Canadian provinces. What strategy did Molson use to reach existing markets with its new product?

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Molson used a differentiated marketing strategy to reach existing markets with its new product.

Differentiated marketing strategy refers to the process of designing specific product campaigns to attract different customer segments. Molson beer company launched two different brands, Arctic brand in Ontario and Tornade brand in Quebec, with the intention of gaining a share of the rapidly expanding alcoholic lemonade segment of the beverage industry. The separate launch strategies for the products are due to different market conditions in the two Canadian provinces.

The differentiated marketing strategy is effective because it focuses on developing and delivering products that meet the needs of specific groups of customers.The Molson beer company used the differentiated marketing strategy to reach existing markets with its new product. The Arctic brand was launched in Ontario while the Tornade brand was launched in Quebec. Both provinces had different market conditions, hence the different launch strategies.

The company used different promotional and advertising campaigns for each brand, which made it possible to reach different customers. As a result, Molson managed to gain a share of the rapidly expanding alcoholic lemonade segment of the beverage industry.

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A company's cash receipts and cash payments are recorded in the cash account in its general ledger. Identify which of the following could not be determined by analyzing the cash account?
Multiple choice question.
o Cash payments for equipment
o Cash payments on notes
o Payment for land by issuing a note
o Cash receipts from customers
o Payment for land by issuing a note order

Answers

The payment for land by issuing a note order could not be determined by analyzing the cash account. Option c is correct choice.

The cash account records cash receipts and cash payments, which involve actual cash inflows and outflows. Payment for land by issuing a note order does not involve immediate cash payment but rather a promise to pay in the future. Therefore, this transaction would not be reflected in the cash account, as it does not involve an actual cash transaction at the time of the land purchase. Option c is correct choice.

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Kanha is a student at the University of Tennessee who recently got his first F. Now he has to make a decision about how to get his grades back up. Having recently taken a class on decision making, Kanha decides to follow the six-step process for deciding what to do. What problem is Kanha most likely to face during the development of alternatives step in the decision-making process?
Satisficing, or choosing the first solution that works, not the best solution
Neglecting to gather information on whether or not the plan was successful
Not having the time to take all of the steps outlined in his plan
Considering only "tried and true" solutions without creating new possibilities
George is a manager at Motorola who has lost five of his employees last year. Now he has to make a decision about how to retain the employees on his team. Having recently taken a class on decision making, George decides to follow the six-step process for deciding what to do. What problem is George most likely to face during the implementation of chosen alternative step in the decision-making process?
Not being aware enough of things going on around him to see where problems and opportunities exist
Not having the time to take all of the steps outlined in his plan
Satisficing, or choosing the first solution that works, not the best solution
Considering only "tried and true" solutions without creating new possibilities

Answers

For Kanha, the problem he is most likely to face during the development of alternatives step in the decision-making process is: Considering only "tried and true" solutions without creating new possibilities.

For George, the problem he is most likely to face during the implementation of chosen alternative step in the decision-making process is:

Not being aware enough of things going on around him to see where problems and opportunities exist.

Decision-making is the process of selecting the best course of action from available alternatives to achieve a specific goal or solve a problem. It involves gathering relevant information, evaluating different options, and making a choice based on rational analysis or personal judgment.

The decision-making process typically involves the following steps:

Identifying the problem or decision to be made: Clearly define the issue that needs to be addressed or the goal to be achieved.

Gathering information: Collect relevant data and facts about the problem or decision, including potential alternatives and their potential outcomes.

Generating alternatives: Brainstorm and create a range of possible solutions or courses of action that could address the problem or help achieve the goal.

Evaluating alternatives: Assess the pros and cons of each alternative, considering factors such as feasibility, potential risks, costs, benefits, and alignment with goals and values.

Making a decision: Select the best alternative based on the evaluation and analysis conducted. This could involve using logical reasoning, intuition, or a combination of both.

Implementing the decision: Put the chosen alternative into action, allocating resources, communicating the decision, and initiating any necessary steps or changes.

Evaluating the results: Assess the outcomes and effects of the decision to determine its effectiveness in solving the problem or achieving the desired goal. If needed, adjust the approach or make further decisions based on the evaluation.

Throughout the decision-making process, it's important to consider the potential impact on stakeholders, gather input from relevant parties, and ensure ethical considerations are taken into account. Effective decision-making involves a balance of analysis, creativity, critical thinking, and judgment.

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true/false. a scientist develops a new machine that lowers the cost of producing tires graph

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The given statement "A scientist develops a new machine that lowers the cost of producing tires" is true because graphically, it can be demonstrated that the introduction of a new machine that reduces the cost of producing tires will cause a leftward shift of the supply curve.

When the cost of producing a good decreases, the producer will be willing to supply more goods at any given price, increasing supply. As a result, the supply curve shifts to the right.However, the question asked is a true/false question. So, the correct answer is:True.

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In 2019 Country A's adult population was 220 million, the labor force was 132 million, and the number of people employed was 127 million. According to these numbers, Country A's labor-force participat

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Labor force participation rate refers to the proportion of a country's working-age population (16 years or older) that is either employed or actively seeking employment. In 2019, Country A had an adult population of 220 million, a labor force of 132 million, and 127 million people employed.

To calculate the labor force participation rate, divide the labor force by the adult population and multiply the result by 100.Labor force participation rate = (labor force / adult population) x 100Labor force participation rate = (132 million / 220 million) x 100Labor force participation rate = 60%Therefore, Country A's labor force participation rate in 2019 was 60%.This means that out of the total adult population, 60% of them either had a job or were actively looking for one.

It is important to note that this rate does not take into account those who are not in the labor force, such as students, retirees, and those who are not able to work.

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State the effect of the following transactions on the current ratio. Use increase, decrease, or no effect for your answer.

a. Payment of Long-Term
b. Notes with cash
c. Increase
d. Decrease No Effect

Answers

An increase in current assets would have a positive impact on the current ratio since it raises the numerator of the ratio. Similarly, a decrease in current liabilities would have a positive impact on the ratio since it reduces the denominator.  Option C) is correct

The current ratio is a liquidity metric that shows a company's ability to pay its short-term liabilities with its current assets. As a result, the ratio is frequently utilised by investors and creditors to determine whether a company is financially stable or not. It's critical to evaluate how different transactions impact the current ratio to properly examine the financial condition of a firm. The following is a description of how the following transactions impact the current ratio:

a. Payment of Long-Term: When a company pays off its long-term debt, its current assets and current liabilities both decrease, with no effect on the current ratio.

Since the long-term liability is being repaid with cash, the firm's current assets are reduced, while the current liabilities decrease since the long-term liability is reclassified as a short-term obligation.

b.Notes with Cash:When a company repays its notes payable using cash, it affects the current ratio. The notes payable are a short-term obligation, and their payment reduces current liabilities, increasing the current ratio.At the same time, the firm's cash decreases, lowering the current assets, but the effect on the current ratio is positive since the current ratio is based on the ratio of current assets to current liabilities.

c. Increased, Decrease, or No Effect:

An increase in current assets would have a positive impact on the current ratio since it raises the numerator of the ratio. Similarly, a decrease in current liabilities would have a positive impact on the ratio since it reduces the denominator.

Conversely, a decrease in current assets or an increase in current liabilities would have a negative effect on the current ratio since it reduces the numerator or increases the denominator, respectively. Some transactions, such as the payment of dividends, have no impact on the current ratio. Dividends have no effect on current assets or liabilities since they are a distribution of earnings, not an expense. Therefore option C) is correct.

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Use your knowledge of contemporary situational feadership theories to select the word or phrase that best describes the situation. According to Hersey and Blanchard, if you use this leadership style you give your followers a lot of autonomy and independence. Delegating style Telling style Participating style Selling style

Answers

According to Hersey and Blanchard, if you use a leadership style that gives your followers a lot of autonomy and independence, the term that describes this situation is the Delegating style of leadership.

The Delegating style of leadership focuses on delegating tasks to the followers who can handle them without direct supervision. Leaders who use the delegating style of leadership often trust their followers’ ability to work on their own. They also provide the followers with all the resources they need to complete the task. The leaders provide guidance only when needed. This style is most effective when the followers are highly skilled and knowledgeable in their area of work.

The style allows the followers to have a sense of ownership of the task, which, in turn, increases their level of motivation and satisfaction. The leader, on the other hand, has time to focus on other important tasks that require their attention. A leader who uses this style should, however, keep an eye on the progress of the task to ensure that it is completed on time and meets the required standards.In conclusion, the Delegating style of leadership is an effective leadership style that can be used to give the followers a lot of autonomy and independence.

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On chapter 17 you learned that home equity (buying a house) is the single greatest financial asset for many middle-class Americans. Nonetheless, in 2008 we had a big recession that was triggered by the housing market. Explain the link between the housing bubble and the financial crisis that hit America and then the world. How the housing market contributed to the financial crisis?

Answers

The collapse of the housing market was caused by the burst of the housing bubble that was created when the real estate market became overpriced, leading to high demand for houses and a large number of subprime mortgages being issued.

The housing bubble was fueled by easy credit and low interest rates. In the years leading up to the housing market collapse, banks were lending money to anyone who could sign their name, regardless of whether they could afford the mortgage or not. Subprime mortgages were mortgages issued to people with poor credit scores who would not typically qualify for a mortgage.In the early 2000s, mortgage lenders began issuing adjustable-rate mortgages with teaser rates.

These were loans with very low-interest rates for the first few years, which then increased significantly after that. As a result, people could buy homes they couldn't afford with low initial payments, only to be hit with huge payments when their interest rates rose. When they couldn't afford these payments, they defaulted on their loans. This triggered a domino effect, with the number of foreclosures rising, which led to a decrease in housing prices.

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Please show work. 1) In order to increase the responsiveness (volatility) of following forecast models, what can you do? a) Simple moving average method - describe in terms of "averaging periods" (num

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To increase the responsiveness (volatility) of forecast models using the simple moving average method and exponential smoothing method, you can adjust the parameters as follows.

1. Simple Moving Average Method:

The simple moving average method calculates the average of a specified number of data points to forecast future values. To increase responsiveness, you can reduce the averaging periods, which means using fewer data points in the calculation.

For example, if you were using a 3-period simple moving average, the forecast for a particular period would be the average of the three most recent data points. To increase responsiveness, you could switch to a 2-period simple moving average, which would only consider the two most recent data points. This would lead to a more volatile forecast that reacts more quickly to changes in the data.

2. Exponential Smoothing Method:

The exponential smoothing method assigns weights to past observations, with the most recent data points receiving higher weights. To increase responsiveness, you can adjust the smoothing constant, also known as the alpha value, which determines the weight given to the most recent observation.

A higher alpha value assigns more weight to the most recent data point, making the forecast more responsive to recent changes. Conversely, a lower alpha value gives more weight to past observations and reduces the impact of recent changes on the forecast.

For example, if you were using an alpha value of 0.2, each new observation would be weighted at 20% and the forecast would gradually adjust to changes. To increase responsiveness, you could increase the alpha value to 0.5, giving more weight to the most recent observation and making the forecast more volatile and responsive to recent changes.

It's important to note that increasing responsiveness may also increase the level of noise and volatility in the forecast. It's essential to find the right balance based on the specific needs and characteristics of the forecasting task.

The correct question is:

In order to increase the responsiveness (volatility) of following forecast models, what can you do?

Simple moving average method- describe in terms of “averaging periods” (number of data points to use):

Exponential Smoothing method – describe in terms of “alpha value” (smoothing constant):

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Based on macroeconomic perspective, how can we compare major federal banks (US-Federal Reserve, the Bank of Canada, the ECB, and the bank of England) with respect to their structure and functions? What do they do for their function and how do they do it? Also in regards to regulate monetary policy, how do they conducted and their roles as regulators?

Answers

In the macroeconomic perspective, Federal Reserve Bank of the United States (US), Bank of Canada, the European Central Bank (ECB), and Bank of England are the major federal banks. Each bank has its own structure and function.

Let's compare the functions of these banks based on macroeconomic perspective:

Federal Reserve Bank of the United States (US)

The Fed serves as the central bank for the United States and has a dual mandate to promote maximum employment and price stability.

The Fed has three main tools to achieve these goals: open market operations, discount rate policy, and reserve requirement ratios. These tools are used to influence the money supply, which in turn impacts interest rates and the overall economy.

Bank of Canada:

The Bank of Canada operates as Canada's central bank and its primary function is to regulate monetary policy. The bank controls the supply of money in the economy, and it sets interest rates to achieve its mandate of low and stable inflation.

European Central Bank (ECB):

The ECB operates as the central bank for the eurozone, which consists of 19 European Union (EU) member states that have adopted the euro as their currency.

The ECB's primary goal is to maintain price stability in the eurozone. It does this by controlling the money supply, setting interest rates, and managing foreign exchange reserves

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Derek will deposit $3,600.00 per year for 12.00 years into an account that earns 14.00%. Assuming the first deposit is made 6.00 years from today, how much will be in the account 32.00 years from today? Answer format: Currency: Round to: 2 decimal places.

Answers

Derek will deposit $3600.00 per year for 12 years into an account that earns 14%.First deposit is made after 6 years, and we need to calculate the amount in the account 32 years from today. Applying the formula for future value of an annuity.

FV = Pmt x (((1 + r)n - 1) / r)

where,

FV = future value of annuity

Pmt = payment per period

r = interest rate per period

n = number of periods

Let's calculate each term one by one;

Pmt = $3600.00

r = 14% = 0.14

n = 12 - 6 = 6 (only the remaining 6 years of deposit)

FV = 3600 x (((1 + 0.14)^6 - 1) / 0.14)

FV = 3600 x (((1.14)^6 - 1) / 0.14)

FV = 3600 x ((2.01123 - 1) / 0.14)

FV = 3600 x (1.01123 / 0.14)

FV = $25,907.61

This will be the future value of annuity at the end of 12 years.

Now, we need to calculate the future value of this amount in 20 years using the simple future value formula;

FV = PV x (1 + r)n where ,

FV = future value

PV = present value

r = interest rate

n = number of years

PV = $25,907.61

r = 14% = 0.14

n = 20

FV = 25907.61 x (1 + 0.14)^20

FV = 25907.61 x (5.37960

)FV = $139,461.28

Therefore, the amount in the account 32 years from today will be $139,461.28 (rounding off to 2 decimal places).

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From the view of Keynesian, what measures should we take to deal with the economic impact of the COVID-19 epidemic?

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According to Keynesians, the COVID-19 pandemic has had a significant impact on the global economy, and as such, governments should take measures to stimulate demand and protect workers from job losses.

To deal with the economic impact of the COVID-19 epidemic, Keynesians suggest the following measures:

1. Fiscal policy measures: Governments should increase public spending to stimulate demand in the economy. They should also provide support for businesses that have been negatively affected by the pandemic. For example, they can offer tax breaks or low-interest loans to businesses that are struggling to stay afloat.

2. Monetary policy measures: Central banks should reduce interest rates to encourage borrowing and investment in the economy. This will help to boost demand and stimulate economic growth.

3. Job protection measures: Governments should provide support for workers who have lost their jobs as a result of the pandemic. They can do this by offering unemployment benefits or job training programs.

4. Infrastructure spending: Governments should invest in infrastructure projects such as roads, bridges, and public transport. This will create jobs and stimulate demand in the economy.

5. Support for small businesses: Provide financial support, loans, and grants to small businesses affected by the pandemic. This would help them retain employees, cover expenses, and ensure their survival during the crisis.

Keynesians believe that by implementing these measures, governments can help to mitigate the economic impact of the COVID-19 pandemic and encourage economic growth.

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Alpha is considering to acquiring a business called Beta which is operating in overseas. Beta operates car dealerships throughout Gulf region and the directors view this entity as an excellent strategic fit with the Alpha’s business model. They are reviewing the financial statements of Beta, which are prepared on a conventional accounting basis, but are aware that Beta is currently operating in an economic environment that is subject to high inflation.
Analyze the potential drawbacks of using Beta’s financial statements as a basis for making business decisions in times of high inflation.

Answers

In the case of Alpha, the potential drawbacks of using Beta's financial statements as a basis for making business decisions during times of high inflation are Understated profits,  Overvalued assets.

High inflation can have a significant impact on a company's financial statements, which can make it difficult for businesses to make sound decisions.

1. Understated profits: During times of high inflation, a company's profits may appear to be higher than they really are. This is because inflation increases the cost of production and reduces the value of money.

As a result, when companies use conventional accounting techniques, they may not accurately reflect the true costs of production, and the reported profits may be overstated. Therefore, when using Beta's financial statements, Alpha must be aware of the risk of overestimating Beta's true profitability.

2. Overvalued assets: In times of high inflation, a company's assets may appear to be more valuable than they really are. This is because inflation increases the prices of goods and services, including the prices of assets. Therefore, when using Beta's financial statements, Alpha must be aware that some financial ratios may be misleading due to high inflation.

Therefore, Alpha must be aware of the risks associated with using Beta's financial statements as a basis for making business decisions during times of high inflation.

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Given the following information for an international project: US inflation = 6.5% Singapore inflation = 7.5% Cost of capital in the US = 18% What will the equivalent Singaporean cost of cap be? [Leave your answer in decimals to 4 places)

Answers

The equivalent Singaporean cost of capital is 10.7%, or 0.107 when rounded to four decimal places.

To determine the equivalent Singaporean cost of capital, the cost of capital in the US must be adjusted for inflation using the following formula: Equivalent Cost of Capital = [(1 + US Cost of Capital) ÷ (1 + US Inflation Rate)] – 1

The US inflation is 6.5%. Singapore inflation is 7.5%.The cost of capital in the US is 18%.

Now we have to calculate the equivalent Singaporean cost of capital. Using the formula, Equivalent Cost of Capital = [(1 + US Cost of Capital) ÷ (1 + US Inflation Rate)] – 1

Substituting the values into the formula, Equivalent Cost of Capital = [(1 + 0.18) ÷ (1 + 0.065)] – 1= (1.18 ÷ 1.065) – 1= 0.107, which is 10.7%.

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Bricktan Inc. makes three products, basic, classic, and deluxe. The maximum Bricktan can sell is 727,000 units of basic, 516,000 units of classic, and 240,000 units of deluxe. Bricktan has limited production capacity of 138,000 hours. It can produce 10 units of basic, 8 units of classic, and 4 units of deluxe per hour. Contribution margin per unit is $15 for the basic, $25 for the classic, and $55 for the deluxe. What is the most profitable sales mix for Bricktan Inc.? Multiple Choice A. 72.700 basic, 516,000 classic and 480,000 deluxe. B. 270,000 basic, 240,000 classic and 480,000 deluxe. C. 276,000 basic, 480,000 classic and 240,000 deluxe. D. 1,080,000 basic, 0 classic and 240,000 deluxe. E. 135,000 basic, 516,000 classic and 240,000 deluxe.

Answers

The most profitable sales mix for Bricktan Inc. is; 1,080,000 basic, 0 classic, and 240,000 deluxe. Option D is correct.

To determine the most profitable sales mix for Bricktan Inc., we need to consider the production capacity, the maximum units that can be sold for each product, and the contribution margin per unit.

Let's calculate the production capacity for each product based on the given information;

Basic: 138,000 hours × 10 units/hour = 1,380,000 units

Classic: 138,000 hours × 8 units/hour = 1,104,000 units

Deluxe: 138,000 hours × 4 units/hour = 552,000 units

Now, let's compare the maximum units that can be sold for each product with the production capacity;

Basic: Maximum units sold = 727,000 units

Classic: Maximum units sold = 516,000 units

Deluxe: Maximum units sold = 240,000 units

From the above calculations, we can determine that the production capacity exceeds the maximum units that can be sold for all three products.

Next, let's calculate the total contribution margin for each sales mix;

72,700 basic, 516,000 classic, and 480,000 deluxe;

Total contribution margin = (72,700 × $15) + (516,000 × $25) + (480,000 × $55) = $4,362,500 + $12,900,000 + $26,400,000 = $43,662,500

270,000 basic, 240,000 classic, and 480,000 deluxe;

Total contribution margin = (270,000 × $15) + (240,000 × $25) + (480,000 × $55) = $4,050,000 + $6,000,000 + $26,400,000 = $36,450,000

276,000 basic, 480,000 classic, and 240,000 deluxe;

Total contribution margin = (276,000 × $15) + (480,000 × $25) + (240,000 × $55) = $4,140,000 + $12,000,000 + $13,200,000 = $29,340,000

1,080,000 basic, 0 classic, and 240,000 deluxe;

Total contribution margin = (1,080,000 × $15) + (0 × $25) + (240,000 × $55) = $16,200,000 + $0 + $13,200,000 = $29,400,000

135,000 basic, 516,000 classic, and 240,000 deluxe;

Total contribution margin = (135,000 × $15) + (516,000 × $25) + (240,000 × $55) = $2,025,000 + $12,900,000 + $13,200,000 = $28,125,000

Based on the calculations above, the most profitable sales mix for Bricktan Inc. is; 1,080,000 basic, 0 classic, and 240,000 deluxe. This sales mix yields a total contribution margin of $29,400,000.

Hence, D. is the correct option.

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general motors engages in partnerships with its suppliers, component part makers, unions, transport companies, and dealerships—collectively known as its

Answers

General Motors engages in partnerships with its suppliers, component part makers, unions, transport companies, and dealerships, collectively known as its "supply chain" or "business ecosystem."

These partnerships are crucial for General Motors to ensure the efficient and effective flow of materials, components, and services required for its manufacturing operations and to maintain strong relationships with stakeholders involved in the production, distribution, and sales of its vehicles. The collaborative efforts with these entities help General Motors enhance its overall competitiveness, streamline operations, manage costs, and deliver high-quality products to its customers.

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Final answer:

General Motors' network of suppliers, component part makers, unions, transport companies, and dealerships are collectively known as its supply chain. These entities contribute to the production and delivery of vehicles, from raw materials to the final customer.

Explanation:

General Motors engages in partnerships with various entities such as suppliers, component part makers, unions, transport companies, and dealerships. Collectively, these entities are referred to as its Supply Chain. The supply chain is a network of companies or individuals that contribute to the production and delivery of a product, in this case, vehicles, from start (raw materials) to finish (the customer). For instance, suppliers provide the materials, component part makers fabricate parts, unions represent worker's interests, transport companies arrange for transportation, and dealerships sell the end products to customers. General Motors coordinates these entities to ensure consistent and efficient production.

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Draw a labour supply curve and a labour demand curve. Label them LS, and LD Draw a point the equilibrium quantity of labour and the equilibrium real wage rate. Label e 1 Draw and label a curve that shows the effect of an increase in labour productivity Draw a point at the new equilibrium quantity of labour and the equilibrium real wage rate. Label it 2. An increase in labour productivity increases potential GDP because_ Real wage rate (2007 dollars per hour) 80 70- 60- 50- A. there is a movement along the existing production function 40- O B. ° C. production becomes more labour intensive and less capital intensive employment increases and a given amount of employment produces more real GDP employment increases due to an increase in the supply of labor 30- 20- D. 10- 100 200 300 400 500 600 Labour (billions of hours per year) >>Draw only the objects specified in the question

Answers

Labor Supply Curve (LS): The labor supply curve represents the relationship between the quantity of labor supplied by individuals and the real wage rate. It slopes upward, indicating that as the real wage rate increases, individuals are more willing and able to supply labor.

Labor Demand Curve (LD): The labor demand curve represents the relationship between the quantity of labor demanded by firms and the real wage rate. It slopes downward, indicating that as the real wage rate increases, firms are less willing and able to hire additional workers.

Equilibrium Point (e1): The equilibrium quantity of labor and the equilibrium real wage rate occur at the intersection of the labor supply curve (LS) and the labor demand curve (LD). This point represents the market equilibrium, where the quantity of labor demanded by firms matches the quantity of labor supplied by individuals.

Effect of an Increase in Labor Productivity: An increase in labor productivity shifts the labor demand curve (LD) to the right. This shift occurs because firms can produce more output with the same amount of labor input. As a result, the equilibrium quantity of labor increases, and the equilibrium real wage rate increases as well.

New Equilibrium Point (2): The new equilibrium quantity of labor and the equilibrium real wage rate occur at the intersection of the shifted labor demand curve (LD) and the labor supply curve (LS). This point represents the new market equilibrium after the increase in labor productivity.

Increase in Potential GDP: An increase in labor productivity leads to an increase in potential GDP. This occurs because firms can produce more output with the same amount of labor input. As a result, the economy's productive capacity expands, and potential GDP increases.

I hope this description helps you visualize the labor market dynamics and understand the effects of an increase in labor productivity.

About Labor Supply

In mainstream economic theory, the labor of supply is the number of hours workers are willing to work at a given real wage level.

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Why would you want to use a check register

Answers

BECAUSE YOU NEED TO REGISTER ALL CHECKS FAST AND EASY

SUB TO MR BEAST

Krespy Corp. has a cash balance of $7,500 before the following transactions occur:
A. received customer payments of$965
B. supplies purchased on account $435
C. services worth$850 performed, 25% is paid in cash the rest will be billed
D. corporation pays $275 for an ad in the newspaper
E. bill is received for electricity used$235.
F. dividends of $2,500 are distributed
What is the balance in cash after these transactions are journalized and posted?

Answers

After journalizing and posting all the transactions, the final cash balance for Krespy Corp. is $5,477.50.

To determine the balance in cash after the transactions are journalized and posted, let's go through each transaction step by step:

A. Received customer payments of $965: This increases the cash balance. Therefore, we add $965 to the initial cash balance of $7,500.

New cash balance = $7,500 + $965 = $8,465

B. Supplies purchased on account $435: This transaction does not involve cash. Therefore, it does not affect the cash balance.

New cash balance = $8,465

C. Services worth $850 performed, 25% is paid in cash, and the rest will be billed: Since 25% of the services are paid in cash, we subtract 25% of $850 from the cash balance.

25% of $850 = $212.50

New cash balance = $8,465 - $212.50 = $8,252.50

D. Corporation pays $275 for an ad in the newspaper: This transaction reduces the cash balance. Therefore, we subtract $275 from the cash balance.

New cash balance = $8,252.50 - $275 = $7,977.50

E. Bill is received for electricity used $235: This transaction does not involve an immediate cash outflow. Therefore, it does not affect the cash balance.

New cash balance = $7,977.50

F. Dividends of $2,500 are distributed: This transaction reduces the cash balance. Therefore, we subtract $2,500 from the cash balance.

New cash balance = $7,977.50 - $2,500 = $5,477.50

After journalizing and posting all the transactions, the final cash balance for Krespy Corp. is $5,477.50.

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Why is it important for a business to set up internal control measures
over fixed assets?​

Answers

Answer:

Effective internal control reduces the risk of asset loss, and helps ensure that plan information is complete and accurate, financial statements are reliable, and the plan's operations are conducted in accordance with the provisions of applicable laws and regulations. ... Why internal control is important to your plan.

An agricultural equipment company estimates its annual carrying cost at 15% of the per unit price of $4. The ordering cost per order is $9. The annual demand for a product they sell is 48000 units per year. The company has 360 working days in a year.
a) What is the most economical number of units to order?
b) How many orders should be placed in a year?
c)How many days is the cycle time or time difference between two orders?
d)If the lead time is 3 days, what is the re-order-point?

Answers

Economic Order Quantity where

D = annual demand

= 48000 units per year

O = ordering cost per order = $9C = carrying cost per unit.

Number of orders per year = (D/Q)Number of orders per year

= (48000/1200)

= 40 orders per year

c) Cycle

Time Cycle Time = (Q/D) x 360 days

Cycle Time = (1200/48000) x 360= 9 days

Reorder Point = Lead Time Demand+ Safety Stock Lead

Time Demand = Lead Time x Daily Demand Lead Time

Demand = 3 x 48000/360= 400Safety Stock = (Z x σ x √L) / C.

Where

Z = Z value (1.65, as per normal distribution)

σ = Standard deviation of demand

L = Lead time in days

C = Cost per unit Reorder Point = 400 + [(1.65 x 60 x √3) / 4]

Reorder Point = 400 + 22.05

Reorder Point = 422.05 Therefore, the re-order-point is 422.05.

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When attempting to resolve resource over-allocation, what
aspect of the project plan should you try to change first?
When attempting to resolve resource over-allocation, what aspect of the project plan should you try to change first? Select one: OA Replan one of the tasks-by changing the "definition of done" or the

Answers

When attempting to resolve resource over-allocation in a project, the aspect of the project plan that you should try to change first is the task assignments. By reviewing and adjusting the task assignments, you can redistribute the workload and allocate resources more efficiently to alleviate the over-allocation issue.

Some possible actions you can take to resolve resource over-allocation at the task level include:

1. Reassigning tasks: Look for tasks that are currently assigned to resources that are over-allocated and consider reassigning them to other available resources with lighter workloads. This helps balance the workload and prevents resource bottlenecks.

2. Adjusting task durations: Review the estimated durations of tasks and consider if any can be shortened or extended without compromising the project's objectives. This flexibility can help redistribute the workload and alleviate over-allocation.

3. Prioritizing tasks: Determine the critical tasks that need immediate attention and focus resources on completing those tasks first. This approach helps ensure that key deliverables are addressed while minimizing the impact of resource over-allocation.

4. Revising dependencies: Examine task dependencies and identify opportunities to adjust the sequence of tasks or eliminate unnecessary dependencies. This can create more flexibility in resource allocation and reduce over-allocation.

It's important to note that while adjusting task assignments is often the first step in resolving resource over-allocation, it may also be necessary to evaluate other aspects of the project plan, such as the project timeline, budget, or scope, to fully address the issue. The specific approach will depend on the project's unique circumstances and constraints.

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There are three industrial firms in Happy Valley.
Firm Initial Pollution Level Cost of Reducing Pollution by 1 Unit
A 30 $20
B 40 $30
C 20 $10
The government wants to reduce pollution to 60 units, so it gives each firm 20 tradable
pollution permits.
a) Who sells permits and how many do they sell? Who buys permits and how many do they buy? Briefly explain why the sellers and buyers are each willing to do so. What is the total cost of pollution reduction in this situation?
b) How much higher would the costs of pollution reduction be if the permits could not be traded?

Answers

Firm A and Firm B sell 10 permits each, Firm C buys 20 permits. The total cost of pollution reduction is $200.

Who sells permits and how many do they sell? Who buys permits and how many do they buy? What is the total cost of pollution reduction?

a) In this scenario, Firm A and Firm B sell pollution permits, while Firm C buys pollution permits. Firm A sells 10 permits, and Firm B sells 10 permits. Firm C buys 20 permits.

The sellers are willing to sell the permits because the cost of reducing pollution by 1 unit is lower than the price they receive for selling the permits.

In other words, it is more cost-effective for them to sell permits rather than invest in pollution reduction themselves. Firm C, on the other hand, is willing to buy permits because the cost of reducing pollution internally is higher than the price they pay for purchasing permits.

The total cost of pollution reduction in this situation is the sum of the costs incurred by the buyers, which is (10 * $20) + (10 * $30) = $200.

b) If the permits could not be traded, the costs of pollution reduction would be higher. Each firm would have to bear the entire cost of reducing pollution within their own operations.

In this case, Firm A would need to spend $200 to reduce pollution by 10 units, Firm B would need to spend $300 to reduce pollution by 10 units, and Firm C would need to spend $100 to reduce pollution by 20 units. Therefore, the total cost of pollution reduction without trading permits would be $200 + $300 + $100 = $600.

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