If the non-bank public decides to reduce the fraction of its financial resources it holds as cash or currency instead of deposits at banks, A. the excess reserve ratio will increase, the M1 multiplier will fall, and the money supply defined as M1 decrease. B. the excess reserve ratio will decrease, the M1 multiplier will rise, and the money supply defined as M1 increase C. the currency to deposit ratio will increase, the money multiplier will fall, and the money supply defined as M1 will decrease. D. the currency to deposit ratio will decrease, the money multiplier will rise, and the money supply defined as M1 will increase.

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Answer 1

If the non-bank public decides to reduce the fraction of its financial resources it holds as cash or currency instead of deposits at banks, it will have an impact on the money supply defined as M1. To understand this, we need to first define some terms: - Excess reserve ratio:

This is the ratio of a bank's excess reserves (i.e., reserves held above the required reserve amount) to its total deposits - M1 multiplier: This is the ratio of the money supply defined as M1 (which includes currency in circulation, demand deposits, and other checkable deposits) to the monetary base (which includes currency in circulation and reserves held by banks). - Currency to deposit ratio: This is the ratio of currency in circulation (i.e., cash held by the non-bank public) to demand deposits (i.e., deposits that can be withdrawn on demand by check or other means). Now, let's consider the given options: A. If the non-bank public reduces the fraction of its financial resources held as cash or currency, the excess reserve ratio will increase. This is because banks will have more deposits to lend out and may not need to hold as much in excess reserves.

If the non-bank public increases the currency to deposit ratio (i.e., holds more cash and less in demand deposits), the money multiplier will fall. This is because banks will have less deposits to lend out, and the monetary base will not change. The money supply defined as M1 will decrease because there will be less demand deposits available for lending by banks. If the non-bank public decreases the currency to deposit ratio (i.e., holds less cash and more in demand deposits), the money multiplier will rise. This is because banks will have more deposits to lend out, and the monetary base will not change. The money supply defined as M1 will increase because there will be more demand deposits available for lending by banks. In summary, the correct answer is D. If the non-bank public decides to reduce the fraction of its financial resources it holds as cash or currency instead of deposits at banks, the currency to deposit ratio will decrease, the money multiplier will rise, and the money supply defined as M1 will increase.

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Related Questions

Assume a company purchases honeycombs from beekeepers for $2.00 a pound. The honey can be sold in raw form for $3.20 a pound or it can be used to make honey drop candies. Each package of candies contains three-quarters of a pound of honey and can be sold for $4.40. In addition to the cost of the honey, making and selling each container of candies incurs additional variable costs of $1.10 per unit. The monthly fixed costs associated with making the candies include: Master candy-maker's salary $4,400
Depreciation of candy-making equipment 400 Salary of salesperson dedicated to this product 2,000
Total fixed costs $6,800 The candy-making equipment does not wear out through use and it has no resale value. Assuming the company makes and sells 8,000 containers of candy, what is the financial advantage (disadvantage) of continuing to process raw honey into candies? Multiple Choice
a.$(6,000) b.$(5,600) c.$800 d.$400

Answers

The financial advantage (disadvantage) of continuing to process raw honey into candies, given the provided information, is $400.

In order to calculate the financial advantage, we need to compare the total revenue from selling the raw honey with the total revenue from selling the honey in candy form, while considering the costs associated with candy production. First, let's calculate the revenue from selling raw honey. The company purchases honeycombs for $2.00 a pound and can sell it for $3.20 a pound. The total revenue from selling the honey is therefore 8,000 pounds of honey (the amount used to make the candies) multiplied by the price of $3.20 per pound, which equals $25,600. Next, let's calculate the revenue from selling the honey in candy form. Each candy package contains three-quarters of a pound of honey and can be sold for $4.40. With 8,000 containers of candy sold, the total revenue from candy sales is 8,000 packages multiplied by $4.40 per package, which equals $35,200. Now, let's calculate the costs associated with candy production. Each container of candy incurs additional variable costs of $1.10 per unit. With 8,000 containers produced, the total variable costs for candy production amount to 8,000 units multiplied by $1.10 per unit, which equals $8,800. Finally, let's calculate the total fixed costs associated with candy production, which amount to $6,800. To determine the financial advantage, we need to subtract the total costs (variable and fixed) from the total revenue. The total costs consist of the variable costs of $8,800 and the fixed costs of $6,800, which sum up to $15,600. Therefore, the financial advantage (disadvantage) of continuing to process raw honey into candies is calculated as the difference between the total revenue from candy sales ($35,200) and the total costs ($15,600), resulting in $19,600. However, we need to consider that the company is also generating revenue by selling the raw honey, which amounts to $25,600. Therefore, the actual financial advantage (disadvantage) is calculated as the difference between the revenue from candy sales ($35,200) and the revenue from selling raw honey ($25,600), resulting in $9,600. Since the financial advantage is positive ($9,600), the correct answer is d. $400.

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policy function and value function 1 point possible (graded) from the following options select one or more statement(s) which are true about the optimal policy function , the optimal value function and the optimal function

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The optimal policy function and the optimal value function are two fundamental concepts in dynamic programming and optimization.

They are used to solve decision-making problems over time and determine the best course of action.

The optimal policy function specifies the optimal decision or action to take at each possible state or stage of a problem. It maps states to actions, providing a clear guideline on what action should be chosen to maximize the desired objective. The optimal policy function is derived based on the optimal value function.

The optimal value function, on the other hand, assigns a value to each possible state of the problem. It represents the maximum expected cumulative reward or utility that can be obtained by following the optimal policy. The value function captures the long-term consequences of decisions made at each state and serves as a measure of the desirability of different states.

The optimal function refers to both the optimal policy function and the optimal value function together. It represents the solution to the optimization problem, providing a comprehensive description of the best actions to take and the corresponding expected values for each state.

In summary, the optimal policy function guides decision-making by indicating the best action at each state, while the optimal money value function quantifies the expected value associated with each state. Together, they form the optimal function, which provides a complete solution to the decision problem under consideration.

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what are the three major classifications of retail outlets in the united states?

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There are three major classifications of retail outlets in the United States: department stores, specialty stores, and mass merchandisers.

Department stores are large retail stores that offer a wide variety of products across different categories, such as clothing, home goods, and electronics.

Specialty stores, on the other hand, focus on a specific product category or niche market, such as sporting goods or luxury fashion.

Mass merchandisers, also known as big-box stores, offer a large assortment of products at low prices and typically have a no-frills shopping experience.

Each of these classifications has its own strengths and weaknesses, and consumers may choose to shop at one or more of them depending on their needs and preferences.

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which term refers to the money that remains after all the costs of production have been paid?

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The term that refers to the money that remains after all the costs of production have been paid is "profit."

Profit is the financial gain or positive difference between total revenue and total costs incurred in the production of goods or services. It represents the surplus earned by a business or individual after deducting all expenses, including raw materials, labor, overhead costs, and other operating expenses.

Profit serves as a measure of business performance and viability. It can be reinvested into the company for expansion, distributed to shareholders as dividends, or used to fund future projects and initiatives. Calculating and maximizing profit is a key objective for businesses as it contributes to sustainability, growth, and financial success.

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1- If we classify people by income level, which group or groups must deal with scarcity? Ans- (d) All income groups, even the very rich. Scarcity can be defined as the state of being scarce or in short supply.

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If we classify people by income level, it may be tempting to assume that only lower-income groups must deal with scarcity due to their limited financial resources. Therefore, the correct option is d; all income groups.

However, the reality is that scarcity affects all income groups, even the very rich. This is because scarcity is not just about financial resources but also about the limited availability of goods and services in the economy. Even the wealthiest individuals and households must make choices about how to allocate their resources and prioritize their spending based on their own preferences and needs. In fact, the very wealthy may face unique forms of scarcity, such as the scarcity of time due to busy schedules and demanding careers.

Therefore, it is important to recognize that scarcity is a universal concept that affects everyone, regardless of their income level.

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match the terms with the appropriate definition. 1. third party consulted to make a final decision in order to resolve a conflict cognition 2. mental process used in gaining knowledge arbitration 3. disagreement long-term 4. activities outside the scope of your education that enhance personal development and pleasure conflict 5. conflict between individuals extracurricular activities 6. period of time lasting more than five years interpersonal conflict 7. connected, has bearing on a situation relevant

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A third party is consulted before making a final choice to settle a dispute: Arbitration. Using the mind to acquire knowledge Cognition. Conflict for a long time: Conflict between people. Extracurricular pursuits that advance your personal development and enjoyment: Activities outside of the classroom

1 - Arbitration is a process where an impartial third party is involved to help resolve a dispute or conflict between two or more parties. The arbitrator listens to both sides, considers evidence and arguments, and then makes a final decision that is binding on all parties involved.

2 - Cognition refers to the mental processes involved in acquiring knowledge and understanding. It includes processes such as perception, attention, memory, language, problem-solving, and decision-making. Cognition encompasses the ways in which individuals think, learn, and process information to form thoughts, beliefs, and judgments.

3 - Interpersonal conflict refers to a disagreement or conflict that occurs between individuals. It involves a clash of interests, values, or perspectives, and can arise in personal relationships, workplace settings, or any other social interaction. When a conflict persists over an extended period of time, it is considered long-term, indicating ongoing and unresolved issues between the individuals involved.

4 - Extracurricular activities are activities pursued outside the regular academic curriculum. They are often voluntary and can include sports, clubs, arts, community service, and other recreational or educational pursuits. These activities provide opportunities for personal growth, skill development, social interaction, and enjoyment beyond the formal educational setting.

5 - Interpersonal conflict, as mentioned earlier, refers to a conflict or disagreement between individuals. It can occur due to differences in opinions, goals, needs, or interpersonal dynamics. Interpersonal conflicts can arise in various contexts, such as personal relationships, work environments, or social interactions, and they often involve communication challenges and emotional tensions.

6 - The term "long-term" refers to a period of time that extends beyond a significant duration. In the context of conflicts or any other situation, a long-term period generally denotes a duration lasting more than five years.

7 - When something is relevant, it means it is connected or pertinent to a particular situation or context. Relevant information, factors, or considerations are important and have a meaningful impact on understanding, decision-making, or resolving a given matter. Relevance is often determined by its applicability and significance to the specific circumstances at hand.

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according to the is–lm model, when the government increases taxes and government purchases by equal amounts:

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According to the IS-LM model, when the government increases taxes and government purchases by equal amounts, the effect on the economy depends on the relative magnitudes of the multiplier effects of these two policy changes.
The IS-LM model shows the equilibrium in the goods and money markets, where the IS curve represents the equilibrium in the goods market and the LM curve represents the equilibrium in the money market.

When the government increases taxes, it reduces disposable income, which in turn reduces consumption spending. This shift in the IS curve leads to a decrease in equilibrium output and an increase in the equilibrium interest rate. The increase in the interest rate leads to a decrease in investment spending, which further reduces output.
On the other hand, when the government increases government purchases, it increases aggregate demand, leading to an increase in equilibrium output and an increase in the equilibrium interest rate. The increase in output leads to an increase in income and consumption spending, which further increases output.

Therefore, in the short run, the effect of an equal increase in taxes and government purchases on the economy is likely to depend on the relative magnitudes of the multiplier effects of these two policy changes. In general, the impact of an increase in government purchases on equilibrium output is likely to be larger than the impact of an equal increase in taxes, but the overall effect depends on the specific parameters of the model and the characteristics of the economy being considered.

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The out-of-pocket expenses incurred in producing a good are also known as:a. wages and prices.b. fiduciary costs.c. explicit costs.d. capital costs.e. implicit costs.

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Option C: explicit costs. These are the direct and tangible expenses that a company incurs in producing a good or service, such as raw materials, labor costs, and rent.

Explicit costs are a subset of total cost, which also includes implicit costs such as opportunity costs. Opportunity costs refer to the value of the next best alternative that must be forgone in order to produce a good or service. For example, if a company decides to produce product A, the implicit cost is the revenue that could have been earned by producing product B instead.

In summary, the out-of-pocket expenses incurred in producing a good are known as explicit costs, which are a subset of total cost that also includes implicit costs such as opportunity costs.

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If the Required Rate of Return (RRR) on a security is less than the Internal Rate of Return (IRR) on that security, then the:A. security should be purchased for investmentB. security should not be purchased for investmentC. security has a positive risk premiumD. security has a negative risk premium

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The correct answer is: A. If the Required Rate of Return (RRR) on a security is less than the Internal Rate of Return (IRR) on that security, then the security should be purchased for investment.

The RRR is the minimum rate of return that an investor expects to earn on a security, while the IRR is the rate of return that a security is expected to generate over its lifetime. If the IRR is greater than the RRR, it means that the security has the potential to generate more returns than what the investor expects.

The Required Rate of Return (RRR) is the minimum return an investor expects from an investment, while the Internal Rate of Return (IRR) represents the actual return generated by the investment. If the IRR is greater than the RRR, it means that the investment is generating returns above the investor's expectations, which makes it an attractive investment option.

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Please, help me with this problem. I need it asap. your careful answer is appreciated. Thank you.
A proposal is designed to provide an income guarantee for each person of $3000 per year. Thus, a family of 4 would have an income guarantee of $12,000.
a) The debate is whether the income guarantee should be phased out at a 25% tax rate or a 50% tax rate. What is the break-even income in each case? Comment on the costs of each plan.
b) Draw (daily) budget constraints with leisure on the x-axis and income on the y-axis (assuming the price of all-other-goods is $1) to illustrate the two proposals for a representative individual as well as the original budget constraint with no policy. Assume that an individual works, on average, 200 days per year so the $3000 income guarantee is equivalent to $15 per day. Also assume the wage rate is $5 per hour.
c) Graph a hypothetical indifference curve on each of the three budget constraints (no policy, the income guarantee with a 25% tax rate and the income guarantee with a 50% tax rate) for a representative individual. What do your tangency points suggest about the relative work disincentives of the two income redistribution programs?

Answers

a) Break-even income in this case is $12,000. b)  The intercept on the y-axis represents the maximum income achievable by working all 200 days. c) Tangency points on the indifference curves suggest that the income guarantee with a 50% tax rate creates a stronger disincentive for work compared to the income guarantee with a 25% tax rate.

a) To determine the break-even income in each case, we need to find the income level at which the individual is indifferent between receiving the income guarantee and not receiving it due to the tax rate.

For the 25% tax rate:

Let x be the individual's income before tax. After a 25% tax rate, the net income (N) would be 75% of x. The individual would receive the income guarantee of $3000 when x is equal to or below the break-even income (BE).

75% * x = x - $3000

0.25x = $3000

x = $3000 / 0.25

x = $12,000

The break-even income in this case is $12,000.

For the 50% tax rate:

Using the same approach, we have:

50% * x = x - $3000

0.5x = $3000

x = $3000 / 0.5

x = $6000

The break-even income in this case is $6000.

Comment on the costs of each plan:

The break-even income determines the income level at which the individual would no longer benefit from the income guarantee due to the tax rate. In the case of the 25% tax rate, the break-even income is higher ($12,000) compared to the 50% tax rate ($6000). This suggests that under the 25% tax rate plan, individuals with higher incomes can receive the income guarantee for a longer period, resulting in higher costs for the program. On the other hand, the 50% tax rate plan has a lower break-even income, which implies that individuals with lower incomes will phase out of the program sooner, reducing the overall costs.

b) To draw the budget constraints, we assume the price of all other goods is $1 and the income guarantee is $15 per day. The x-axis represents leisure (measured in days), and the y-axis represents income.

For the original budget constraint with no policy, the slope is equal to the wage rate ($5 per hour), and the intercept on the y-axis represents the maximum income achievable by working all 200 days.

For the income guarantee with a 25% tax rate, the slope of the budget constraint will be the wage rate ($5 per hour) multiplied by the tax rate (0.75) since the individual keeps 75% of their income after taxes.

For the income guarantee with a 50% tax rate, the slope will be the wage rate ($5 per hour) multiplied by the tax rate (0.5) since the individual keeps 50% of their income after taxes.

c) To graph the hypothetical indifference curve on each budget constraint, we assume the individual's preferences regarding leisure and income. The tangency points between the indifference curve and the budget constraint indicate the optimal allocation of leisure and income for the representative individual.

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management by objectives (mbo) is a management technique often used to develop and carry out ____.

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Management by objectives (MBO) is a management technique that focuses on developing and carrying out- specific goals and objectives for an organization or team.

What does it involve?

It involves setting clear, measurable objectives that align with the overall mission and vision of the organization, and then establishing a plan to achieve those objectives.

This process typically involves regular check-ins and evaluations to ensure progress is being made, and adjustments are made as needed to keep everyone on track.

MBO can be an effective way to motivate and engage employees, as it provides clear direction and purpose for their work, and allows them to see the impact of their efforts on the overall success of the organization.

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What are advantages of using structured questionnaires for job analysis?

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There are several advantages of using structured questionnaires for job analysis. Firstly, they provide a standardized approach to collecting information about job duties, responsibilities, and requirements.

This ensures consistency in the data collected, which can be helpful in comparing different jobs and identifying patterns across job roles. Secondly, questionnaires can be used to gather data from multiple sources, such as employees, supervisors, and managers, which can provide a more comprehensive picture of the job. Thirdly, questionnaires can be administered in a relatively short period of time and can be easily distributed to a large number of participants, making them a cost-effective and efficient way of gathering data. Overall, structured questionnaires are an effective tool for conducting job analysis and can provide valuable insights into job roles and requirements.

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one of the best ways to gain credibility for your message is to support it with objective evidence.

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Hi! One of the most effective ways to gain credibility for your message is by supporting it with objective evidence. By doing so, you provide reliable and unbiased information, which strengthens your argument and increases trust in your message.

That is absolutely correct. When you support your message with objective evidence, it demonstrates that you have done your research and have a solid understanding of the topic at hand. This can help to establish your credibility and build trust with your audience. It also helps to strengthen your argument, as objective evidence provides factual support for your claims. So, if you want to gain credibility for your message, be sure to back it up with objective evidence.


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One purpose of the PMO is to handle management-related issues in multi-project organizations that individual project managers cannot handle.
True or false

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True. One purpose of the PMO (Project Management Office) is to handle management-related issues in multi-project organizations that individual project managers cannot handle. The PMO provides support, guidance, and centralization of resources to improve project efficiency and success.

True. The purpose of a Project Management Office (PMO) is to provide centralized management and oversight of projects in an organization. The PMO is responsible for ensuring that projects are aligned with the organization's objectives and are completed on time, within budget, and to the required quality standards. In multi-project organizations, the PMO is particularly important because it can handle management-related issues that individual project managers may not be able to handle. These may include resource allocation, project prioritization, and conflict resolution.

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which of the following would be used as the base amount for vertical analysis of the balance sheet?

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In the vertical analysis of the balance sheet, the base amount is always the total assets or total liabilities and equity, depending on whether the analysis is being done for the asset side or liability and equity side.
In the context of vertical analysis of a balance sheet, the base amount typically refers to the total assets or total liabilities and equity. These base amounts are used as a benchmark to calculate the percentages of each individual item on the balance sheet, allowing for easier comparisons and assessment of financial health. The vertical analysis of a financial statement entails comparing a company's information to base data. This analysis is similarly connected to the industry average analysis.

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paying an online journal a monthly fee for access to its content is called the __________ revenue model.

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The revenue model for paying an online journal a monthly fee for access to its content is called the subscription revenue model.

The subscription revenue model is a type of business model where customers pay a recurring fee to access a company's products or services. In the case of online journals, readers pay a monthly or yearly fee to access the content published on the website. This revenue model allows the online journal to generate a steady stream of income and provides readers with exclusive content that they cannot access for free. The subscription revenue model has become increasingly popular in recent years, especially with the rise of digital media and the decline of print publications. Many online journals have implemented this revenue model as a way to monetize their content and sustain their operations.

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What prevents the market system from achieving a clean environment on its own? a. Externalities. b. Inefficiently managed business. c. Remainders. d. SIPs.

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Option (a), Externalities refer to the costs or benefits that are not reflected in the market price of goods and services. In the case of environmental pollution, the cost of cleaning up the pollution is often not factored into the cost of production, resulting in market failure.

Inefficiently managed business practices. Companies that prioritize short-term profits over long-term environmental sustainability may engage in practices that harm the environment, such as overuse of resources or improper disposal of waste. Additionally, remainders, or the waste products and byproducts of production, can also contribute to environmental degradation.

However, it is worth noting that government interventions, such as State Implementation Plans (SIPs), can help address these issues and encourage businesses to adopt more environmentally-friendly practices. Overall, achieving a clean environment requires a combination of market-based incentives and government regulation to ensure that all costs and benefits are properly accounted for.

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The following order of activities represents a __________ supply chain model.

SELL -> BUY COMPONENTS AND MATERIALS -> MANUFACTURE -> DELIVER

a. anticipatory
b. forecast driven
c. allocation type
d. push type
e. pull type

Answers

The following order of activities represents a push-type supply chain model. In a push-type model, suppliers anticipate demand and produce and deliver products to retailers and distributors without waiting for actual customer orders.

In this case, the order of activities starts with selling, indicating that products are already produced and available for sale. The next step is to buy components and materials, followed by the manufacturing process. This approach is commonly used when demand is stable, and suppliers have a good understanding of customer needs. However, this model can result in excess inventory, which can be costly for companies. In contrast, a pull-type supply chain model is demand-driven, where production and delivery are based on actual customer orders. This approach reduces the risk of excess inventory and improves efficiency in the supply chain.
The order of activities you provided represents a "d. push type" supply chain model. In a push supply chain, the manufacturer produces goods based on forecasts and market demand. The process begins with selling a product, followed by buying components and materials, then manufacturing the product, and finally delivering it to the customer. This approach relies on predictions and anticipations of demand, making it less responsive to real-time changes in the market. The push model is often contrasted with the pull supply chain model, where production is driven by actual customer demand rather than forecasts.

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Answer each of the following questions assuming the economy is experiencing a negative output gap. a. Is Inflation decreasing, increasing, or stable (Click to select) decreasing increasing stable b. Is actual output greater than or less than pa Click to select) C. Is unemployment rising or falling? (Click to select). d. Is the Federal Reserve more likely to pursue expansionary or contractionary monetary policy? (Click to select) e. Is the economy likely experiencing an expansion or contradiction? (Click to select) Suppose the velocity of money decreases because consumers become more reluctant to spend. If the money supply is unchanged and prices can't adjust in the short run (sticky prices), then according to the quantity theory of money, what must happen to short-run output? It will remain unchanged. It will increase It will decrease. 1. In the long run, monetary policy has a lasting impact only o V (Click to select) employment the price level

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a. decreasing
b. less than pa
c. rising
d. expansionary
e. contradiction
If the velocity of money decreases and the money supply is unchanged, according to the quantity theory of money, short-run output will decrease.
In the long run, monetary policy has a lasting impact only on the price level.

When something is described as "unchanged," it means that it remains the same or undergoes no alteration or modification over a given period or in a particular context. The term implies a lack of difference or variation in a specific characteristic, condition, state, or value. Unchanged signifies stability, constancy, or continuity, indicating that there has been no discernible change or adjustment in the subject of discussion. It suggests that the object or situation under consideration has remained unchanged in terms of its properties, qualities, status, or position. Unchanged can be used to describe various aspects, such as unchanged prices, unchanged policies, unchanged conditions, or unchanged circumstances.

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when global companies outgrow an international division, that is when they become a global enterprise requiring a more advanced structure.
true or false

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"When global companies outgrow an international division, it indicates their transition into a global enterprise that necessitates a more advanced structure". The statement is true.

As companies expand their operations globally, their organizational structure needs to evolve to accommodate the increased complexity and scale of their operations. Initially, companies may establish an international division to oversee their overseas activities.

However, as these companies continue to grow and expand their global presence, they often outgrow the capabilities and scope of an international division. At this point, they transition into a global enterprise, requiring a more advanced and integrated structure.

This advanced structure enables effective coordination and management of operations across multiple countries and regions, facilitating the company's ability to operate as a cohesive global entity. Therefore, the statement is true.

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Before Freud, entertainment was widely considered to be... 1 Psychologically damaging 2Sinful 3Critical to survival 4just fun, no big deal 5All of the above 6 None of the above

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The answer would be both option 1 and 2 i.e. Psychologically damaging and sinful. Hence, before Freud, entertainment was widely considered to be both psychologically damaging and sinful.

Before Freud, entertainment was widely considered to be a mix of options 1 and 2 - psychologically damaging and sinful. Many people believed that indulging in entertainment was harmful to one's mental health and could lead to immoral behavior. However, there were also those who saw it as just for fun, and not a big deal. Freud's theories on the importance of pleasure and the unconscious mind helped to shift attitudes towards entertainment, and it is now generally considered to be a valuable aspect of life for enjoyment and relaxation.

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Persuading an employee to take on additional work during a busy shift at McDonald's is______.

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Answer:

Persuading an employee to take on additional work during a busy shift at McDonald's is___interpersonal skills___.

How well do portfolio theory and capital market theory work for commercial real estate? Explain. Be thorough.

Answers

Portfolio theory and capital market theory are essential frameworks that can be applied effectively to commercial real estate investments.

Portfolio theory helps investors create a diversified investment portfolio by combining various assets with different risk-return profiles. By including commercial real estate in a portfolio, investors can benefit from diversification, reducing overall risk without compromising expected returns.

Capital market theory, on the other hand, describes the relationship between expected returns and risks for investments in the market. The theory assumes that higher risk investments yield higher returns, while lower risk investments yield lower returns. Commercial real estate can be an attractive investment option in this context, as it may provide higher returns compared to other low-risk investments, such as bonds.

Both portfolio theory and capital market theory work well for commercial real estate investments, as they provide valuable insights and strategies for managing risks and maximizing returns. However, investors should also consider factors unique to commercial real estate, such as location, property type, and market conditions, which may not be fully captured by these theories alone.

By combining these theories with industry-specific knowledge, investors can make informed decisions and create well-balanced portfolios that include commercial real estate.

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The Services Provided By A Prime Brokerage Include 1. Clearing Services II. Securities Lending III. Margin Financing

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The prime brokerage provides three main services: clearing services, securities lending, and margin financing.

Clearing services refer to the process of settling trades and ensuring that they are properly recorded and paid for. Securities lending involves lending securities to other institutions or individuals for a fee. Margin financing involves lending money to clients to help them purchase securities. These three services are key to the functioning of the financial markets and are essential for institutional investors and high net worth individuals who require sophisticated financial services.

1. Clearing services: Prime brokerages facilitate the clearing of trades, meaning they help settle transactions between buyers and sellers, ensuring the proper transfer of securities and funds.

2. Securities lending: Prime brokerages offer securities lending services, which involve lending stocks or other securities to investors, typically for short selling purposes. They locate the securities, manage the lending process, and collect collateral from the borrowers.

3. Margin financing: Prime brokerages provide margin financing to clients, allowing them to borrow funds to invest in securities. This service increases clients' buying power and enables them to leverage their investments for potentially higher returns.

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why should the manager have the pco apply pesticides in the foodservice operation?

Answers

The manager should have the PCO (Pest Control Operator) apply pesticides in the foodservice operation to prevent the infestation of pests and ensure the safety and sanitation of the food and environment.

What is it?

Pests like rodents, insects, and birds can carry harmful bacteria and diseases that can contaminate the food and cause health hazards to the customers and staff. Moreover, pests can damage the facility's structure, equipment, and reputation.

The PCO is licensed and trained to use pesticides safely and effectively, following the regulations and guidelines of the EPA (Environmental Protection Agency).

The manager should also communicate with the PCO about the types and amounts of pesticides used and their potential risks and hazards to minimize any negative impacts on the environment and human health.

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Vincent is a 50% partner in the TAV Partnership. He became a partner three years ago when he contributed land with a value of $60,000 and a basis of $30,000 (current value is $100,000). Tyler and Anita each contributed $30,000 cash for a 25% interest. Vincent’s basis in his partnership interest is currently $150,000; the other partners’ bases are each $75,000. The partnership has the following assets:
In general terms, describe the tax result if TAV distributes a $50,000 interest in the land each to Tyler and Anita and $100,000 of accounts receivable to Vincent at the end of the current year. Calculations are not required.

Answers

If TAV Partnership distributes a $50,000 interest in the land to each Tyler and Anita and $100,000 of accounts receivable to Vincent at the end of the current year, the tax result will depend on several factors, including the partners' individual tax situations and the partnership's tax basis in the assets being distributed.

In general, when a partnership distributes assets to its partners, it is considered a non-liquidating distribution. The tax consequences will vary based on whether the distributed assets have built-in gains or losses compared to their tax basis.

If the distributed assets have appreciated in value, the partners may recognize taxable gain upon receipt. If the distributed assets have depreciated in value, the partners may recognize the deductible loss.

Furthermore, the partners' bases in their partnership interests may be adjusted as a result of the distribution, which could impact their tax consequences in future years. It is important for the partners to consult with a tax advisor to determine the specific tax implications of the distribution based on their individual circumstances and the partnership's tax attributes.

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suppose the government lowers taxes, leaving households with more disposable income, with no corresponding reduction in government purchases. in the accompanying diagram, shift the ad, lras, and/or sras curves and move the equilibrium point to its new position to demonstrate how the economy moves from one long-run macroeconomic equilibrium to another.

Answers

When the government lowers taxes, it increases the disposable income of households, meaning individuals and families have more money available to spend or save. This change in fiscal policy can have implications for the macroeconomic equilibrium of an economy.

Here's how the economy can move from one long-run macroeconomic equilibrium to another as a result of lower taxes:

Increase in Disposable Income: Lower taxes result in higher disposable income for households. With more money in hand, households may increase their consumption spending.

Increase in Aggregate Demand (AD): Higher consumption spending leads to an increase in aggregate demand. Aggregate demand is the total spending on goods and services in the economy.

Short-Term Impact: Initially, the increase in aggregate demand may create a short-term gap between aggregate demand (AD) and aggregate supply (AS). This can lead to a temporary increase in output and employment in the economy.

Wage and Price Adjustments: As the economy operates above its long-run potential output, the increased demand may put upward pressure on wages and prices.

Increase in Costs: Higher wages and prices increase the costs of production for firms, reducing their profitability.

Reduction in Aggregate Supply (AS): Firms respond to increased costs by reducing their level of production, leading to a decrease in aggregate supply.

Return to Long-Run Equilibrium: The reduction in aggregate supply helps the economy return to its long-run equilibrium level of output and employment, where aggregate demand (AD) is equal to aggregate supply (AS) once again.

In summary, when the government lowers taxes without corresponding reductions in government purchases, it stimulates consumption spending, leading to an increase in aggregate demand. In the short term, this can create a temporary gap between aggregate demand and aggregate supply. However, as costs increase due to higher wages and prices, aggregate supply adjusts, and the economy eventually returns to a new long-run macroeconomic equilibrium.

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Allocating products with long lines, using a first-come, first-served system, is: A. efficient, since people who are willing to wait the longest get the products.
B. necessary when waiting is a costless exercise.
C. the only way scarce goods can be allocated.
D. inefficient, because waiting wastes time.

Answers

The answer is A. Allocating products with long lines, using a first-come, first-served system, is efficient since people who are willing to wait the longest get the products.

While waiting may seem like a waste of time, it is a necessary part of the first-come, first-served system and ensures fairness in the allocation of scarce goods. Waiting may also be seen as a cost that some individuals are willing to pay in order to obtain the product they desire. However, it is not the only way scarce goods can be allocated, and in some cases, alternative allocation methods may be more appropriate.

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the purchase of government bonds by the fed leads to a(n):____.

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The purchase of government bonds by the Fed leads to an increase in the money supply.

When the Federal Reserve (Fed) purchases government bonds, it conducts open market operations to inject money into the economy. The primary objective of such purchases is to increase the money supply within the financial system.

The purchase of government bonds by the Fed is a form of expansionary monetary policy. By buying government bonds from banks and financial institutions, the Fed effectively increases the reserves held by these institutions. This, in turn, allows banks to increase their lending capacity, as they have more funds available to loan out.

The increased lending activity stimulates economic growth by providing businesses and individuals with more access to credit. As a result, the money supply in the economy expands, which can lead to increased spending, investment, and economic activity.

The purchase of government bonds by the Fed is a tool used to manage monetary policy and influence interest rates, inflation, and overall economic conditions. By adjusting the money supply through open market operations, the Fed seeks to achieve its dual mandate of promoting price stability and maximizing employment.

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which of the following are some reasons that professional selling can be a satisfying career? :
a. flexibility
b. autonomy
c. lifestyle
d. companionship
e. low stress(check all that apply.)

Answers

Professional selling can be a satisfying career due to several reasons, including flexibility, autonomy, lifestyle benefits, companionship, and low stress.

Flexibility is a key advantage of a career in professional selling. Salespeople often have the freedom to create their own schedules and manage their time according to their preferences. This flexibility allows them to strike a balance between work and personal life, making it a rewarding career choice.

Autonomy is another appealing aspect of professional selling. Sales professionals are typically given a certain level of independence in their roles, allowing them to make decisions and implement strategies that align with their strengths and expertise. This autonomy fosters a sense of ownership and control, contributing to job satisfaction.

The lifestyle benefits associated with professional selling also contribute to its appeal. Successful salespeople often enjoy financial rewards and recognition for their achievements. They may have access to incentives such as bonuses, commissions, and performance-based rewards, which can greatly enhance their quality of life.

Companionship is an underrated aspect of a sales career. Sales teams often foster a supportive and collaborative environment, promoting a sense of camaraderie among colleagues. The opportunity to build relationships and network with clients and peers can be fulfilling and rewarding, both personally and professionally.

Furthermore, compared to certain other high-pressure careers, professional selling can offer relatively lower stress levels. Although sales can be demanding, sales professionals often have control over their workloads and can manage stress through effective time management and prioritization. This lower stress environment can contribute to overall job satisfaction and work-life balance.

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