Mr. Roy is a sincere and hardworking person who does his job quietly and does not like to argue much. He prefers to write notes and send written messages instead of face-to-face interaction. He is being given the responsibility of leading a team to handle a prestigious project. But before that he has to get the project approved by the board of directors. Can you suggest what style of communication he should use to make it a success?

Answers

Answer 1

Answer:

Assertive Communication Style

Explanation:

The best communication style for Mr. Roy in this scenario would be an Assertive Communication Style. This style would allow Roy to properly and efficiently explain to the board of directors the various details and benefits of the project in order for it to get approved. Since Mr. Roy does not like face-to-face interactions this would be the best style since, when written, this style is displayed as professional and to the point as opposed to other styles such as an aggressive or manipulative style which comes off as angry or demanding and can jeopardize the presentation.


Related Questions

You are being actively recruited by a banking institution with a reputation for a weak corporate culture. What aspect of this bank's culture would most STRONGLY impact your decision to accept or reject an offer from this company?A. The company has revered traditions, values, and behavioral norms that mobilize commitment to executing the chosen strategy. B. The company is unreceptive to change, and people who champion new ways of doing things do not last long on the job. C. There is virtually no employee support for the company's strategic vision and strategy. D. The company has a dearth of intellectual capital and shows inattention to building core competencies. E. There is no code of ethics, and the company has little regard for high ethical standards.

Answers

Answer: E. There is no code of ethics, and the company has little regard for high ethical standards.

Explanation:

While all the options are good enough to impart one's decision to avoid this company, ethics is simply non-negotiable. This is a banking institution which means that they handle people's money. If they engage in unethical ways and show little regard for high ethical standards, people will be hurt directly.

In order not to be complicit in this, it is best to avoid the company because banking institutions without codes of ethics or adherence to high ethical standards never last long.

Given the lack of formal structure, how important do you think Gore’s informal structure becomes?

Answers

Answer:

The lack of a formal structure makes Gore's informal structure more important as it creates social bonds among workers, which help to propel productivity in the workplace.

Explanation:

Gore's informal structure encourages the creation of rapport among workers outside the workplace.  The social relationships that are developed by the workers enable them to tackle challenges and ensure the smooth running of the organization.  Workers' morale is boosted through social relationships.  Cohesion is created with social bonding and understanding.  This helps the workers to work together to achieve organizational goals without the benefit of any formal structure.

The lack of formal structure makes Gore's informal structure more important for organizational processes, as it narrows social and professional relationships within a company.

Some advantages of the informal structure:

Greater organizational communication.Faster decision making.Increased motivation.Conflict reduction.Increased innovation and creativity.

Therefore, the informal structure makes an organization more flexible, where employees feel more motivated to carry out innovative and productive work with the internal environment more focused on employee development.

Learn more here:

https://brainly.com/question/6476633

A company paid $326,000 for property that included land, land improvements, and a building. The land was appraised at $175,000, the land improvements were appraised at $70,000, and the building was appraised at $105,000. What is the allocation of property costs to the three assets purchased and what is the journal entry to record this transaction?a) Land, $150,000. Land Improvements, S60,000; Building, $90,000 b) Land, $163,000; Land Improvements, $65,200; Building, $97,800 c) Land, $150,000; Land Improvements, $61,600; Building, $92,400 d) Land, $159,000; Land Improvements, $65,200; Building, $95,400 e) Land, $175,000; Land Improvements, $70,000; Building, $105,000

Answers

Answer: b) Land, $163,000; Land Improvements, $65,200; Building, $97,800

Explanation:

First add up their appraised values;

= 175,000 + 70,000 + 105,000

= $350,000

Allocate costs based on proportion of total appraised value;

Land

= 175,000/350,000 * 326,000

= $163,000

Land Improvements

= 70,000/350,000 * 326,000

= $65,200

Building

= 105,000/350,000 * 326,000

= $97,800

Journal Entry

Details                                                                   Debit                     Credit

Land                                                                    $163,000

Land Improvements                                          $65,200

Building                                                               $97,800

Cash                                                                                                   $326,000

Alex and Tory are married and filing jointly. Their gross income is
$150,000. How much do they owe in federal taxes?

Answers

Answer:

$27,009.00

Explanation:

Please mark brainliest

Amount owe in federal taxes is $9,889

Tax based problem:

Given that;

Gross income = $150,000

Married and filing jointly

Find:

Amount owe in federal taxes

Computation:

Taxable Income = Gross Income - Standard Deduction

Taxable Income = $150,000 - $24,800

Taxable Income = $125,200

Tax rate slab between [$80,250 to $171,050] is 22%

So,

Amount owe in federal taxes = 22%[125,200 - 80,250]

Amount owe in federal taxes = $9,889

Find out more information about 'Federal taxes'.

https://brainly.com/question/24543854?referrer=searchResults

WILL MARK THE BRAINIEST!!!

Think about how human resources are handled at the company you work for, or one you have worked for in the past. Must write seven sentences and answer all three questions completely !!!

1. What steps of the human resources cycle does the company handle well? Why?

2. What steps of the human resources cycle are handled poorly? Why?

3. How is culture impacted by the Human Resources department?

Answers

Human Resource Management (HRM) is the term used to describe formal systems devised for the management of people within an organization. The responsibilities of a human resource manager fall into three major areas: staffing, employee compensation and benefits, and defining/designing work.
and that is all!!

The risk-free rate is 3.8 percent and the market expected return is 11.5 percent. What is the expected return of a stock that has a beta of 1.23?

Answers

Answer:Expected return=13.27%

Explanation:

Using the CAPM,  capital asset pricing model formula

we have that

Expected return = Risk free rate + Beta ( Market risk premium)

Expected return = Risk free rate + Beta ( Market expected return - Risk free rate

Er =  rf +β( rm - rf )

 Expected return=3.8% + 1.23 ( 11.5% -3.8%)

Expected return=0.038 + 1.23 (0.115-0.038)

Expected return = 0.038 + 1.23 x 0.077

Expected return = 0.038 +0.09471

Expected return = 0.13271 x 100 = 13.27%

what is the purpose of work teams ?

Answers

Answer:

The purpose of creating teams is to provide a framework that will increase the ability of employees to participate in planning, problem-solving, and decision-making to better serve customers. Increased participation promotes: A better understanding of decisions.

On September 1, ABC Company borrowed $50,000 on a 6%, 9-month note payable to XYZ National Bank. Given no previous adjusting entries have been recorded, ABC's adjusting entry at December 31 would include a:________.
a. debit to Interest Expense of $3,000.
b. debit to Interest Expense of $2,250.
c. debit to Interest Expense of $1,000.
d. debit to Interest Expense of $750.

Answers

Answer:

c. debit to Interest Expense of $1,000.

Explanation:

The adjusting entry is as follows:

Interest expense Dr ($50,000 × 6% × 4 months ÷ 12 months) $1,000

     To Interest payable $1,000

(Being the interest expense is recorded)

Here interest expense is debited as it increased the expense and credited the interest payable as it also increased the liabilities

Therefore the correct option is c.

After implementing activity-based costing to estimate customer-level technical support costs, ABC Company found that customer X is unprofitable. What are reasonable ways to deal with this customer? Select ALL correct answers (you might need to select more than one answer). a) charge the customer a higher price per unit (assume that you can charge different customers different prices for the same product or service) b) limit the number of free technical-support calls per customer c) if nothing else works, "fire" the customer d) charge a fee per technical-support call e) trick question -- it is impossible to estimate customer-level profitability

Answers

Answer:

b) limit the number of free technical-support calls per customer

d) charge a fee per technical-support call

Explanation:

In the case when a company implements the ABC costing so here it identified the profitable group i.e. the high profitable customer would be 30% and the 40% i.e. less profit is considered as a making customer

And, the left balance would be either less or non-profitable

So as per the given situation, the option B and the option D is correct and the same is to be considered

gold mine is projected to produce $20,000 during its first year of operation, $19,000 the second year, $18,000 the third year, and so on. If the mine is expected to produce for a total of 10 years, and the effective annual interest rate is 6%, what is its present worth?

Answers

Answer:

malamang ang sagot ay 14% have

Explanation:

: IAS 2 Inventories allows producers of gold and silver to measure inventories of those commodities at selling price, even before they have sold it, which means a profit is recognised at production. In nearly all other industries, however, profit is recognised only when the inventories are sold to outside customers. What concept(s) in the Conceptual Framework might the IASB have looked to with regard to accounting for gold and silver production

Answers

Answer:

Not only does IAS 2 norm allow this, also US GAAP allows this. I believe that the reasoning behind that is the following:

Holding precious metals in inventory is actually considered an investment. Precious metals are commodities, and since they can be easily traded around the world, just having them increases a company's wealth. The revenue recognition principle (top of the inverted pyramid) applies here even to any individual that finds gold nuggets by accident in the country side (no need to be a mining business). The fact that you possess gold increases your personal assets and net wealth. The same applies to other precious metals. This happens because gold or other precious metals can be easily converted into cash (extremely liquid), e.g. this same individual can go to a local jewelry or or a pawn shop and sell the gold nuggets he found.

If finding a gold nugget increases an individual's net worth, then imagine what holding a ton of gold does to a company. What makes gold and silver so special is that they are accepted everywhere. Remember that until the early 1970s, the worlds' currencies were based on the price of gold (gold standard). Most central banks in the wold hold gold reserves and they also follow this same logic. Price of gold increases, the wealth of the nation increases.

On January 1, Reynolds Inc. issued four-year bonds with a face value of $100,000. The bonds have a stated interest rate of 5 percent. When the bonds were issued, the market interest rate was 4 percent. The bonds pay interest once per year on December 31. Over the entire life of the bond, how much Interest Expense will Reynolds recognize related to this bond?

Answers

Answer:

$16,350

Explanation:

Issuance price = Present value of interest*PVIAF (5%, 4) + Present value of maturity amount PVIF (4%, 4)

Issuance price = $100000*5%*3.630+100000*0.855

Issuance price = $103,650

Premium on bond issue = $103,650 - $100,000

Premium on bond issue = $3,650

Total interest payment = 100000*5%*4

Total interest payment = $20,000

Interest Expense entire life of the bond = Total interest payment-Premium on bond issue

Interest Expense entire life of the bond = $20,000 - $3.650

Interest Expense entire life of the bond = $16,350

What is the value today of receiving $4,500 at the end of each year for the next four years, assuming an interest rate of 12% compounded annually?

Answers

Answer: The correct answer should be: a. $118.

References: Solution: A = P(A/P , i, n)

A = 4,500(A/P, 1%, 48) = (4,500)(0.0263) = $118.35

(im sorry if im wrong)

Do you know da way?
⢀⢀⢀⢀⢀⢀⢀⢀⢀⢀⠶⣿⣭⡧⡤⣤⣻⣛⣹⣿⣿⣿⣶⣄
⢀⢀⢀⢀⢀⢀⢀⢀⢀⣼⣊⣤⣶⣷⣶⣧⣤⣽⣿⣿⣿⣿⣿⣿⣷
⢀⢀⢀⢀⢀⢀⢀⢀⢀⢻⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⡇
⢀⢀⢀⢀⢀⢀⢀⣠⣶⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣧
⢀⢀⢀⢀⢀⢀⠸⠿⣿⣿⠿⣿⣿⣿⣿⣿⣿⣿⡿⣿⣻⣿⣿⣿⣿⣿⡆
⢀⢀⢀⢀⢀⢀⢀⢸⣿⣿⡀⠘⣿⡿⢿⣿⣿⡟⣾⣿⣯⣽⣼⣿⣿⣿⣿⡀
⢀⢀⢀⢀⢀⢀⡠⠚⢛⣛⣃⢄⡁⢀⢀⢀⠈⠁⠛⠛⠛⠛⠚⠻⣿⣿⣿⣷
⢀⢀⣴⣶⣶⣶⣷⡄⠊⠉⢻⣟⠃⢀⢀⢀⢀⡠⠔⠒⢀⢀⢀⢀⢹⣿⣿⣿⣄⣀⣀⣀⣀⣀⣀
⢠⣾⣿⣿⣿⣿⣿⣿⣿⣶⣄⣙⠻⠿⠶⠒⠁⢀⢀⣀⣤⣰⣶⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣷⣄
⢿⠟⠛⠋⣿⣿⣿⣿⣿⣿⣿⣟⡿⠷⣶⣶⣶⢶⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⡄
⢀⢀⢀⢀⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣷⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⠉⠙⠻⠿⣿⣿⡿
⢀⢀⢀⢀⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⢀⢀⢀⢀⠈⠁
⢀⢀⢀⢀⢸⣿⣿⣿⣿⢻⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿
⢀⢀⢀⢀⢸⣿⣿⣿⣿⣄⠈⠛⠿⣿⣿⣿⣿⣿⣿⣿⡿⠟⣹⣿⣿⣿⣿⣿⣿⣿⣿⠇
⢀⢀⢀⢀⢀⢻⣿⣿⣿⣿⣧⣀⢀⢀⠉⠛⠛⠋⠉⢀⣠⣾⣿⣿⣿⣿⣿⣿⣿⣿⠏
⢀⢀⢀⢀⢀⢀⢻⣿⣿⣿⣿⣿⣷⣤⣄⣀⣀⣤⣴⣾⣿⣿⣿⣿⣿⣿⣿⣿⡿⠋
⢀⢀⢀⢀⢀⢀⢀⠙⠿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⠛
⢀⢀⢀⢀⢀⢀⢀⢀⢀⢹⣿⡿⢿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⣿⡟⠁
⢀⢀⢀⢀⢀⢀⢀⢀⢀⢸⣿⡇⢀⠈⠙⠛⠛⠛⠛⠛⠛⠻⣿⣿⣿⠇
⢀⢀⢀⢀⢀⢀⢀⢀⢀⣸⣿⡇⢀⢀⢀⢀⢀⢀⢀⢀⢀⢀⢨⣿⣿
⢀⢀⢀⢀⢀⢀⢀⢀⣾⣿⡿⠃⢀⢀⢀⢀⢀⢀⢀⢀⢀⢀⢸⣿⡏
⢀⢀⢀⢀⢀⢀⢀⢀⠻⠿⢀⢀⢀⢀⢀⢀⢀⢀⢀⢀⢀⢠⣿⣿⡇

Answers

Answer:

that is really good

Explanation:

Consider the restaurant Jack in the Box. As a student, you visit Jack in the Box every week. After graduating college, you (and many other students) started a job paying more than $60,000 per year. Assuming that the number of graduating students is large enough to influence the market, what will happen to the equilibrium price and quantity of Jack in the Box burgers

Answers

Answer:

well there is many factors that can effect this. the burgers will go up because that's what you are used to eating and find comfort in. and the other college students will also eat there.

Continuous innovation products are the most typical forms of innovation we see among new products every year. The primary reason a brand manager would support innovation investment in such products is:_______

a. Wholesalers more likely to stock larger inventory levels
b. Greater profit per unit
c. All are valid options
d. Longer product life cycle
e. Lower investment cost

Answers

Answer:

d. Longer product life cycle

Explanation:

Continuous innovation products are the most typical forms of innovation we see among new products every year. The primary reason a brand manager would support innovation investment in such products is Longer product life cycle. In this case of continuous product innovation, the product life cycle is longer in comparison to the existing ones and this is based on the factor that it possess additional factors or attributes that will contribute towards the same.

Hockey Pro budgets production of 4,100 hockey pucks during May. The company assigns variable overhead at the rate of $1.50 per unit. Fixed overhead equals $45,000 per month. Prepare a factory overhead budget for May.

Answers

Answer:

Total manufacturing overhead= $51,150

Explanation:

Giving the following information:

Hockey Pro budgets production of 4,100 hockey pucks during May. The company assigns variable overhead at the rate of $1.50 per unit. Fixed overhead equals $45,000 per month.

Manufacturing overhead budget:

Total fixed overhead= 45,000

Total variable overhead= 1.5*4,100= 6,150

Total manufacturing overhead= $51,150

Suppose that the inflation rate is 2% and the real interest rate is 4%. What is the nominal interest rate?

Answers

Answer:

nominal interest rate= 0.07= 7%

Explanation:

Giving the following information:

Inflation rate= 3%

Real interest rate= 4%

To calculate the nominal interest rate, we need to use the following formula:

Real interest rate= nominal interest rate - inflation rate

0.04 = nominal interest rate - 0.03

0.07= nominal interest rate

According to the IRR decision rule, you accept a project if:_________
a) the IRR is greater than or equal to 1.0.
b) the IRR is greater than or equal to the required return (i.e., cost of capital).
c) None of these are correct.
d) the IRR is less than the required return (i.e., cost of capital).
e) the IRR is greater than or equal to 0%.

Answers

Answer:

(d ) .the IRR is less than the required return.

Endogenous growth theory rejects the assumption of exogenous:_________.a. population growth rates. b. production functions. c. rates of depreciation. d. technological change.

Answers

Answer:

d. technological change.

Explanation:

Endogenous growth theory can be defined as a theory which states that the growth of a company is directly related to its internal factors such as number of employees, policies, etc and not external factors.

Endogenous growth theory rejects the assumption of exogenous technological change.

Suppose you win a small lottery and you are given the following choice: You can receive (1)an immediate payment of $10,000 or (2)two annual payments,each in the amount of $5,200,with the first payment coming one year from now,and the second payment coming two years from now.You would choose to take the immediate payment of $10,000 if the interest rate is:________.
A) 2 percent,but not if the interest rate is 1 percent.
B) 3 percent,but not if the interest rate is 2 percent.
C) 4 percent,but not if the interest rate is 3 percent.
D) 5 percent,but not if the interest rate is 4 percent.

Answers

Answer: B) 3 percent, but not if the interest rate is 2 percent.

Explanation:

Assuming the interest rate is 1%, the present value of the two year payments is;

= (5,200 / ( 1 + 1%)) +  (5,200 / ( 1 + 1%)²)

= $10,246.05

Assuming rate is 2%.

= (5,200 / ( 1 + 2%)) +  (5,200 / ( 1 + 2%)²)

= $10,096.12

Assuming rate is 3%

= (5,200 / ( 1 + 3%)) +  (5,200 / ( 1 + 3%)²)

= $9,950.04

At 3%, the present value of the annual payment is less than the value you could be paid today so you would take the $10,000 instead.

At 2% however, the present value of the annual payments is more than the value you could collect today so you would not take the $10,000.

Excey Corp. has 7 percent coupon bonds making annual payments with a YTM of 6.2 percent. The current yield on these bonds is 6.55 percent.
How many years do these bonds have left until they mature? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer:

12.64 years

Explanation:

Coupon rate is 7%

Current yield is 6.55%

Then the current price = 7 / 0.0655 = $106.87 per $100 par value.

Now calculating the no of years these bonds have left until they mature:

106.87 = 7*PVIFA(6.2%,n) + $100*PVIF(6.2%,n)

N = 12.64 years

Question 5 of 10
A bank analyzes potential borrowers' debt-to-income ratio in order to find out:
O A. whether they have ever failed to make timely payments on other
loans.
OB. how much money they owe in other debts compared to how much
they earn.
O c. the value of their house and car, which can be used as collateral
for a loan.
O D. the total amount of debt they have accumulated and paid off over
a lifetime.
SUBMIT

Answers

The bank analyzes potential borrowers' debt-to-income ratio in order to find out option b. how much money they owe.

What is the debt to income ratio?

It is the rato that shows in the percentage form with respect to the gross income to the paying debts.

So at the time when the bank analyzes potential borrower so here the money that owe should be compared with the earning amount.

Hence, the option b is correct.

Learn more about ratio here: https://brainly.com/question/24542733

Jonathon works for a U.S. company that doesn't produce goods domestically, but instead buys them from other countries and resells them in the United States. Jonathon's company illustrates the concept of
A. countertrade.
B. subcontracting
C. exporting
D. importing.
E. outsourcing

Answers

Answer:

A:countertrade.

brainlist answer

This illustrates the concept of importing. Therefore, Option (D) is the correct choice for this question.

What is importing?

An import is an item or service that is purchased outside of its nation of origin. International trade is made up of imports and exports. A country has a negative trade balance, or a trade deficit if the value of its imports exceeds the value of its exports.

It entails bringing goods or services manufactured abroad for sale into a nation. Companies based in the United States who purchase goods abroad and bring them here for sale or for use in an American-made product are said to be importing.

Many small firms import goods that are not economically feasible to manufacture in the United States, such as shoes, apparel, crafts, and larger products like furniture, which are then sold at a high profit to local customers.

Hence, Option (D) is the correct one.

Learn more about Import, from:

brainly.com/question/9443982

#SPJ2

Joseph Turner and Sons has 125,000 shares of stock outstanding. The firm has extra cash so it announced this morning that it is willing to repurchase 25,000 of its shares. What type of offer is the firm making?

Answers

Answer:

D. Tender offer

Explanation:

A. Rights offer

B. Secondary issue

C. Targeted repurchase

D. Tender offer

E. Private issue

We are informed about Joseph Turner and Sons who has 125,000 shares of stock outstanding. The firm has extra cash so it announced this morning that it is willing to repurchase 25,000 of its shares. In this case the type of offer is the firm making is tender offer. Tender offer can be regarded as a kind of public takeover bid to all shareholders, so that they can sell out their shares at a specific price during a particular time.

It is usually made public, and this time the investors do give out higher price per share compare to the stock price of the company, which give room to shareholders in selling their own share.

How long will it take you to triple your money if you have your money invested on a trust that promises a guaranteed 7% annual rate of interest, with monthly compounding?

Answers

Answer:

the number of years for triple the money is 15.74 years

Explanation:

The computation of the number of years for triple the money is shown below:

Here we used the NPER which is

Given that

RATE = 7% ÷ 12 = 0.58333%

Assuming

Present value be $1,000

And, future value be $1,000 × 3 = $3,000

PMT = $0

The formula is shown below:

= NPER(RATE;PMT;-PV;FV;TYPE)

The present value comes in positive

After applying the above formula

The number of years is

= 188.8833850497  ÷ 12

= 15.74 years

hence, the number of years for triple the money is 15.74 years

On January 1, Sheffield Corp. issues $3600000, 5-year, 12% bonds at 94 with interest payable on January 1. What is the carrying value of the bonds at the end of the third interest period?\

Answers

Answer:

$3,513,600

Explanation:

The computation fo the carrying value of the bond at the end of third interest period is shown below:

But before that the value of the bond is

= $3,600,000 × 94%

= $3,384,000

Now the difference in amount is

= $3,600,000 - $3,384,000

= $216,000

The interest amount per year would be

= $216,000 ÷ 5 years

= $43,200

For three years it would be

= $43,200 × 3 years

= $129,600

And, finally the carrying value of the bond is

= $3,384,000 + $129,600

= $3,513,600

Parker Corp., which operates on a calendar year, expects to sell 3,000 units in October, and expects sales to increase 10% each month thereafter. Sales price is expected to stay constant at $10 per unit. What are budgeted revenues for the fourth quarter?

Answers

Answer:

total revenue = is 99300

Explanation:

given data

expects to sell in October = 3,000 units

expects sales to increase  = 10%

Sales price stay constant = $10 per unit

solution

we get revenue hereby the sum of revenue of oct + nov + dec

revenue = price × quantity    .........................1

total revenue = is 99300

You are planning a trip to the United Kingdom and expect that you will spend 2,200 pounds. How much will your spending be in U.S. dollars if the exchange rate is .7269 pounds per dollar?A. $2,579.82.B. $3,892.16.C. $5,597.29.D. $5,890.01.E. $6,044.04.

Answers

Answer: $3,026.55

Explanation:

If US$1 is to £0.7269 then that means that the pound is stronger than the dollar because a dollar buys less than a pound in which case £2,200 will be more than $2,200.

It will be;

= 2,200/0.7269

= $3,026.55

Options seem to be for a variant of this question.

The Federal Reserve will tend to tighten monetary policy with the goal is to stabilize the economy when a. it thinks the unemployment rate is too high. b. it thinks inflation is too high today, or will become too high in the future. c. the growth rate of real GDP is quite sluggish. d. interest rates are rising too rapidly.

Answers

Answer: b. it thinks inflation is too high today, or will become too high in the future.

Explanation:

Tightening monetary policy means to reduce the amount of money in the country. This is done by the Fed if they think that inflation is too high or will be too high and so want to keep it in check.

Reducing the amount of money in the nation reduces inflation in theory because it reduces the amount of money that people have available to buy goods and services and as people react by buying less goods and services, prices will fall to match this reduced demand.

Government is known to have some amount of hold on monetary policy. Federal Reserve will tend to tighten monetary policy when it thinks inflation is too high today, or will become too high in the future.

Monetary policy is simply known to be the control of the quantity of money that is present in an economy and the links through which new money is supplied.  

The central bank tightens policy through the increase of short-term interest rates through policy that alters the discount rate and federal funds rate.

Conclusively, if inflation is increases in a faster rate, or when the economy is growing faster than expected, the FED  will then increases the interest rates.

Learn more from

https://brainly.com/question/13926715

Other Questions
i need help forgot how to do most of this . Some chocolate, strawberry, and vanilla doughnuts were placed in a box. Some have a creamy center, and some do not. Suppose one of the doughnuts were chosen randomly from all the doughnuts in the box. According to the table below, if it is known to be strawberry, what is the probability that it does not have a creamy center? Chocolate Strawberry Vanilla Creamy center 6 9 3 No creamy center 6 3 9 A. 25% B. 75% C. 20% D. 50% Express sin 6x-sin 2x in product form. What happens in the gray zone between solid and liquid? MORE POINTSSSSSSS TAKE 'EM SOOOONNNNNNPlease Answer the question to get them The left side of the chart below describes a long series of energy transformations. These transformationsoccur in the order shown, from top to bottom. Identify which form of energy is being used in each step on theleft, and write the appropriate form of energy on the right. The different forms of energy are listed below.Some forms of energy may be used more than once. Some steps may show several forms of energy. Essay on winter season atlist 3 paragraph Select the four parts of the plasma system thatare continuously monitored. (Select four that apply.)PressureOxygenPowerTemperatureCupFuel PLZ ANSWER! ONLY IF YOU ARE CORRECT! dont answer if you dont know please. Explain why this equation is true 1 x 10=10 A 75 kg patient needs a medication X in the amount of 0.2 mg/kg/day. The medication comes in a liquid solution of 50 mg for every 1000 ml. How many ml of this solution will this patient need in a day? If this solution is being infused at 60 ml/hr, how long with the transfusion take? can you guys plzzzzzzz answer fast I will make you brainist 1/4 checkpointTime of Trial #1 (s)2. 15Time of Trial #2 (s)Time of Trial #3 (s)Average time (s)2.052.022.07Use the table to answer the questions.What is the fastest time trial for the first quarter checkpoint? secondsWhat is the slowest time trial for the first quarter checkpoint? secondsWhat is the range of times measured for this checkpoint? In a population of subjects, possess a certain characteristic. A sample of subjects selected from this population has subjects who possess the same characteristic. What are the values of the population and sample proportions? in a certain school there are 180 pupils in the year7,110 pupils study french,88 study German , and 65 indonesian.40 pupils study both french and German,38study German and Indonesian,and 26 study both french and Indonesian,while 19 study German only.find the number of pupils who studya)All three languagesb) Indonesian onlyc)none of the languagesd)at least one language e) either one or two of the three languages How did the Zhou justify their overthrow of the Shang dynasty? How did enslaved Africans adapt to life in the Americas? Find each difference(4y - 7 ) - ( y - 7 ) Which ordered pair is a solution of y 5x - 2 (3, 12) or(1, 5) How is China different today than during the Ming dynasty Which statement best explains how the idea of Manifest Destiny lead to the Mexican-American War?A..Mexico was a barrier to achieving what many believed was Americas destiny to expand to the Pacific.B..Mexico believed its destiny was to annex Texas, so it attacked American soldiers in Texas.C..The United States was a barrier to achieving what many believed was Mexicos destiny to expand to the Pacific.D..The United States believed its destiny was to annex Texas, so it attacked Mexican soldiers in Texas.