2) according to the fisher effect, and decrease in expected inflation will lead to a(n) _____.

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Answer 1

According to the Fisher effect, a decrease in expected inflation will lead to a decrease in nominal interest rates.

The Fisher effect is an economic theory that explains the relationship between nominal interest rates, real interest rates, and inflation rates. It was named after the economist Irving Fisher who first proposed this concept.

The Fisher effect suggests that nominal interest rates are determined by the expected real interest rate and the expected rate of inflation. In other words, the nominal interest rate reflects the real return on an investment plus the expected rate of inflation. This means that investors demand compensation for both the actual return on their investment (the real interest rate) and for the expected decline in the value of their investment due to inflation.

Therefore, if expected inflation decreases, the nominal interest rate will decrease as well, according to the Fisher effect. This is because if investors expect that prices will not rise as much in the future, they will require less compensation for the expected decline in the value of their investment due to inflation. As a result, they will be willing to accept a lower nominal interest rate.

For example, suppose that an investor purchases a bond that promises to pay a nominal interest rate of 5%. If the expected inflation rate is 2%, the real interest rate (the actual return on the investment) is 3% (5% - 2% = 3%). However, if the expected inflation rate decreases to 1%, the real interest rate remains at 3%, but the nominal interest rate would decrease to 4% (3% + 1% = 4%) to reflect the lower expected rate of inflation.

In summary, according to the Fisher effect, a decrease in expected inflation will lead to a decrease in nominal interest rates. This is because investors will demand less compensation for the expected decline in the value of their investment due to lower expected inflation.

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Related Questions

Businesses in the nation of Islandia have been accumulating cash because they have a pessimistic outlook of the national economy. Due to recent changes in the economic outlook of Islandia, business leaders have started investing some of their accumulated cash. Instructions: Enter your answers as a whole number. Use a positive number to show an increase and a negative number to show a decrease. a. If business leaders invest a total of $40 billion of accumulated cash, what is the maximum expected change in GDP if Islandia's marginal propensity to consume is 0.95? $ _____ billion b. Suppose that the recent economic outlook in the country of Mountainia has been the opposite. Businesses are instead accumulating cash and postponing planned investments. If business leaders postpone $12 billion of planned investment spending, what is the maximum expected change in GDP if Mountainia's marginal propensity to save is 0,2 ? $ ____ billion

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If entrepreneurs spend their $40 billion in cash reserves and the marginal propensity to consume is 0.95, the maximum predicted change in Islandia's GDP will be $760 billion.

Which of the following would cause the demand curve for investments to shift to the right?

A rise in production will probably raise the need for capital and, as a result, encourage further investment. Consequently, the investment demand curve is expected to move to the right as GDP grows.

What influences the rightward shift of the demand curve?

Changes in factors like average income and preferences could cause the entire demand curve to move to the right or left. As a result, the quantity demanded at a given price can be larger or lower.

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The problem with spot exchange in the presence of specific assets is thatSelect one:both parties have incentives to behave as principals.both parties have incentives to behave opportunistically.both parties take the risk of price fluctuations.both parties do not take advantage of the economies of scope.

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The problem with spot exchange in the presence of specific assets is that both parties have incentives to behave opportunistically.

A spot exchange, also known as a spot market, is a type of financial market where financial instruments such as currencies, commodities, or securities are traded for immediate delivery or settlement, as opposed to futures or options contracts, which have a delivery or settlement date in the future.

This means that each party may try to take advantage of the other by manipulating the price or other aspects of the transaction.

As a result, the price of the asset may not reflect its true value, leading to inefficiencies and potential losses for one or both parties. This is why it is important to establish clear rules and regulations around spot exchanges, especially when dealing with specific assets.

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Alice and Bob are talking using some self-made secure massager about a deal, suppose Alice and Bob already shared a secret key k, and when sending a message m (denoting a price), Alice's messenger client encrypts the message and sends c=mek (here is defined as 11=0,000= 0,10=001= 1, and if x, y is multi-bit string, ry basically means bit-wise of x and y.). Suppose now m= 64 (for a proposed dinner budget) whose bitwise representation is 1000000. Eve is the server hosting the messaging service, basically Alice sends c to Eve, and Eve forwards it. A malicious Eve, now seeing a ciphertext c, without knowing mor k, simply computes d' = c 1010000 and forwards d to Bob.

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In this scenario, Alice and Bob are communicating securely using a shared secret key k to encrypt their messages. Alice's messenger client encrypts the message m, which represents a proposed dinner budget of 64, using the key k and sends the resulting ciphertext c=mek to Eve. However, Eve is a malicious server and does not know the secret key k, but she still intercepts the ciphertext c and forwards it to Bob.

Eve then computes a new ciphertext d' by performing a bitwise operation of c and 1010000, which is equivalent to flipping the 5th bit of the original message m. Bob receives the new ciphertext d and decrypts it using the shared key k to retrieve the message m. However, since Eve has tampered with the original message by flipping the 5th bit, Bob receives a different message than what Alice had intended to send.

This highlights the importance of using secure communication channels and ensuring that only trusted parties have access to the secret key used for encryption. In this case, Eve's malicious actions were able to compromise the integrity of the communication between Alice and Bob.

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the full benefits of coordination requires every stage of the supply chain to focus on

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The full benefits of coordination in the supply chain can only be realized when every stage of the process is focused on working together.

The full benefits of coordination in the supply chain can only be realized when every stage of the process is focused on working together. This means that from the suppliers of raw materials to the manufacturers, distributors, and ultimately the end consumer, everyone must be working in harmony to achieve the desired outcome. Effective coordination ensures that there is timely and accurate communication between all parties, which in turn leads to improved efficiency, cost savings, and better customer satisfaction. Therefore, it is essential for all stakeholders in the supply chain to understand the importance of coordination and work towards achieving it at every stage.

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which is not a reason to introduce and HRIS

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Security is said to be a key issue of the biggest worries of HRIS. Systems need to be designed to hinder unauthorized access to sensitive and confidential information.

What is the reason  to introduce HRIS?

HRIS is software for core HR needs and productivity for managers and employees.

The  five benefits of using it is that it is Organized, Frees HR professionals for important tasks. Regulatory compliance ensured. HR efficiency enhanced by "Boosts company image for employees." Employee db. Applicant tracking and onboarding.

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Efficiency-wage theories suggest that a firm may pay workers more than the market-clearing wage for all of the following reasons except to:
a) Reduce labor turnover,
b) Improve the quality of the firm's labor force,
c) Increase worker effort,
d) Reduce the firm's wage bill.

Answers

Efficiency-wage theories suggest that a firm may pay workers more than the market-clearing wage for all of the following reasons except to: d) Reduce the firm's wage bill.

Paying higher wages can help a firm reduce labor turnover, improve the quality of its labor force, and increase worker effort, but it generally does not reduce the overall wage bill.

Efficiency-wage theories suggest that a firm may pay workers more than the market-clearing wage for several reasons, including reducing labor turnover, improving the quality of the firm's labor force, and increasing worker effort. However, efficiency-wage theories do not suggest paying workers more to reduce the firm's wage bill. In fact, paying higher wages may increase the firm's costs, but it is believed that the benefits of a more productive and motivated workforce will outweigh these costs in the long run. So the answer to your question is d) Reduce the firm's wage bill.

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Your examination of the records of a company that follows the cash basis of accounting tells you that the company's reported cash-basis earnings in 2022 are $33,500. If this firm had followed accrual-basis accounting practices, it would have reported the following year-end balances. 2022 2021 Accounts receivable $3,800 $2,100 Supplies on hand 1,350 1,780 Unpaid wages owed 2,280 2,640 Other unpaid expenses 1,720 1,080 Determine the company's net earnings on an accrual basis for 2022 Net earnings on an accrual basis for 2022 $

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The company's net earnings on an accrual basis for 2022 is $30,130.

How did we get the value?

To determine the company's net earnings on an accrual basis for 2022, we need to calculate the company's revenue and expenses using the accrual method of accounting.

First, let's look at the changes in the company's balance sheet accounts from 2021 to 2022:

Accounts receivable increased by $1,700 ($3,800 - $2,100).

Supplies on hand decreased by $430 ($1,350 - $1,780).

Unpaid wages owed decreased by $360 ($2,280 - $2,640).

Other unpaid expenses increased by $640 ($1,720 - $1,080).

Using this information, we can calculate the company's revenue and expenses as follows:

Revenue:

Cash-basis earnings reported for 2022 = $33,500

Add: Increase in accounts receivable = $1,700

Total revenue on an accrual basis = $35,200

Expenses:

Supplies used = $430

Wages paid = $2,280

Other expenses incurred = $2,360 ($1,720 + $640)

Total expenses on an accrual basis = $5,070

Net earnings on an accrual basis for 2022 = Total revenue - Total expenses = $35,200 - $5,070 = $30,130

Therefore, the company's net earnings on an accrual basis for 2022 are $30,130.

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139. Job rotation, matrix management, and project teams are all environmental strategies for employee development. True False

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True, job rotation, matrix management, and project teams are all environmental strategies for employee development.

Job rotation involves moving employees through different roles within an organization to develop their skills and knowledge in various areas. Matrix management is a type of organizational structure where employees are assigned to multiple teams or projects, which can help them develop skills in different areas and work with different people. Project teams are groups of employees brought together for a specific project, allowing them to learn from each other and develop skills through the completion of the project.

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leonard, inc. is considering a five-year project that has an initial after-tax outlay or after-tax cost of $70,000. the future after-tax cash inflows from its project for years 1, 2, 3, 4 and 5 are all the same at $35,000. leonard uses the net present value method and has a discount rate of 10%. will leonard accept the project?

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Based on the given information, the NPV is positive, it means that the project is expected to generate a positive return and it is a profitable investment for Leonard, Inc. Leonard should accept the project.

We can calculate the net present value (NPV) of the project using the formula:
NPV = -Initial Outlay + Present Value of Future Cash Flows
Where the present value of future cash flows is calculated as:
PV = CF / (1 + r)^n
Where CF is the cash flow, r is the discount rate, and n is the number of years.
So, for this project:
Initial Outlay = $70,000
Cash Inflows = $35,000 for each year from Year 1 to Year 5
Discount Rate = 10%
Using the above formula and calculations, we get the following:
Year 1: PV = $35,000 / (1 + 10%)^1 = $31,818.18
Year 2: PV = $35,000 / (1 + 10%)^2 = $28,926.23
Year 3: PV = $35,000 / (1 + 10%)^3 = $26,329.30
Year 4: PV = $35,000 / (1 + 10%)^4 = $24,000.27
Year 5: PV = $35,000 / (1 + 10%)^5 = $21,914.79
Now, we can calculate the present value of all the cash inflows for the 5-year project as follows:
PV of Future Cash Flows = $31,818.18 + $28,926.23 + $26,329.30 + $24,000.27 + $21,914.79
= $133,988.77
So, the NPV of the project can be calculated as follows:
NPV = -$70,000 + $133,988.77
= $63,988.77

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what would be the price of the same bond 3 years from today if the bond is expected to be downgraded to ‘bbb’ at the end of the 3rd year?

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If the bond is expected to be downgraded to ‘BBB’ at the end of the 3rd year the price of the same bond 3 years from today would be ‘BBB’.

We'll need to consider the following factors to find the price of the same bond 3 years from today if the bond is expected to be downgraded to 'BBB' at the end of the 3rd year,
1. Current bond price
2. Interest rate environment
3. Yield to maturity (YTM) of similar 'BBB' rated bonds
4. Time to maturity

Here's how to calculate the bond price in such a scenario:

Obtain the current bond price and interest rate environment.
Estimate the Yield to Maturity (YTM) of similar 'BBB' rated bonds in the market.
Determine the time to maturity for the bond (in this case, it is 3 years).
Use the YTM, time to maturity, and bond's coupon payments to calculate the bond price using the bond pricing formula:

Bond Price = (C * (1 - (1 + YTM)^(-n))) / YTM + (F / (1 + YTM)^n)

Where:
- C is the coupon payment
- YTM is the Yield to Maturity
- n is the number of periods until maturity
- F is the face value of the bond

With this information, you'll be able to calculate the price of the bond 3 years from today, assuming the bond is downgraded to 'BBB' at the end of the 3rd year.

Therefore, if the bond is expected to be downgraded to ‘BBB’ at the end of the 3rd year the price of the same bond 3 years from today would be ‘BBB’.

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Big Bob worked for Transfer Trucking (TT) as a driver and was an agent of TT. Big Bob drove a regular route, making deliveries along the way. One day Big Bob drove 100 miles out of his way and off the normal route to see the launch of a space ship. While driving to see the launch, Big Bob was distracted and negligently smashed his truck into a car driven by Austin, injuring him. Austin is now suing both Big Bob and IT for personal injuries. Under the circumstances Multiple Choice TT is liable under the doctrine of respondeat superior. TT is never liable for the negligent torts of its agents. Austin can recover damages from both Big Bob and TT. o TT is not liable because Big Bob was on a frolic of his own. Maggie is riding her motorcycle too fast, not paying attention, and runs a red light. This causes a car to swerve to miss her and it hits an 18 wheeler truck which then careens out of control, crashing through the front door of a local UPS store. As a result, Dave fails to receive his delivery from UPS on time and is unable to sign a contract for a $100,000 a year job by the deadline. The job was given to another applicant. Dave sues Maggie for the loss of the job. What will the result be? Multiple Choice Maggie will be liable to Dave because a person is liable for all consequences of his or her negligence. Maggie will not be liable to Dave because she did not intend to cause Dave's damages. Maggie will be liable to Dave because she was the cause in fact and proximate cause of Dave's injuries. O O Maggle will not be liable to Dave because while she was the cause in fact, she was not the proximate cause of Dave's injuries.

Answers

TT is not liable because Big Bob was on a frolic of his own is the correct option.

What exactly does New York General Business Law 391 say?No one, firm, partnership, association, or corporation shall sell any clothing with a drawstring at the waist or a drawstring at the bottom opening of an upper garment for children in sizes two-T through sixteen, inclusive.More stringent than federal regulations, New York State General Business Law, Section 391-b(2) forbids the sale of any children's apparel from size 2-T to 16 that has a drawstring at the neck, at the bottom opening of an upper body garment, or at the waist of a lower body garment.

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Celtic Services has an October 31 fiscal year-end. Review the following note receivable transactions in the journal of Celtic Services: (Click the icon to view the transactions.) Read the requirements Requirement 1. Record the preceding note receivable transactions in the journal of Celtic Services. Use a 365-day year for interest computations, and round interest amounts to the nearest dollar. (Record debits first, then credits. Exclude explanations from any journal entries.) Aug 1 Loaned $11,000 cash to Brody Dowling on a one-year, 6% note. Journal Entry Date Accounts Debit Credit Aug 1 More Info X Requirements Aug 1 Loaned $11,000 cash to Brody Dowling on a one-year, 6% note. Oct 6 Performed service for Green Pro, receiving a 90-day, 10% note for $6,000 16 Received a $4,000, six-month, 12% note on account from Vaseron Company 31 Accrued interest revenue for the year. 1. Record the note receivable transactions in the journal of Celtic Services. Use a 365-day year for interest computations, and round interest amounts to the nearest dollar. How much interest revenue did Celtic earn this year? 2. Print Done

Answers

Journal Entries for Note Receivable Transactions:

Aug 1

Notes Receivable $11,000

Cash $11,000

Oct 6

Notes Receivable $6,150 ($6,000 + $150 interest)

Service Revenue $6,000

Interest Revenue $150

Oct 16

Notes Receivable $4,480 ($4,000 + $480 interest)

Accounts Receivable $4,000

Interest Revenue $480

Dec 31

Interest Receivable $497 ($11,000 x 6% x 2/12 + $6,150 x 10% x 2/12 + $4,480 x 12% x 1/12)

Interest Revenue $497

Interest Receivable $497

Celtic Services earned $1,127 ($150 + $480 + $497) in interest revenue this year.

Note: The interest calculation for each note was as follows:

Brody Dowling's note: $11,000 x 6% = $660

Green Pro's note: $6,000 x 10% x 90/365 = $150

Vaseron Company's note: $4,000 x 12% x 1/2 = $480

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Fernando's bakery built two large ovens into their production facility. The ovens are which type of product?
Raw Materials
Major Equipment
Accessory Equipment
Component Parts
Process Materials

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The ovens built by Fernando's bakery are Major Equipment.

Major Equipment refers to large and expensive items used in the production process, such as machines and tools that have a long lifespan and are essential for producing goods or services.

The two large ovens built into the production facility of Fernando's bakery are considered Major Equipment as they are essential in the production process of baked goods and are expected to have a long lifespan.

Raw materials refer to basic materials used in the production process, Accessory Equipment refers to tools used to support production but are not essential, Component Parts refer to smaller parts that make up a larger product, and Process Materials refer to materials that are consumed during the production process.


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If an increase in investment spending of $20 million results in a $200 million increase in equilibrium real GDP, then
O A. the multiplier is 0.1. O B. the multiplier is 1. O C. the multiplier is 10. O D. the multiplier is 100.

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If an increase in investment spending of $20 million results in a $200 million increase in equilibrium real GDP, then "the multiplier is 10". The correct option is C.

The investment refers to when the investor or shareholder invest their money to buy shares or stock from the company in return of net profit which is generated by the company.

Given that,

an increase in investment spending of $20 million leads to a $200 million increase in equilibrium real GDP,

The formula for the multiplier effect to find the value of the multiplier:

Multiplier => Change in equilibrium real GDP / Change in investment spending

Solving for the multiplier, we get:

Multiplier = Change in equilibrium real GDP / Change in investment spending

=> $200 million / $20 million = 10

Therefore, the correct option is C.

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False or True? Why?
1. Which item to order and with which supplier the order should be placed are the two fundamental issues in inventory management.
2. Variability in demand and/or lead time can be compensated for by safety stock.
3. A fixed order quantity/reorder point model for inventory control is usually used with temporary tracking.
4. Holding or carrying cost is directly proportional to order size, as order size increases, so does the holding cost.
Answer one of the following two questions
5. Average daily demand for a subcomponent during its lead time (Which is fixed at four days) is normally distributed with a mean of 15 units and a standard deviation of 2 units. Answer these questions, If the manager wants a service level of 97 percent during a lead time: a. How many subcomponents of safety stock should be held? b. What reorder point should be used?
6. A car rental agency uses 69 boxes of staples a year. The boxes cost $4 each. It costs $15 to order staples, and holding costs are $0.80 per box on an annual basis. Determine: a. the order quantity that will minimize the sum of ordering and holding boxes of staples b. the annual cost of ordering and carrying the boxes of staples

Answers

1. True. Ordering the right item from the right supplier is crucial for effective inventory management.

2. True. Safety stock can compensate for variability in demand and lead time to ensure that enough inventory is available to meet customer demand.

3. False. The fixed order quantity/reorder point model is typically used with continuous tracking of inventory levels.

4. False. Holding or carrying cost is inversely proportional to order size, as larger order sizes result in fewer orders and less holding cost per unit.

5. a. The subcomponent should have a safety stock of 6 units.

b. The reorder point should be set at 81 units.

6. a. The order quantity that will minimize the sum of ordering and holding costs is 29 boxes.

b. The annual cost of ordering and carrying the boxes of staples will be $46.77.

The Economic Order Quantity (EOQ) formula is used to calculate the optimal order quantity that minimizes the sum of ordering and holding costs. The formula is derived by balancing the cost of placing an order (ordering cost) with the cost of holding inventory (holding cost).

a. The EOQ formula is calculated as √(2DS/H) where D is the annual demand (69 boxes), S is the ordering cost per order ($15), and H is the holding cost per box ($0.80). Substituting the values into the formula, we get √(26915/0.80) ≈ 29. Therefore, the order quantity that will minimize the sum of ordering and holding boxes of staples is 29 boxes.

b. To calculate the annual cost of ordering and carrying the boxes of staples, we need to multiply the order quantity by the ordering cost and the holding cost, and add them up. The annual cost can be expressed as Annual Ordering Cost + Annual Holding Cost. Annual Ordering Cost = (Annual Demand/Order Quantity) * Ordering Cost = (69/29) * 15 = $35.17. Annual Holding Cost = (Order Quantity/2) * Holding Cost = (29/2) * 0.80 = $11.60. Therefore, the annual cost of ordering and carrying the boxes of staples is $35.17 + $11.60 = $46.77.

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On May 25,2016 the exchange rate between Euro and Pound was €1.319/£; on October 20,2017, it was €1.101/E By what percent has the Pound depreciated (appreciated relative to the Euro? -16.5277% devalued -16.5254% devalued -19.7969% devalued -19.8002% devalued

Answers

The Pound has depreciated (or devalued) by approximately 31.08% relative to the Euro.

To find the percentage change in the exchange rate of Pound relative to Euro, we can use the formula:

Percentage change = ((New value - Old value) / Old value) x 100

Here, the old value is €1.319/£ and the new value is €1.101/E.

First, let's calculate the exchange rate for Pound in terms of Euro on October 20, 2017:

1/€1.101 = £0.9089/E

Now we can calculate the percentage change:

Percentage change = ((€1.101/E - €1.319/£) / €1.319/£) x 100

Percentage change = ((1/£0.9089 - 1/€1.319) / 1/€1.319) x 100

Percentage change = (-0.4101 / 1.319) x 100

Percentage change = -31.08%

The question is incorrect, correct question will be "On May 25,2016 the exchange rate between Euro and Pound was €1.319/£; on October 20,2017, it was €1.101/E By what percent has the Pound depreciated (appreciated relative to the Euro? -31.08% devalued -16.5254% devalued -19.7969% devalued -19.8002% devalued"

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Given that z is a standard normal random variable, and that the area to the right of z is 0.9066, then the value of z must be: a. -0.66. b. -1.32. c. 1.32. d. 0.66.

Answers

The closest value we can find is 1.32, which is in the third row and column of the table.
Therefore, the value of z must be 1.32.

The correct answer is c. 1.32.

Explanation:

A standard normal random variable is a random variable with a mean of 0 and a standard deviation of 1.

The area to the right of z represents the probability of getting a value greater than z in a standard normal distribution.

To find the value of z, we can use a standard normal distribution table or a calculator.

Looking at a standard normal distribution table, we can find the value of z that corresponds to an area of 0.9066 in the right-tail of the distribution.

The closest value we can find is 1.32, which is in the third row and column of the table.

Therefore, the value of z must be 1.32.

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which strategy—business or corporate level—should a firm develop first? describe the relationship between a firm’s business- and corporate-level strategies.

Answers

The corporate level strategy should provide the resources, structure, and coordination necessary for the successful implementation of the business level strategies. In this way, the two levels of strategy work together to achieve the firm's overall strategic objectives.

When it comes to strategy development, a firm should first focus on its corporate level strategy before moving on to its business level strategy. This is because the corporate level strategy determines the overall direction and scope of the firm, including its portfolio of businesses, allocation of resources, and coordination of activities across different business units. Once the corporate level strategy is established, the firm can then develop its business level strategy to guide the actions of individual business units in achieving their specific goals.

The relationship between a firm's business- and corporate-level strategies is one of alignment and support. The business level strategies should be designed to support the overall goals and direction set by the corporate level strategy. This means that the business level strategies should be consistent with the firm's mission, values, and objectives, and should contribute to the firm's overall competitive advantage. At the same time, the corporate level strategy should provide the resources, structure, and coordination necessary for the successful implementation of the business level strategies. In this way, the two levels of strategy work together to achieve the firm's overall strategic objectives.

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If the Detroit Pistons raise their ticket prices and see ticket revenues fall (holding all else equal), we can conclude that (a) the supply of tickets is too high. (b) the demand for tickets is too low. (c) the demand for tickets is price inelastic. (d) the demand for tickets is price elastic.

Answers

If the Detroit Pistons raise their ticket prices and see ticket revenues fall, we can conclude that the demand for tickets is price elastic. This means that a change in the price of tickets results in a proportional change in the quantity demanded.

If the demand for tickets were price inelastic, we would expect to see little change in the quantity demanded when prices increase. The fact that ticket revenues fell despite the price increase suggests that fans were not willing to pay the higher prices.

This could be due to a number of factors, such as a weak economy or competition from other entertainment options. Alternatively, it could be that the supply of tickets is too high, leading to excess inventory that cannot be sold at the higher price point.

Regardless of the cause, the fact that ticket revenues fell indicates that the Pistons may need to re-evaluate their pricing strategy. If they continue to raise prices in the face of price elastic demand, they risk alienating fans and losing revenue. On the other hand, if they lower prices, they may be able to stimulate demand and increase overall revenues.

Overall, the situation with the Detroit Pistons highlights the importance of understanding the price elasticity of demand for a given product or service. By carefully analyzing the market and adjusting pricing strategies accordingly, businesses can optimize revenues and stay competitive in the long term.

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a patent grants an inventor exclusive rights to a product for how long? group of answer choices 14 years 17 years 20 years the lifetime of the product

Answers

A patent grants an inventor exclusive rights to a product for a specific period of time: 20 years. The correct answer is: C


This means that the inventor has the exclusive right to make, use, sell, and import the invention for a duration of 20 years from the filing date of the patent application. This time frame is applicable for utility and plant patents. However, it is important to note that design patents have a shorter term of protection, which is 15 years from the date of grant.

In summary, a patent provides an inventor with exclusive rights to their product for 20 years (for utility and plant patents) or 15 years (for design patents), depending on the type of patent.

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Complete question:

a patent grants an inventor exclusive rights to a product for how long? group of answer choices

a. 14 years

b. 17 years

c. 20 years

d. the lifetime of the product

Many costs are associated with owning a car. Assuming that miles driven is the volume activity, classify each of the following costs associated with car ownership as mainly variable or fixed. a. Purchase price of the car $25,000 b. Finance charges on car loan c. Gas d. Oil changes every 5,000 miles e. Replacement tires f. Insurance costs of $100 per month g. License plate/registration of $200 per year h. SiriusXM Radio subscription cost i. Car washes (one per week) j. Monthly parking fees for work lot k. Traffic violation ticket

Answers

The costs associated with car ownership as mainly variable or fixed:

a. Purchase price of the car $25,000: Fixed
b. Finance charges on car loan: Fixed
c. Gas: Variable
d. Oil changes every 5,000 miles: Variable
e. Replacement tires: Variable
f. Insurance costs of $100 per month: Fixed
g. License plate/registration of $200 per year: Fixed
h. SiriusXM Radio subscription cost: Fixed
i. Car washes (one per week): Variable
j. Monthly parking fees for work lot: Fixed
k. Traffic violation ticket: Variable

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To successfully maintain a tacit collusion, a precommitment strategy must O A. reinforce managers' best strategy of charging a price higher than the monopoly price. OB. allow managers to temporarily charge a price lower than the collusive price. O C. reduce the profit from charging any price other than the collusive price. OD. open options to charge whatever price maximizes the firm's profit.

Answers

To successfully maintain a tacit collusion, a recommitment strategy must reduce the profit from charging any price other than the collusive price.

This is because recommitment strategies involve making a commitment to adhere to a certain pricing strategy, which reduces the temptation for firms to deviate from the collusive agreement. By reducing the profit from charging any price other than the collusive price, firms are less likely to break the agreement and engage in price competition that could harm the overall profits of the group. Therefore, recommitment strategies are an effective way for firms to maintain a collusive agreement and avoid a monopoly outcome.

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If relative prices are changing, we can definitely state that:
a. a particular good's price has become more or less expensive in comparison to other goods
b. some prices may be rising and some may be falling
c. average prices are increasing or decreasing
d. deflation is occuring
e. inflation is occuring

Answers

If relative prices are changing, we can definitely state that average prices are increasing or decreasing. Relative prices refer to the price of one good or service in comparison to another.

When relative prices change, it indicates that the value of one item is rising or falling compared to the other. This change in relative prices can be caused by various factors such as supply, demand, production costs, or changes in consumer preferences.


As relative prices change, it may also lead to a change in average prices. Average prices are the sum of all individual prices divided by the number of goods and services in an economy. If the price of one good increases, and other prices remain constant, the average price will increase. Similarly, if the price of one good decreases and other prices remain constant, the average price will decrease.


However, it is important to note that a change in relative prices does not necessarily indicate that inflation is occurring. Inflation is a general, sustained increase in the overall price level of an economy. While a change in relative prices may cause a temporary change in average prices,

It does not necessarily imply a long-term or persistent increase in the overall price level, which is the key characteristic of inflation. Inflation can only be confirmed through analyzing various economic indicators and examining trends over a longer period.

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: Use implicit differentiation to find dy dx e xy = 4y dy dx 11

Answers

To use implicit differentiation, we will differentiate both sides of the equation with respect to x, treating y as a function of x.

Starting with the left-hand side:

[tex]d/dx (e^xy) = d/dx (e^(x * y))[/tex]

Using the chain rule:

=[tex]e^(x * y)[/tex] * d/dx (x * y)

=[tex]e^(x * y)[/tex]* (y + x * dy/dx)

Next, we differentiate the right-hand side:

d/dx (4y) = 4 * d/dx (y) = 4 * dy/dx

And finally, we differentiate the constant term:

d/dx (11) = 0

Putting everything together, we get:

[tex]e^(x * y)[/tex] * (y + x * dy/dx) = 4 * dy/dx

Now we can solve for dy/dx:

[tex]e^(x * y) * y + e^(x * y) * x * dy/dx[/tex] = 4 * dy/dx

[tex](e^(x * y) * x - 4) * dy/dx = -e^(x * y) * y[/tex]

dy/dx =[tex]-e^(x * y) * y / (e^(x * y) * x - 4)[/tex]

Simplifying this expression, we get:

dy/dx = -y / (x - 4/[tex]e^(x * y))[/tex].

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A collection of smaller budgets that leads to pro-forma financial statements is referred to as the
overall budget.
summary budget.
pro-forma budget.
master budget

Answers

The collection of smaller budgets that lead to pro-forma financial statements is referred to as the master budget. Therefore, the correct option is option 4.

The master budget is a comprehensive financial planning document that includes various individual budgets related to sales, production, and other operating expenses. It combines all these smaller budgets to provide an overview of the company's financial performance and expectations for a specific period.

The master budget serves as a crucial tool for management in setting financial goals and evaluating the organization's performance against these goals. It helps in identifying areas that need improvement and allocating resources effectively.

The other terms (overall budget, summary budget, and pro-forma budget) do not accurately describe the collection of smaller budgets leading to pro-forma financial statements. Hence, the correct answer is option 4: master budget.

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Kerri deposits $8,000 into a bank account today. She makes another deposit of $14,000 into the account exactly one yar from today. If the bank pays interest at 8 percent p.a. compounded annually, how much will she have in her account at the end of two years? 1) $22,000.00 2) $28,591.20 3) $23,760.00 4) $20,267.65 5) $24,451.20

Answers

At the end of the two year, she will have $23,760 in her account. The answer is OPTION C

[tex]A= P(1+r\n) nt[/tex]
  = 14,000 (1+ 0.08)1
  = $15,120

[tex]A= P(1+r\n) nt[/tex]
 = 8,000 (1+0.08)1
 = $8,640

Total Amount = $15,120 + $8,640
                       = $23,760

Compound interest is when you receive interest on both your interest income and your savings. Simple interest and compound interest are the two methods for calculating interest. Simple interest is computed on a loan's principal, or initial loan amount. Compound interest is often referred to as "interest on interest".

Since it is calculated using both the principal and the accrued interest from prior periods. When interest is earned in a savings or investment account, compound interest occurs. (Such meta. In other words, interest is paid on both the principal, which is the starting sum, and the interest that is gradually added to the balance.

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Yellowday Energy's margin was 3% and turnover was 4.0 on sales of $50 million for the year. ROI for the year was: Multiple Choice
a. 3.0%
b. 4.0% c. 12.0% d. 12.5%

Answers

Yellowday Energy's ROI for the year was 12.0%, indicating that the company is earning a solid return on its investment.The correct option is (c).

To calculate the ROI for Yellowday Energy, we need to use the formula:
ROI = (Net Profit / Total Investment) x 100
However, we are not given the net profit or total investment figures, but we are given the margin and turnover.
The margin is the percentage of profit made on each sale, so we can calculate the net profit by multiplying the sales revenue by the margin:
Net Profit = Margin x Sales Revenue
Net Profit = 3% x $50 million
Net Profit = $1.5 million



The turnover is the number of times a company's inventory is sold and replaced over a period of time, so we can calculate the total investment by dividing the sales revenue by the turnover:
Total Investment = Sales Revenue / Turnover
Total Investment = $50 million / 4.0
Total Investment = $12.5 million
Now, we can plug in these values into the ROI formula:
ROI = ($1.5 million / $12.5 million) x 100
ROI = 12.0%
Therefore, the answer is c. 12.0%.

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the division of labor in an organization is reflected by the number of job titles in the company.

Answers

The number of job titles in a company is a reflection of the division of labor within the organization. As companies grow and become more complex, they tend to create more specialized roles and departments to better organize their resources and streamline their operations.

The number of job titles in a company is a reflection of the division of labor within the organization. As companies grow and become more complex, they tend to create more specialized roles and departments to better organize their resources and streamline their operations. This often results in a larger number of job titles within the company, each representing a specific role or function. The division of labor is important for ensuring that tasks are completed efficiently and effectively, and that employees are able to focus on their areas of expertise. By breaking down the work into smaller, more manageable pieces, companies can achieve greater productivity and success.

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________ have dominant strategies that make player decisions easy to predict.
a. All games b. Only prisoners dilemma games c. Only two types of games d. Only games involving firms e. Not all games

Answers

Not all games have dominant strategies that make player decisions easy to predict. However, some games do have dominant strategies, which are strategies that are the best choice for a player regardless of the other player's strategy. These dominant strategies can simplify decision-making and make it easier to predict the choices of other players. However, not all games have dominant strategies, and even in games that do have dominant strategies, there may be other factors at play that make the outcome less predictable.

Therefore, the answer is e. Not all games.

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2. How was Walgreens able to apply marketing research insights to boost revenues in a sluggish economy?
Group of answer choices
Repositioning from a low-cost health care brand to a premium health care brand
Repositioning from a convenience store image to a premium health care brand
Conveying the key message of everyday low prices
Improving awareness of local store locations

Answers

Walgreens was able to apply marketing research insights to boost revenues in a sluggish economy by repositioning from a convenience store image to a premium health care brand. They focused on providing more health care services, such as immunizations and health screenings, which helped to lower health care costs for customers.

This repositioning strategy helped to differentiate Walgreens from competitors and attract customers who were looking for affordable health care options. By improving their brand image and providing more valuable services, Walgreens was able to increase revenues even in a sluggish economy.

Any method or collection of procedures used by businesses to gather data in order to better understand their target market is referred to as marketing research. Companies use this information to increase their UX, upgrade their products, and provide customers with better products.

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