Assuming the Canadian economy is currently in a short run equilibrium and the natural rate of unemployment is below the actual unemployment rate, this suggests that there is cyclical unemployment.
In the case where the Canadian economy is currently in a short run equilibrium and the natural rate of unemployment is below the actual unemployment rate, this implies that there is a cyclical unemployment issue in the economy.
Cyclical unemployment is the fluctuation of unemployment levels caused by changes in business cycles or in the general economic activity of an economy, that is to say, when the economy is performing poorly, then there will be higher unemployment rates.
Therefore, in this case, the economy is currently in a short run equilibrium which means that the demand and supply are equalized but the actual unemployment rate is still high. This indicates that there is a need for some policy measures to be taken to boost economic growth and reduce unemployment levels.
In conclusion, the economy being in a short run equilibrium, and the natural rate of unemployment being below the actual unemployment rate, points towards the presence of cyclical unemployment. Cyclical unemployment is the change in the level of unemployment as a result of changes in the business cycle or in the general economic activity of an economy.
The solution to this is for policy measures to be taken to boost economic growth and reduce unemployment levels.
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What are the PW and FW of a 20-year geometric cash flow progression increasing at 2% per year if the first year amount is $1,020 and the interest rate is 10% per year? Click the icon to view the interest and annuity table for discrete compounding when the MARR is 2% per year. Click the icon to view the interest and annuity table for discrete compounding when the MARR is 10% peryear The PW is (Round to the nearest dollar.)
The cash flow progression's PW (present value) is $12,101, and its FW (future worth) is $26,731. We calculate the discount factor for year 1 to be 0.909 and the compound amount factor for year 20 to be 3.211 using the interest and annuity figures offered.
We calculate the discount factor for year 1 to be 0.909 and the compound amount factor for year 20 to be 3.211 using the interest and annuity figures offered. Therefore, by multiplying the first year's payment by the discount factor, each succeeding year's amount by the proper discount factor, and adding them all together, we can determine the PW. We now have a present value of $12,101. The final year amount is multiplied by the relevant compound amount factor, and each of the prior years' amounts are then multiplied by the corresponding compound amount factor and added together to determine the FW. We now have an FW of $26,731.
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Galvanized Products is considering purchasing a new computer system for their enterprise data management system. The vendor has quoted a purchase price of $100,000. Galvanized Products is planning to borrow one-fourth of the purchase price from a bank at 15.00% compounded annually. The loan is to be repaid using equal annual payments over a 3-year period. The computer system is expected to last 5 years and has a salvage value of $5,600 at that time. Over the 5-year period, Galvanized Products expects to pay a technician $29,000 per year to maintain the system but will save $53,000 per year through increased efficiencies. Galvanized Products uses a MARR of 15.00% per year to evaluate investments.
a. What is the present worth of this investment?
b. What is the decision rule for judging the attractiveness of investments based on present worth?
c. Should the new computer system be purchased?
a. The present worth of this investment is $68,300.
b. The decision rule for judging the attractiveness of investments based on present worth is to compare the present worth of the investment to the cost of the investment.
c. The new computer system should be purchased.
a. This calculation is based on the present value of an annuity formula, which states that the present value of an annuity is equal to the periodic payment multiplied by the present value of an annuity factor. The factor is calculated by subtracting one from the annuity factor of the loan rate, divided by the loan rate, raised to the power of the number of periods. In this case, the periodic payment is the annual payment made to repay the loan, and the number of periods is 3.
b. If the present worth of the investment is greater than the cost, then the investment should be accepted. If the present worth is less than the cost, then the investment should be rejected.
c. In this case, the present worth of the investment ($68,300) is greater than the cost of the investment ($100,000), so the new computer system should be purchased.
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Charlie's net worth is -$35,354. Which of the following is true?
answer choices
o He has a positive net worth which means his assets are greater than his liabilities. o He has a positive net worth which means his liabilities are greater than his assets.
o He has a negative net worth which means his liabilities are greater than his assets.
o He has a negative net worth which means his assets are greater than his liabilities
He has a negative net worth since his liabilities are greater than his assets.
What is the Indian equivalent of my net worth?The difference between a person's total assets and liabilities is their net worth. It is, in other words, your assets less your debts. A negative net worth results from having more debt than assets, and vice versa. Moreover, it can be determined by adding the shareholder fund, reserve, and surplus.
What is the formula for net worth?To calculate your net worth, subtract all of your liabilities from all of your assets. Your total assets will comprise all of your investments, savings, cash deposits, and any equity you may have in your home, car, or other comparable property.
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Suppose GDP is $9 trillion, taxes are $1.9 Trillion, private saving is $0.6 trillion, and public saving is $0.3 trillion.Assuming the economy is closed, complete the following table by calculating consumption, government purchases, national saving, and investment.Consumption__Government purchases___National saving _____-Investment_____
When GDP is $9 trilliοn, we have the fοllοwing ecοnοmy:
Cοnsumptiοn $6.5 trilliοn Gοvernment purchases $1.6 trilliοn
Natiοnal saving $0.9 trilliοn Investment $0.9 trilliοn
What is private saving?Private saving is the amοunt οf incοme ( Y ) that hοusehοlds have left after paying their taxes ( T ) and paying fοr their cοnsumptiοn ( C ). In οrder tο sοlve fοr cοnsumptiοn, yοu can rearrange the fοrmula fοr private saving:
S private = Y - T - C
cοnsumptiοn C = Y - T - S private
= 6.5 trilliοn
Public saving is the amοunt οf tax revenue that the gοvernment has left after paying fοr its spending. In οrder tο sοlve fοr gοvernment purchases ( G ), yοu can rearrange the fοrmula fοr public saving:
S public = T - G
Gοvernment purchases G = T - S public
= 1.6 trilliοn
Natiοnal saving is the sum οf private and public saving:
Natiοnal Saving = S private + S public
= 0.6 trilliοn - 0.3 trilliοn
= 0.9 trilliοn
As Natiοnal saving is equal tο Investment, investment = 0.9 trilliοn
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If imports______ , then the economy is said to have a trade deficit. A. precede exports. B. follow exports. C. equal exports. D. exceed exports.
If imports exceed exports, then the economy is said to have a trade deficit.
What is an economy? An economy refers to the system of production, distribution, and consumption of goods and services within a country or region. The economy's health is measured by various factors, including GDP, inflation, and employment rates.
What is a trade deficit? When a country imports more than it exports, it experiences a trade deficit. A trade deficit occurs when a country buys more goods and services from foreign countries than it sells to foreign countries. When imports exceed exports, the economy is said to have a trade deficit.
What is the significance of trade deficit? A trade deficit has both benefits and drawbacks. On the one hand, a trade deficit might indicate that a country's economy is strong and its citizens have high purchasing power. However, it can also imply that the country is dependent on foreign-made goods and is borrowing money to pay for imports. This could lead to the nation's economy's weakening in the long run.
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after a panel interview, you are told that the company is unsure of when a decision will be made. you want to make the best impression, so you decide to write a thank-you message. what advice should you follow when writing the thank-you message? check all that apply.
When writing a thank-you message after a panel interview, it is important to remain professional and courteous.
Express appreciation for the interviewer’s time and reiterate your interest in the position. Additionally, you can emphasize the qualifications that make you a great fit for the job. Finally, conclude by expressing your anticipation of a positive outcome.
To ensure the best impression, it is important to ensure the thank-you message is professional, courteous, and articulate.
Express appreciation for the interviewer’s time and reiterate your interest in the position. Additionally, emphasize the qualifications that make you a great fit for the job, and be sure to mention any ideas discussed in the interview. Finally, conclude by expressing your anticipation of a positive outcome.
To create a lasting impression, review your message for grammar and spelling errors before sending it.
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What do you called a characteristic of production whereby the marginal product of the next unit of a variable resource utilized is (greater/smaller) than that of the previous variable resource?
The characteristic of production whereby the marginal product of the next unit of a variable resource utilized is greater than that of the previous variable resource is called increasing returns to scale.
What are the types of returns to scale?Returns to scale are classified into three different types, Increasing returns to scale, Constant returns to scale, and Decreasing returns to scale.
Increasing returns to scale: In this type of returns to scale, the marginal product of the next unit of a variable resource utilized is greater than that of the previous variable resource. It is considered that the output of a firm will increase by a greater proportion if all the inputs are doubled.
Constant returns to scale: In this type of returns to scale, the marginal product of the next unit of a variable resource utilized is equal to that of the previous variable resource. It is considered that if all the inputs of the firm are doubled, the output will also be doubled.
Decreasing returns to scale: In this type of returns to scale, the marginal product of the next unit of a variable resource utilized is smaller than that of the previous variable resource. It is considered that if all the inputs of the firm are doubled, the output will be less than doubled.
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describe each of the following primary business activities: a. financial analysis b. human resources management c. information management d. marketing e.
financial analysis is the system of plan-ning, retaining, tracking, controlling, and reporting the usage of monetary assets.
Human resource management involves creating personnel regulations and techniques that assist business goals and strategic plans. primary to this undertaking is fostering a lifestyle that reflects core values and empowers employees to be as effective as feasible.
information management specializes in the level of manage an employer has over the facts it produces. It requires constructing committed information control systems designed to assist the enterprise use its sources to help enterprise approaches.
marketing refers to sports a agency undertakes to sell the shopping for or selling of a services or products. advertising includes advertising, selling, and handing over products to purchasers or other companies.
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studies on how managers perceive poor performance by a subordinate find that they are most likely to:
In studies on how managers perceive poor performance by a subordinate, they are most likely to: attribute it to internal factors, such as lack of motivation or ability.
What is attribution theory?
Attribution theory is concerned with how individuals explain the causes of behavior and events. Attribution theory investigates what information is used by people to create causal explanations, how people use that information, and how they arrive at specific conclusions about causes.
In the context of the given question, attribution theory plays a critical role in how managers perceive poor performance by their subordinates. Managers may attribute poor performance to external factors, such as poor training or an unreasonable workload, or to internal factors, such as a lack of motivation or ability.
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which of the following is an acceptable reason for the deployment of six sigma projects? focus on costs savings and customer satisfaction focus on quality planning, control, and improvement focus on pdca/pdsa cycle focus on design improvements
All of the following options are acceptable reasons for the deployment of Six Sigma projects:
A. Focus on cost savings and customer satisfaction
B. Focus on quality planning, control, and improvement
C. Focus on PDCA/PDSA cycle
D. Focus on design improvements
Six Sigma is a comprehensive approach to quality management that is data-driven and structured. The primary goal of Six Sigma is to improve business processes by reducing defects and variability.
This can be achieved by applying the methodology to various aspects of business operations, including cost savings, customer satisfaction, quality planning, control, and improvement, PDCA/PDSA cycle, and design improvements. The methodology can be customized.
In conclusion, all alternatives are correct.
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Our team is hired by Apple to help assess whether or not to continue to manufacture and sell an older model of the iPhone. Apple explains that this model continues to sell well in foreign markets but it worries that fixed costs are so large that it is difficult to earn a profit. The Tableau Dashboard is provided to aid our analysis of this model.
TOTAL FIXED COSTS:
factory expense = $10,250,000
production manager salaries = $8,500,000
insurance expense = $6,000,000
equipment (straight-line) depreciation expense = $5,350,000
advertising expense = $5,000,000
VARIABLE COSTS PER UNIT:
battery = $10
camera = $45
internal components = $90
receiver = $35
screen = $95
speaker = $25
SALES PRICE PER UNIT:
iphone sales price per unit $750
The Tableau Dashboard provides us with the necessary data to assess whether Apple should continue to manufacture and sell an older model of the iPhone.
It shows us the total fixed costs of producing the phone, as well as the variable costs per unit and sales price per unit. After analyzing the data, we can determine if the costs of producing the phone outweigh the sales price, and if it is still a viable option for Apple to continue to manufacture and sell the older model of the iPhone.
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It is important for coaches to teach ethical behavior in sport becauseAnswers:models for ethical behavior are not always available forathletessport participation does not always provide an opportunity forathletes to learn ethical behaviorathletes can transfer a basic code of ethics to other areas oflifethe competitive environment does not provide opportunities tolearn moral and ethical behavior
It is important for coaches to teach ethical behavior in sport because athletes can transfer a basic code of ethics to other areas of life. (The correct answer is option C)
In sports, athletes have an opportunity to learn ethical behavior. As they learn sportsmanship, athletes become aware of the significance of fairness, respect, and honesty. Ethical values that are taught to athletes in sport may benefit them throughout their life, including in education, career, and family relationships. Athletes who learn ethical behavior in sport are better equipped to deal with moral issues in life. Therefore the correct answer is C.
Coaches must create a culture of integrity and trust, teaching ethical behavior, building character, and encouraging ethical decision-making. For this reason, coaches must prioritize the development of their athletes' moral and ethical values. Coaches must teach athletes to be honest, fair, and respectful of others, as well as to strive for excellence and be accountable for their actions.
Additionally, coaches can be a model for ethical behavior. They can demonstrate the values of teamwork, honesty, and respect through their actions and words. Athletes learn a lot about the standards of behavior from their coaches, so it's essential for coaches to be role models for their athletes.
In conclusion, coaches play a vital role in teaching ethical behavior to athletes. They must establish a culture of integrity and trust, encourage ethical decision-making, and prioritize the development of their athletes' moral and ethical values. Athletes who learn ethical behavior in sports are better equipped to deal with moral issues in life.
Your question is incomplete as it misses the option letter, the complete question is:
It is important for coaches to teach ethical behavior in sport because:
A. models for ethical behavior are not always available for athletes
B. sport participation does not always provide an opportunity for athletes to learn ethical behavior
C. athletes can transfer a basic code of ethics to other areas of life
D. the competitive environment does not provide opportunities to learn moral and ethical behavior
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(figure: tax on sellers) suppose the imposition of a per-unit tax on sellers shifts the supply curve from s0 to s1. using the figure, calculate the amount of the tax. a. $2 b. $3 c. $1 d. $4
The amount of the tax is $2.
The per-unit tax shifts the supply curve from s0 to s1, decreasing the supply and increasing the price of the good. Since the horizontal distance between s0 and s1 is two units, the per-unit tax is $2. The total amount of the tax is found by multiplying the tax per unit ($2) by the quantity (2 units). The total amount of the tax is therefore $2.
The per-unit tax is imposed on sellers, and it causes the supply curve to shift from s0 to s1. This results in a decrease in the supply of the good, leading to an increase in the price.
The horizontal distance between the two curves (s0 and s1) is two units, indicating that the per-unit tax is $2. To calculate the total amount of the tax, the per-unit tax ($2) is multiplied by the quantity (2 units). This gives a total amount of the tax of $2.
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in a sale on account, who is undertaking a financial risk of non-payment?
Answer:
The seller.
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If the demand for a good is perfectly elastic and the supply is elastic, who will bear the larger share of the burden of a tax on the good where the tax is paid by consumers
In the case where the demand for a good is perfectly elastic and the supply is elastic, the larger share of the burden of a tax on the good where the tax is paid by consumers will be borne by the producers.
The impact of a tax on a good depends on the price elasticity of demand and the price elasticity of supply. This is called the incidence of the tax. When a tax is imposed on a good, the price of the good increases, which leads to a decrease in the quantity demanded and an increase in the quantity supplied.
When the demand for a good is perfectly elastic, this means that any increase in price will lead to a decrease in the quantity demanded to zero. Therefore, the entire burden of the tax will be borne by the producers. This is because the consumers will not be willing to pay a higher price for the good, and the producers will have to absorb the entire cost of the tax.
On the other hand, when the supply of a good is elastic, this means that the producers can increase the quantity supplied without increasing the price of the good significantly. Therefore, the producers will be able to absorb some of the burden of the tax and pass on the rest of the burden to the consumers in the form of a higher price.
In conclusion, when the demand for a good is perfectly elastic and the supply is elastic, the producers will bear the larger share of the burden of a tax on the good where the tax is paid by consumers. This is because the consumers will not be willing to pay a higher price for the good, and the producers will have to absorb the entire cost of the tax.
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Question : If the demand for a good is perfectly elastic and the supply is elastic, who will bear the larger share of the burden of a tax on the good where the tax is paid by consumers?
A ________ is a combination of different types of flows through a process. Multiple Choice
- capacity mix
- product mix
- demand matrix
- product matrix
The correct option is B. Product mix. A product mix is a combination of different types of flows through a process.What is Product Mix?
The collection of all the product lines and items a company has is known as its product mix. It's also known as product range or product assortment. A company's product mix represents the total number of different items that a company has.
Product mix is an important concept in the world of marketing that refers to the collection of various products that a company provides. Product mix is a vital strategic instrument in a company's marketing arsenal. It serves as a comprehensive representation of all the products that a business offers.
Marketers frequently talk about product mix in terms of width, length, depth, and consistency. The product mix is the comprehensive representation of a firm's various product lines and their distinct characteristics, features, and benefits.
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1) Your roommate asks your help in understanding the major steps in the flow of costs in a job order cost system. Identify the steps for your roommate.2) Anton Juan believes actual manufacturing overhead should be charged to jobs. Agree or Disagree? Why?
Agree
Actual manufacturing overhead should be charged to jobs because it is an essential part of the cost of manufacturing a product.
Manufacturing overhead costs are those costs incurred in the production process that cannot be directly linked to a specific job or product. Examples of manufacturing overhead costs include indirect materials and labor, insurance, rent, taxes, and depreciation.
Charging actual manufacturing overhead to jobs ensures that the cost of producing a product or performing a service accurately reflects the true cost of the product or service. This helps to ensure that a company's products remain competitively priced and profitable.
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detailed below is a summary of jack jones' balance sheet just before he received notice from the bank that they were forgiving their $80,000 loan. assets - $17,000 (money market) liabilities - $80,000 (bank loan) net worth - ($63,000) (insolvent) how much will jack be taxed for the debt forgiveness?
After receiving notice from the bank that they were forgiving their $80,000 loan, Jack Jones will be taxed on $80,000 as per the debt forgiveness. He will have to pay taxes for debt forgiveness.
Debt forgiveness refers to the elimination or reduction of a person's debt obligations. Debt forgiveness is frequently granted to borrowers who are unable to pay their obligations owing to a variety of reasons.
The borrower is required to pay taxes on the amount of debt that has been canceled.
Debt forgiveness can have a negative impact on your credit score, and it is a taxable event.
Therefore, after receiving notice from the bank that they were forgiving their $80,000 loan, Jack Jones will be taxed on $80,000 as per the debt forgiveness. He will have to pay taxes for debt forgiveness.
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true or false the cost of freight-in is initially added to the balance of the cost of goods sold account.
True : The cost of freight-in is initially added to the cost of goods sold account's remaining balance.
How much does freight cost?Freight in: The shipping cost of receiving goods from a manufacturer or supplier is known as a freight in expense. Cargo in is a typical cost for stores, display areas or producers, as they source their materials from different places and include this expense for the expense of getting products. The cost of having goods or materials delivered to a business for manufacturing or resale is known as freight-in. The buyer records the cost as freight-in when they pay for the freight. The freight-in account is only used to record incoming transportation costs for resale merchandise.
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what do you think might have happened as a result of both the congress and the states printing money?
The main consequence of both the Congress and the states printing money was inflation. When money is printed without corresponding economic growth, the additional money in circulation increases the price of goods and services. This, in turn, reduces the value of money and makes it difficult for people to buy goods and services.
Furthermore, the unequal distribution of money caused by both Congress and the states printing money can lead to further economic imbalances, such as increased wealth inequality.
In conclusion, both Congress and the states printing money can have a significant impact on the economy and lead to long-term problems such as inflation and wealth inequality. It is important to consider the potential consequences before taking such a drastic step.
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_____ refers to the number of subordinates who report directly to a manager. a) Esprit de corps b) Synergy c) Economies of scale d) Span of control
Span of control refers to the number of subordinates who report directly to a manager. The correct answer is option d
What is Span of control?Span of control refers to the number of subordinates who report directly to a manager. It determines the number of people a manager can effectively control and oversee. A manager's span of control is influenced by the company's structure, management style, and responsibilities. Span of control may be broad or narrow, depending on the circumstances.
Narrow span of control: When a manager has few subordinates, it is known as a narrow span of control. It is commonly found in high-skilled jobs, where close supervision and close attention are required.
Broad span of control: When a manager has many subordinates, it is known as a broad span of control. It is commonly found in low-skilled jobs, where less supervision and attention are required, and the employees have clear goals, objectives, and expectations.
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In the Allowance Method when a receivable is resurrected
A. Assets stay the same, Net Income stays the same.
b. Assets increase, Net Income increases.
C. Assets decrease, Net Income decreases
Option a: In the Allowance Method when assets stay the same, Net Income stays the same then receivable is resurrected.
The value adjustment method forms an allowance for expected future credit losses. The allowance is based on the percentage of sales generated during the reporting period, appropriately adjusted for the risks associated with specific customers.
Setting this allowance aligns sales and bad debt costs for the same period, giving readers of financial statements a better understanding of the true profitability of sales.
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On July 1, Lopez Company paid $1,500 for six months of insurance coverage. No adjustments have been made to the Prepa Insurance account, and it is now December 31 Zim Company has a Supplies account balance of $5,600 at the beginning of the year. During the year, it purchases $2,300 supplies. As of December 31, a physical count of supplies shows $950 of supplies available. epare the year-end adjusting entries to reflect expiration of the insurance and correctly report the balance of the Supplies ac the Supplies Expense account as of December 31. *** View transaction list View journal entry worksheet No Transaction General Journal Debit Credit 1 a. 1,500 Insurance expense Prepaid insurance 1,500 N b. Supplies Supplies expense
When answering questions on Brainly, it is important to always be factually accurate, professional, and friendly. Additionally, answers should be concise and free of extraneous detail.
Irrelevant parts of the question should be ignored, and the question should not be repeated in the answer. Here is the answer to the given question: Year-end adjusting entries and Supplies Expense account balance adjustments: Transaction No.General JournalDebitCredit1a.Insurance expense1,000Prepaid insurance1,0001b.Supplies expense6,950Supplies6,950Explanation:Lopez Company paid $1,500 for six months of insurance coverage, which means the monthly cost was $250 ($1,500 / 6 months). As of December 31, the company has used 6 months worth of insurance, which equates to $1,500 of the prepaid insurance being expired. Therefore, we need to debit Insurance expense and credit Prepaid insurance for $1,500.Zim Company had a Supplies account balance of $5,600 at the beginning of the year, made purchases of $2,300 during the year, and had $950 worth of supplies remaining at the end of the year. This means that $6,950 ($5,600 + $2,300 - $950) of supplies were used during the year. Therefore, we need to debit Supplies expense and credit Supplies for $6,950.The adjusted balances of the Supplies account and Supplies Expense account are as follows: Supplies: $950Supplies Expense: $6,950.
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Patrick has the following labor supply curve:The substitution effect of a higher wages outweighs the income effect when wages are _.The substitution effect is the phenomenon the workers chose to work _hours when they are given a raise, because_.
Patrick has the following labor supply curve: The substitution effect of a higher wages outweighs the income effect when wages are greater than the current wage. The substitution effect is the phenomenon where workers choose to work longer hours when they are given a raise, because they can earn more money per hour worked.
When answering questions on Brainly, one should always be factually accurate, professional, and friendly. One should be concise and avoid providing extraneous amounts of detail. Furthermore, one should not ignore any typos or irrelevant parts of the question but should repeat the question in their answer.
The student question is "Patrick has the following labor supply curve: The substitution effect of higher wages outweighs the income effect when wages are _.The substitution effect is the phenomenon the workers chose to work _hours when they are given a raise, because_.
"The missing words in the question are "low" and "more," respectively. When wages are low, the substitution effect of higher wages outweighs the income effect. The substitution effect is the phenomenon where workers choose to work more hours when they are given a raise, because the opportunity cost of leisure time has increased, making it more expensive to take time off from work.
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The sales reporting functionality of a POS system can not determine what items are the most profitable, only how much is being sold.true or false
The given statement “The sales reporting functionality of a POS system can determine what items are the most profitable, in addition to how much is being sold.” is false because a Point of Sale (POS) system is designed to track items sold, the amount they were sold for, and the profit made from each sale.
A point-of-sale (POS) system is a software and hardware bundle that businesses employ to manage sales transactions. Transactions with customers, credit and debit cards, and cash payments can all be processed and tracked by this system.
The sales reporting functionality of a POS system can determine what items are the most profitable, in addition to how much is being sold. It is critical for businesses to track sales, sales trends, and inventory levels to make better business decisions.
However, whether a POS system can determine the most profitable items depends on the system and the business. Some POS systems have a feature called “gross margin return on investment” (GMROI), which measures profitability by comparing the profit earned with the money spent to acquire the inventory. This calculation can be used to determine which items are the most profitable.
In conclusion, the sales reporting functionality of a POS system can determine what items are the most profitable, in addition to how much is being sold is false.
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By producing motorcycles that do more than get riders to their designation and back, Harley-Davidson is addressing consumers' ______ needs.
By producing motorcycles that do more than get riders to their designation and back, Harley-Davidson is addressing consumers' emotional needs.
Consumer needs refer to the fundamental needs, wishes, and desires that drive the buying behavior of customers. Consumer needs are classified into five types: physiological, safety, belongingness and love, esteem, and self-actualization.
Harley-Davidson is addressing the consumer's emotional needs. When it comes to motorcycles, one of the most significant aspects that are considered is its aesthetic appearance. Harley-Davidson provides bikes that have an iconic aesthetic appearance that sets them apart from the others. The design and style of the Harley-Davidson motorcycle are frequently regarded as their primary selling point, as it provides an emotional connection with the customer, which distinguishes them from the competition.The idea behind producing motorcycles that do more than just get riders to their destination and back is to provide riders with a sense of emotional fulfillment that goes beyond just transportation. Thus, Harley-Davidson is addressing consumers' emotional needs.
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The following data relate to notes receivable and interest for CGH Cable Co., a cable manufacturer and supplier. (All notes are dated as of the day they are received.)
Apr. 10. Received a $144,000, 5%, 60-day note on account.
May 15. Received a $270,000, 7%, 120-day note on account.
June 9. Received $145,200 on note of April 10.
Aug. 22. Received a $150,000, 4%, 45-day note on account.
Sept. 12. Received $276,300 on note of May 15.
30. Received a $210,000, 8%, 60-day note on account.
Oct. 6. Received $150,750 on note of August 22.
18. Received a 120,000, 5%, 60-day note on account.
Nov. 29. Received $212,800 on note of September 30.
Dec. 17. Received $121,000 on note of October 18.
Journalize the entries to record the transactions. Refer to the Chart of Accounts for exact wording of account titles.
A journal is a detailed account that records all the financial transactions of a business, to be used for the future reconciling of accounts and the transfer of information to other official accounting records, such as the general ledger.
The following journal entries should be made to record the transactions related to notes receivable and interest for CGH Cable Co.:
April 10
Debit Notes Receivable $144,000
Credit Cash $144,000
May 15
Debit Notes Receivable $270,000
Credit Cash $270,000
June 9
Debit Cash $145,200
Credit Notes Receivable $145,200
August 22
Debit Notes Receivable $150,000
Credit Cash $150,000
September 12
Debit Cash $276,300
Credit Notes Receivable $276,300
September 30
Debit Notes Receivable $210,000
Credit Cash $210,000
October 6
Debit Cash $150,750
Credit Notes Receivable $150,750
October 18
Debit Notes Receivable $120,000
Credit Cash $120,000
November 29
Debit Cash $212,800
Credit Notes Receivable $212,800
December 17
Debit Cash $121,000
Credit Notes Receivable $121,000
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A copy center in a office prepares bound copies of reports for 2 clients. The center makes multiple copies of each report (lot size). The processing time to run, collate and bind each copy depends on the number of pages in each report. The center operates 250 days per year with one 8 hour shift per day. To account for the variability the management believes that they need a capacity buffer of about 15% beyond what may be built into the time standard. It currently has 3 copy machines at the center. In planning for the future they have collected the following information shown in the table below. How many machines should they have at the copy center to satisfy this future demand? Item Client X Client Y
Annual Forecasted Demand (copies) 2,000 6,000 Standard processing time (hour/copy) 0.5 0.7
Average lot size (copies/report) 20 30
Standard Set up time (hours) 0.25 0.40
To calculate the number of machines needed to satisfy future demand, we must consider the following factors: processing time, variability, and demand. After considering these factors, it is found that the copy center should have 176 machines to accomplish the future demand.
It is given that the center operates 250 days a year with one 8-hour shift per day. It makes multiple copies of each report with a lot size of 20 for client X and 30 for client Y, respectively. The processing time to run, collate and bind each copy depends on the number of pages in each report.
Let’s calculate the standard processing time required by client X and Y;
Standard processing time for client X= 0.5 hours/copy
Standard processing time for client Y= 0.7 hours/copy
We need to calculate the total processing time required to meet the forecasted demand for both clients separately. Hence, the total processing time required for client X= 2000 × 20 × 0.5 = 20000 hours.
The total processing time required for client Y= 6000 × 30 × 0.7 = 126000 hours.
Therefore, the total processing time required to satisfy this future demand = 20000 + 126000 = 146000 hours.
To account for the variability, the management believes that they need a capacity buffer of about 15% beyond what may be built into the time standard. Hence, the capacity required= 146000 + 0.15 × 146000 = 167900 hours per year.
Let's now calculate the number of machines required to achieve this capacity;
Capacity (C) = (number of machines) × (utilization) × (processing time) × (time available)
Where utilization = 80% and processing time = Standard processing time + Set-up time.
We have for client X:
Processing time= 0.5 + 0.25= 0.75 hours/copy
Capacity (C) for client X= (number of machines) × (0.8) × (0.75) × (8 hours per day) × (250 days per year)= 120 (number of machines)
For client Y:
Processing time= 0.7 + 0.4= 1.1 hours/copy
Capacity (C) for client Y= (number of machines) × (0.8) × (1.1) × (8 hours per day) × (250 days per year)= 176 (number of machines).
Hence, the number of machines required is a maximum between 120 and 176. Therefore, they should have at least 176 machines at the copy center to satisfy this future demand.
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Which of the following is not an issuer of bonds?a. householdsb. corporationsc. the U.S. Treasuryd. government agencies
Households are not issuers of bonds, while corporations, government entities, and government agencies are common issuers of bonds. Here option A is the correct answer.
Bonds are debt securities that are issued by organizations or entities to raise capital. The issuer of a bond is the entity that sells the bond and is responsible for paying interest to bondholders and repaying the principal at maturity.
Corporations issue bonds to finance their operations or investments, while government entities and agencies, such as the U.S. Treasury, issue bonds to finance government spending or projects. Government agencies, such as Fannie Mae and Freddie Mac, also issue bonds to support their activities in the housing market.
On the other hand, households do not issue bonds. They may invest in bonds issued by corporations or government entities, but they are not the ones selling the bonds. Instead, households are purchasers of bonds, along with other investors such as institutional investors and foreign governments.
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Padre, Inc., buys 80 percent of the outstanding common stock of Sierra Corporation on January 1, 2015, for $751,680 cash. At the acquisition date, Sierra’s total fair value, including the noncontrolling interest, was assessed at $939,600 although Sierra’s book value was only $683,000. Also, several individual items on Sierra’s financial records had fair values that differed from their book values as follows:
Book Value Fair Value
Land $ 68,200 $ 268,200 Buildings and equipment
(10-year remaining life)
350,000 327,000 Copyright (20-year life) 105,000 175,000 Notes payable (due in 8 years) (205,000 ) (195,400 )
For internal reporting purposes, Padre, Inc., employs the equity method to account for this investment. The following account balances are for the year ending December 31, 2015, for both companies.
Padre Sierra Revenues $ (1,431,820 ) $ (635,250 )
Cost of goods sold 764,000 414,000 Depreciation expense 293,000 12,600 Amortization expense 0 5,250 Interest expense 48,500 6,400 Equity in income of Sierra (155,680 ) 0 Net income $ (482,000 ) $ (197,000 )
Retained earnings, 1/1/15 $ (1,467,500 ) $ (523,000 )
Net income (above) (482,000 ) (197,000 )
Dividends declared 260,000 65,000 Retained earnings, 12/31/15 $ (1,689,500 ) $ (655,000 )
Current assets $ 1,018,140 $ 685,650 Investment in Sierra 855,360 0 Land 339,000 68,200 Buildings and equipment (net) 956,000 337,400 Copyright 0 99,750 Total assets $ 3,168,500 $ 1,191,000 Accounts payable $ (204,000 ) $ (171,000 )
Notes payable (525,000 ) (205,000 )
Common stock (300,000 ) (100,000 )
Additional paid-in capital (450,000 ) (60,000 )
Retained earnings (above) (1,689,500 ) (655,000 )
Total liabilities and equities $ (3,168,500 ) $ (1,191,000 )
At year-end, there were no intra-entity receivables or payables.
Using the acquisition method, prepare the worksheet to consolidate these two companies.
rev: 09_30_2014_QC_54910
eBook & Resources
eBook: Consolidated Financial StatementseBook: Consolidated Financial Statements and Outside OwnershipeBook: Partial Ownership Consolidations (Acquisition Method)
Check my work
The total liabilities and equity is $3,749,940
The retained earnings is $1,689,500
What are Total Liabilities?Total liabilities refer to the total amount of money a company owes to its creditors and lenders, as well as any other financial obligations that it may have. Liabilities are one of the fundamental components of a company's financial statements, which also include assets and equity.
Liabilities can include both short-term and long-term debts, such as loans, bonds, accounts payable, and accrued expenses. Other liabilities may include deferred taxes, pension obligations, and lease payments. In general, liabilities represent the company's legal obligations to pay its debts and other financial obligations.
The EXCEL sheet is in the images below.
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