which of the following are considered to be money? items (6 items) (drag and drop into the appropriate area below) savings depositscredit cardscurrencymoney market mutual fundschecking depositschecks

Answers

Answer 1

The items that are considered to be money are Currency, Checking deposits and Savings deposits.

Which of the following are considered to be money?

Money:

- Currency

- Checking deposits

- Savings deposits

Not Money:

- Credit cards

- Money market mutual funds

- Checks

Currency, such as coins and banknotes, is the physical form of money that can be used for transactions. Checking deposits and savings deposits in banks are considered money because they can be easily converted into currency or used for electronic transactions.

Credit cards are not considered money themselves, but they are a means of accessing credit or borrowing money. Money market mutual funds are investment vehicles that may offer liquidity but are not directly used as a medium of exchange. Checks, while used for transactions, are not considered money in themselves but are instruments that represent the transfer of money from one account to another.

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a new government is elected and announces that once it is inaugurated, it will increase the money supply. use the dd-aa model to study the economy’s response to this announcement

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An increase in the money supply can have short-term benefits, it can also lead to long-term negative consequences such as inflation.


The DD-AA model helps analyze the effects of monetary policy on the economy. In the short run, an increase in the money supply shifts the DD curve to the right. This leads to a higher output level and a lower interest rate. The shift occurs because an increase in the money supply increases the demand for goods and services, thus raising output, while the lower interest rate makes borrowing cheaper, spurring investment and consumption.
In the long run, however, the increase in the money supply will cause inflation. As prices rise, output will decrease, and the AA curve will shift left. This will lead to higher interest rates and a lower output level. Therefore, the impact of an increase in the money supply depends on whether the economy is in the short or long run.
Additionally, an increase in the money supply can lead to a depreciation of the currency, which can boost exports and reduce imports, thus increasing net exports. This can further shift the DD curve to the right.
Overall, while an increase in the money supply can have short-term benefits, it can also lead to long-term negative consequences such as inflation. The government should carefully consider the effects of such a policy and weigh the benefits against the potential drawbacks.

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You have deposited $19,668 in a special account that has a guaranteed rate of return. If you withdraw $4,000 at the end of each year for 6 years, you will completely exhaust the balance in the account. The guaranteed rate of return is closest to: (Ignore income taxes.) Click here to view Exhibit 12B-1 and Exhibit 12B-2, to determine the appropriate discount factor(s) using the tables provided. Multiple Choice A) 6% B) 7% C) 5% D) 8%

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In banking and accounting, the balance is the amount of money owed on an account.

The balance is the sum owing on an account in banking and accounting. The term "balance" in bookkeeping refers to the difference between the total of debit entries and the total of credit entries made into an account over the course of a certain financial period. The account shows a debit balance when total debits exceed total credits.

In today's fast-paced world, maintaining a balanced existence is more crucial than ever for your personal health and wellbeing.

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TRUE/FALSE. Advertisers only have to pay when they actually receive a click

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False.

Advertisers have different payment models, including pay-per-click (PPC), pay-per-impression (PPI), and pay-per-action (PPA).

In PPC, advertisers only pay when a user clicks on their ad. PPC is a popular online advertising model used by many platforms, including search engines and social media sites. In PPI, advertisers pay based on the number of times their ad is displayed, regardless of clicks. In PPA, advertisers pay only when a specific action is taken, such as filling out a form or making a purchase.

The payment model depends on the advertising platform and the specific campaign goals of the advertiser. However, it is essential for advertisers to optimize their campaigns and add creatives to ensure they attract relevant and interested users, maximizing their return on investment.

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knowing the second characteristic of monopolistic competition market structure con-cerning differentiated products, briefly explain why a firm cannot make abnormal profit in the lr.

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A firm cannot make abnormal profit in the long run in a monopolistic competition market structure is because of the presence of differentiated products. In this market structure, firms produce products that are slightly different from each other, which means that each firm has its own brand image and loyal customer base.

As a result, firms cannot charge high prices for their products as customers can easily switch to similar products offered by other firms. This leads to intense competition in the market, forcing firms to lower their prices and reducing their profit margins.

In addition, new firms can enter the market with similar or better products, further increasing the competition and reducing the market share of existing firms. This competition prevents firms from earning abnormal profits in the long run, as they cannot maintain a significant market share or charge high prices without losing customers to their competitors.

In summary, the presence of differentiated products in a monopolistic competition market structure leads to intense competition, making it difficult for firms to earn abnormal profits in the long run. This competition is due to the ease of entry for new firms and the ability of customers to easily switch to similar products offered by other firms.

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According to traditional Keynesian analysis, if the economy is in a recession, the government can move it back towards full employment by
a. cutting taxes and increasing expenditures. The effect of the tax cut is larger. b. cutting taxes and increasing expenditures. The effect of the tax cut is smaller. c. raising taxes and decreasing expenditures. The effect of the tax increase is larger. d. raising taxes and decreasing expenditures. The effect of the tax increase is smaller

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According to traditional Keynesian analysis, if the economy is in a recession, the government can move it back towards full employment by cutting taxes and increasing expenditures. This is because by cutting taxes, households have more disposable income, which they can use to purchase goods and services.

This increase in demand for goods and services can stimulate businesses to produce more, leading to more jobs being created and ultimately helping the economy move towards full employment. Additionally, the increase in government expenditures can directly create jobs and stimulate demand for goods and services, further helping the economy recover.
It is important to note that the effect of the tax cut may be larger or smaller depending on the circumstances. On the other hand, if the economy is in a deep recession, a tax cut may be less effective if households choose to save their additional disposable income instead of spending it. In any case, the traditional Keynesian approach suggests that government intervention through fiscal policy can help address the issue of unemployment during a recession.

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You have just been appointed as the County Commissioner of Hazard County. Your first day on the job you have the following​conversations:
Ludwig mentions that​ Frank, the local​ rancher, is inflating land prices by buying too much land. This is an example of _______.
(a negative externality
a pecuniary externality
a positive externality
not an externality)

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This is an example of a pecuniary externality.

Pecuniary externalities occur when an action of one person affects the price of a good or service and therefore affects the well-being of others in the market. In this case, Frank's buying of too much land is driving up land prices, which affects the well-being of others in the market who want to buy land. This is different from a negative or positive externality, which refers to the spillover effects of an action on third parties that are not involved in the market transaction.

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According to the Work Value Scales (WVS), what are the two basic work dimensions that are consistent across cultures? Check all that apply 0 Job content Work content Job context interdependent Work context

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According to the Work Value Scales (WVS), The two basic work dimensions that are consistent across cultures are job content and work context.

Based on the knowledge cutoff of 2021-09 and assuming you are referring to the Hofstede's Work Value Survey (WVS), the two basic work dimensions that are consistent across cultures are:

1. Job Content: This dimension refers to the intrinsic nature of the work itself, such as the degree of challenge, variety, and autonomy that the job provides.

This dimension focuses on the actual work that is being done and refers to the extent to which the work itself provides satisfaction and meaning to the individual.

2. Work Context: This dimension refers to the extrinsic aspects of work, such as the work environment, social relationships, and organizational policies and practices. This dimension focuses on the broader social and cultural factors that influence the work environment and refers to the extent to which the work environment provides support and social connections to the individual.

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Which of the following best describes how contractionary monetary policy affects the aggregate demand curve in the aggregate demand–aggregate supply model?
a. Contractionary monetary policy directly pulls money out of the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
b. Contractionary monetary policy directly puts money into the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
c. Contractionary monetary policy directly puts money into the loanable funds market. This raises the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the right.
d. Contractionary monetary policy directly puts money into the loanable funds market. This lowers the interest rate, which provides a larger incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the left.
e. Contractionary monetary policy directly pulls money out of the loanable funds market. This raises the interest rate, which provides a lesser incentive for firms to invest. Investment is a component of aggregate demand, so this shifts aggregate demand to the left.

Answers

Contractionary monetary policy, in the context of the aggregate demand–aggregate supply model, affects the aggregate demand curve by reducing the availability of money in the loanable funds market. This leads to an increase in interest rates, which in turn decreases the incentive for firms to invest. Since investment is a component of aggregate demand, this contractionary policy shifts the aggregate demand curve to the left.

How does contractionary monetary policy impact the loanable funds market and interest rates in the aggregate demand–aggregate supply model?

In the aggregate demand–aggregate supply model, contractionary monetary policy has a direct impact on the loanable funds market. By withdrawing money from the market, the policy reduces the supply of available funds, leading to an increase in interest rates. This higher cost of borrowing diminishes the incentive for firms to invest in capital projects, resulting in a decrease in investment. As investment is a crucial component of aggregate demand, this contractionary policy causes a leftward shift in the aggregate demand curve.

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.1)When performing Present Worth Analysis on alternatives with different lifespans, one method is to use the Least Common Multiple of the alternatives. If Option A had a lifespan of 6 years, and Option B had a life span of 4 years, the LCM would be
2)Present worth and annual worth may be considered relative measures, whereas ROR is an absolute measure. True or False?

Answers

When performing Present Worth Analysis on alternatives with different lifespans, one method is to use the Least Common Multiple of the alternatives. If Option A had a lifespan of 6 years, and Option B had a life span of 4 years, the LCM would be 12 years. Present worth and annual worth may be considered relative measures, whereas ROR is an absolute measure. This statement is True.

1) When performing Present Worth Analysis on alternatives with different lifespans using the Least Common Multiple (LCM) method, you'll need to find the LCM of the given lifespans. In this case, Option A has a lifespan of 6 years, and Option B has a lifespan of 4 years. To find the LCM of these two numbers:
- List the multiples of each number:
 6: 6, 12, 18, 24, 30...
 4: 4, 8, 12, 16, 20...
- Identify the smallest multiple that appears in both lists:
 The smallest common multiple is 12.

So, the LCM for Option A (6 years) and Option B (4 years) would be 12 years. This means that the analysis would be performed over a 12-year period, with the cash flows of each alternative being compared in present value terms at year 0.

2) Present worth and annual worth may be considered relative measures, whereas the Rate of Return (ROR) is an absolute measure. This statement is True. Present worth and annual worth are used to compare different alternatives, based on a comparison of cash flows over time, making them relative measures. On the other hand, ROR is a measure of the efficiency of an investment and is not dependent on other alternatives, making it an absolute measure.

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Custom Computers, Inc. assembles custom home computer systems. The heat sinks needed are bought for $12 each and are ordered in quantities of 1,410 units. Annual demand is 5,640 heat sinks, the annual inventory holding cost rate is $4 per unit, and the cost to place an order is estimated to be $49.
Calculate the following:
(a) Average inventory level 705 units
(b) The number of orders placed per year 4 orders
(c) The total annual inventory holding cost $2,820.00
(d) The total annual ordering cost $196
(e) The total annual cost $3,016.00

Answers

optimizing their order quantity, they are able to reduce the number of orders and save on ordering costs.

What is the total annual ordering cost for Custom Computers, Inc. when they order 1,410 heat sinks at a time and have an estimated cost of $49 to place an order?

The total annual ordering cost for Custom Computers, Inc. can be calculated by dividing the annual demand (5,640) by the quantity ordered per order (1,410) to find the number of orders placed per year (4). Then, the annual ordering cost is simply the product of the number of orders and the cost to place an order ($49), which comes out to $196. This means that Custom Computers, Inc. spends $196 annually just to order the necessary heat sinks. By optimizing their order quantity, they are able to reduce the number of orders and save on ordering costs.

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Determine the total area under the standard normal curve to the left of z= -2 or to the right of z=2
The total area under the standard normal curve to the left of z= −2 or to the right of z=2 is ____ .
​(Round to four decimal places as​ needed.)

Answers

The total area under the standard normal curve to the left of z= -2 or to the right of z=2 is 0.0456 (rounded to four decimal places).

To determine the total area under the standard normal curve to the left of z= -2 or to the right of z=2, follow these steps:

Step 1: Identify the given z-values, which are -2 and 2.

Step 2: Since the standard normal curve is symmetrical, the area to the left of z= -2 is equal to the area to the right of z=2.

Step 3: Use a standard normal table or calculator to find the area to the left of z= -2 (or to the right of z=2). For z=-2, the area to the left is 0.0228 (rounded to four decimal places).

Step 4: Add the two areas together. Since they are equal, multiply the area found in Step 3 by 2:

Total area = 0.0228 + 0.0228 = 2 * 0.0228 = 0.0456

So, the total area under the standard normal curve to the left of z= -2 or to the right of z=2 is 0.0456 (rounded to four decimal places).

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at software systems, paul is the ceo, alexandria is the cfo, and gage is the coo. all three discuss work regularly with derek, the office manager, making him part of their .

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At software systems, Paul is the CEO, Alexandria is the CFO, and Gage is the COO. All three discuss work regularly with Derek, the office manager, making him part of their communication network of Software Systems. The correct option is D.

A communication network is a set of interactions through which information flows within an organization. In this case, the CEO, CFO, and COO regularly discuss work with Derek, indicating that he is an important link in the communication network.

Derek likely has access to important information and can provide updates and feedback to the senior executives, who can then use that information to make informed decisions. He also serves as a liaison between different departments and levels of the organization, helping to ensure that communication flows smoothly.

While Derek is part of the communication network, he may also be part of other networks, such as a trust network or advice network. A trust network is a set of relationships built on trust and mutual respect, while an advice network is a set of people who provide guidance and support.

In summary, Derek is part of the communication network at Software Systems, as he regularly interacts with the senior executives and helps to ensure that information flows smoothly within the organization.

He may also be part of other networks, such as a trust network or advice network, depending on the nature of his relationships with other employees. The correct option is D.

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Complete Question:

At software systems, Paul is the CEO, Alexandria is the CFO, and Gage is the coo. all three discuss work regularly with Derek, the office manager, making him part of their?

A. trust network

B. advice network

C. network of nonredundant contacts

d. communication networks

the block's manufacturer says the index of refraction is 1.5. is that consistent with your results? explain your reasoning.

Answers

It is unclear what specific results are being referred to in regards to the block's manufacturer of refraction.

However, assuming that there have been experimental measurements conducted on the block's index of refraction, the manufacturer's stated value of 1.5 can be compared to the measured value to determine if they are consistent. Reasoning behind this is that the index of refraction is a physical property of a material that describes how much the speed of light is reduced when it passes through the material.

It is typically measured experimentally using techniques such as Snell's law or the critical angle method. It is important to ensure that the stated value from the manufacturer is consistent with any experimental measurements to ensure accurate and reliable data. the given index of refraction of 1.5 is consistent with my results. The index of refraction indicates the degree to which light slows down and bends when passing through a medium.

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what is defined as the subcontracting of services and operations to an outside vendor?

Answers

The practice of subcontracting services and operations to an outside vendor is commonly known as "outsourcing."

Outsourcing refers to the process of contracting with external vendors or third-party organizations to perform specific services or handle certain operations on behalf of a company.

It involves transferring the responsibility and execution of tasks or functions from internal resources to an external party.

The primary motivation behind outsourcing is to leverage the specialized expertise and resources of the vendor while focusing on core competencies and achieving cost efficiencies.

By outsourcing non-core activities, companies can benefit from several advantages.

First, outsourcing allows access to external talent, skills, and technologies that may not be readily available within the organization. It enables companies to tap into the vendor's expertise and experience in a particular area,

which can result in improved service quality and efficiency. Second, outsourcing can lead to cost savings through economies of scale, as vendors often have the infrastructure, resources, and processes in place to deliver services at a lower cost.

Additionally, outsourcing can provide flexibility in managing fluctuating demand, as external vendors can quickly scale up or down their services based on the company's needs.

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Top management is motivated to increase the company's market value when their compensation is linked to:
sales levels
stock prices
gross profit
profit margins

Answers

Top management is motivated to increase the company's market value when their compensation is linked to stock prices.

Linking top management's compensation to stock prices aligns their financial incentives with the company's performance in the stock market. When their compensation is tied to stock prices, top management has a vested interest in increasing the company's market value.

As stock prices are influenced by factors such as profitability, growth prospects, and market perception, top management is motivated to make strategic decisions that enhance these aspects and ultimately drive the stock price higher.

By linking compensation to stock prices, top management is incentivized to focus on long-term value creation rather than short-term gains. They are encouraged to adopt strategies that enhance the company's competitive position, profitability, and

overall performance, leading to an increase in the stock price over time. This alignment of interests between top management and shareholders creates an incentive for top executives to make decisions that maximize shareholder value, which often involves growing the company's market value.

It's worth noting that while stock prices are a key factor in determining top management's compensation, other performance metrics such as sales levels, gross profit, and profit margins may also be considered.

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points eBook Hint Print References Check my work Check My Work button is now enabledItem 4 Item 4 3 points Exercise 2-10 Preparing a trial balance LO P2 The transactions of Spade Company appear below. Kacy Spade, owner, invested $100,750 cash in the company in exchange for common stock. The company purchased office supplies for $1,250 cash. The company purchased $10,050 of office equipment on credit. The company received $15,500 cash as fees for services provided to a customer. The company paid $10,050 cash to settle the payable for the office equipment purchased in transaction c. The company billed a customer $2,700 as fees for services provided. The company paid $1,225 cash for the monthly rent. The company collected $1,125 cash as partial payment for the account receivable created in transaction f. The company paid $10,000 cash in dividends to the owner (sole shareholder). Prepare the Trial Balance.

Answers

Total debits equal the total credits, indicating that the accounting equation is in balance. Therefore, this trial balance is correct.

Trial balance

To prepare a trial balance, we need to list all the accounts with their respective balances. Here are the accounts and their balances for Spade Company:

Cash: $103,100 ($100,750 + $1,250 + $15,500 - $10,050 - $1,225 - $1,125)Accounts Receivable: $1,575 ($2,700 - $1,125)Office Supplies: $1,250Office Equipment: $10,050Accounts Payable: $0 ($10,050 paid in transaction e)Owner's Equity: $90,750 ($100,750 - $10,000)

Total Debits: $116,725

Total Credits: $116,725

The total debits equal the total credits, indicating that the accounting equation is in balance. Therefore, this trial balance is correct.

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The Fed's two main monetary policy targets are ____ the money supply and the inflation rate the money supply and the interest rate. the interest rate and real GDP. the inflation rate and real GDP

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The Fed's two main monetary policy targets are the money supply and the interest rate.

The Federal Reserve (Fed) is responsible for implementing monetary policy in the United States. Its primary objectives are to promote stable prices and maximum employment, and it achieves these goals by targeting two main factors: the money supply and the interest rate. The money supply refers to the total amount of currency and other liquid assets in the economy, while the interest rate represents the cost of borrowing money.

The Fed can influence the money supply by conducting open market operations, changing reserve requirements for banks, and adjusting the discount rate. These actions can either increase or decrease the amount of money circulating in the economy, which in turn can impact economic growth, inflation, and employment levels.

Interest rates play a significant role in monetary policy, as they affect consumer spending, business investment, and overall economic growth. The Fed primarily controls interest rates through the federal funds rate, which is the rate at which banks lend to each other on an overnight basis. By influencing this rate, the Fed can encourage or discourage borrowing, spending, and investing, helping to manage inflation and stimulate economic growth.

In summary, the Fed's two main monetary policy targets, the money supply and the interest rate, play a crucial role in maintaining economic stability and promoting growth in the United States.

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profit sharing refers to any procedure by which an employer pays employees: true or false

Answers

True, profit sharing refers to any procedure by which an employer pays employees.

Profit sharing is a compensation arrangement where an employer distributes a portion of the company's profits to its employees. It is a form of variable pay that links employee compensation to the financial performance of the organization. Under a profit-sharing plan, employees receive a share of the company's profits in addition to their regular wages or salaries.

The purpose of profit sharing is to incentivize employees by giving them a direct stake in the company's financial success. It aligns their interests with those of the organization, encouraging them to work harder and contribute to the company's profitability. Profit sharing can take various forms, such as cash bonuses, stock options, retirement plan contributions, or profit-sharing trusts.

By implementing profit-sharing programs, employers aim to motivate employees, foster a sense of ownership, and reward their contributions to the company's growth. It can also help attract and retain talent, as employees see the potential for higher earnings based on the company's performance. However, it's important to note that profit sharing arrangements can vary in their structure and eligibility criteria, depending on the specific policies and agreements established by the employer.

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Complete the March transactions for the Access to learning Nonprofit Organization:
-On March 1, the nonprofit paid $20,000 in salaries
-On March 5, the nonprofit charged $10,000 worth of supplies.
-On March 7, a foundation program officer told the executive director that the nonprofit would receive a $25,000 grant from a foundation.
-On March 10, the nonprofit received the third payment of $10,000 from the $50,000 foundation grant.
-On March 15, the nonprofit received $8,000 in cash from pledges receivable.
-On March 20, the nonprofit $5,000 in cash to reduce accounts payable.
-On March 25, the nonprofit sold $1,000 in marketable securities.
-On March 30, the nonprofit incurred $2,000 in salaries payable.
-On March 31, the nonprofit consumed $1,000 worth of supplies.

Answers

Nonprofit organizations are organizations that are dedicated to a particular social cause or mission, rather than to generating profits for their owners or shareholders. Nonprofits may take various legal forms, including charitable organizations, social welfare organizations, religious organizations, and trade associations.

March Transactions for Access to Learning Nonprofit Organization:

On March 5, the nonprofit charged $10,000 worth of supplies.

Salaries Expense $20,000

Cash $20,000

On March 7, a foundation program officer told the executive director that the nonprofit would receive a $25,000 grant from a foundation.

Supplies Expense $10,000

Accounts Payable $10,000

On March 10, the nonprofit received the third payment of $10,000 from the $50,000 foundation grant.

Cash $25,000

Grant Revenue $25,000

On March 15, the nonprofit received $8,000 in cash from pledges receivable.

Cash $10,000

Grant Revenue $10,000

On March 20, the nonprofit $5,000 in cash to reduce accounts payable.

Cash $8,000

Pledges Receivable $8,000

On March 25, the nonprofit sold $1,000 in marketable securities.

Accounts Payable $5,000

Cash $5,000

On March 30, the nonprofit incurred $2,000 in salaries payable.

Cash $1,000

Marketable Securities $1,000

On March 31, the nonprofit consumed $1,000 worth of supplies.

Salaries Expense $2,000

Salaries Payable $2,000

Supplies Expense $1,000

Supplies Inventory $1,000

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suppose there is an increase in the saving rate. this increase in the saving rate must cause an increase in consumption per capita in the long run when. True or false

Answers

The given statement "Suppose there is an increase in the saving rate. This increase in the saving rate must cause an increase in consumption per capita in the long run" is true because an increase in the saving rate can cause an increase in consumption per capita in the long run when certain conditions are met.

When the saving rate increases, it means that people are saving a larger portion of their income instead of spending it on consumption. This leads to more funds being available for investments, which can boost economic growth, productivity, and income in the long run. As the economy grows, and income levels rise, consumption per capita can increase even with a higher saving rate.

However, it is important to note that this positive relationship between saving rate and consumption per capita depends on factors such as effective investment opportunities, stable economic conditions, and a well-functioning financial system. If these conditions are not met, the increase in the saving rate may not necessarily lead to a rise in consumption per capita in the long run.

In summary, an increase in the saving rate can cause an increase in consumption per capita in the long run when there are effective investment opportunities, stable economic conditions, and a well-functioning financial system. Under these circumstances, higher savings can promote economic growth and lead to higher consumption per capita over time.

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TRUE OR FALSE life companies are more heavily invested in corporate bonds and less in municipal bonds than p&c companies because some of their (life) interest income is not taxed.

Answers

life insurance companies are more heavily invested in corporate bonds and less in municipal bonds compared to property and casualty (P&C) companies, primarily because some of their interest income is not taxed so that the above statement is true.

Life insurance companies typically invest more in corporate bonds due to their long-term liabilities and the need for predictable income streams to meet future obligations. Corporate bonds offer higher yields compared to municipal bonds, which makes them more attractive for life insurance companies seeking stable and higher returns. On the other hand, P&C companies have shorter-term liabilities, which can be better matched with the lower yields and shorter durations of municipal bonds.

Additionally, life insurance companies benefit from favorable tax treatment on some of their interest income, reducing the need for them to seek tax-exempt municipal bonds. This further explains their preference for corporate bonds over municipal bonds. In contrast, P&C companies do not enjoy the same tax benefits, making municipal bonds more attractive to them for their tax-exempt status.

In summary, the tax benefits and the nature of the liabilities of life insurance companies drive their investment preference towards corporate bonds and away from municipal bonds, in comparison to P&C companies.

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a portfolio consists of 175 shares of stock c that sells for $37 and 140 shares of stock d that sells for $43. what is the portfolio weight of stock c?

Answers

The portfolio weight of stock C is 51.86%. portfolio weight of stock C is the proportion of the total value of the portfolio that is invested in stock C.

To calculate the portfolio weight of stock C, we need to find the total value of the portfolio and the value of the portion invested in stock C.

The total value of the portfolio can be calculated by multiplying the number of shares of stock C by the price per share and adding it to the product of the number of shares of stock D and the price per share of stock D.

Total value of portfolio = (175 shares of stock C * $37 per share) + (140 shares of stock D * $43 per share)

= $6,475 + $6,020

= $12,495

To find the value of the portion of the portfolio invested in stock C, we need to multiply the number of shares of stock C by the price per share.

Value of portion invested in stock C = 175 shares of stock C * $37 per share

= $6,475

Therefore, the portfolio weight of stock C can be calculated as follows:

Portfolio weight of stock C = Value of portion invested in stock C / Total value of portfolio

= $6,475 / $12,495

= 0.5186 or 51.86%

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robinson company had a net deferred tax liability of $34,544 at the beginning of the year, representing a net taxable temporary difference of $101,600 (taxed at 34 percent). during the year, robinson reported pretax book income of $401,600. included in the computation were favorable temporary differences of $51,600 and unfavorable temporary differences of $20,800. during the year, congress reduced the corporate tax rate to 21 percent. robinson's deferred income tax expense or benefit for the current year would be:

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According to the given question, Robinson Company's deferred income tax benefit for the current year is $19,676.

To calculate Robinson Company's deferred income tax expense or benefit for the current year, follow these steps:

1. Determine the net temporary difference at the beginning of the year:
  Net taxable temporary difference = $101,600 (taxed at 34%)

2. Adjust the net temporary difference for the changes during the year:
  Favorable temporary differences = $51,600
  Unfavorable temporary differences = $20,800
  New net taxable temporary difference = ($101,600 - $51,600 + $20,800) = $70,800

3. Apply the new tax rate to the new net taxable temporary difference:
  Taxable amount at 21% tax rate = $70,800 x 21% = $14,868

4. Calculate the change in deferred tax liability:
  Beginning deferred tax liability = $34,544
  New deferred tax liability = $14,868
  Change in deferred tax liability = $14,868 - $34,544 = -$19,676

Robinson Company's deferred income tax benefit for the current year is $19,676.

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Fletcher Corporation completed a consulting job and billed the customer​ $10,000. The impact on Fletcher Corporation from this transaction would be to:
A. decrease liabilities and increase​ stockholders' equity.
B. increase assets and increase liabilities.
C. increase assets and increase​ stockholders' equity.
D. increase liabilities and decrease​ stockholders' equity.

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The completion of the consulting job by Fletcher Corporation and billing the customer $10,000 would result in an increase in the company's liabilities and a decrease in its stockholders' equity, hence option D) is correct

The completion of the consulting job by Fletcher Corporation and billing the customer $10,000 would result in an increase in the company's liabilities and a decrease in its stockholders' equity. This is because the revenue earned from the consulting job is considered an increase in the company's assets, but it is offset by the increase in the liability of accounts receivable. Liabilities are obligations that a company owes to its creditors and suppliers, and in this case, the accounts receivable are a liability that the company owes to the customer who was billed. The increase in liabilities is due to the fact that the company owes the customer $10,000 for the consulting services provided. Stockholders' equity, on the other hand, represents the residual interest in the assets of the company after deducting its liabilities. Therefore, when liabilities increase, stockholders' equity decreases, as the total value of the company's assets has not increased. In summary, the completion of the consulting job and billing the customer $10,000 results in an increase in liabilities and a decrease in stockholders' equity for Fletcher Corporation. Therefore option D) is correct.

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K's whole life insurance policy lapsed two months ago due to nonpayment. She would now like to reinstate the policy. All of these statements are correct about the policy's reinstatement EXCEPT

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If K's whole life insurance policy lapsed two months ago due to nonpayment, she may still be able to reinstate the policy. However, there are certain requirements and restrictions that she will need to comply with. To reinstate the policy, K will likely need to pay all missed premiums plus any interest and fees.

She may also need to provide evidence of insurability, such as a medical exam or answering health questions. Additionally, there may be a time limit for reinstating the policy, typically ranging from 30 to 90 days after the lapse.
However, one statement that is NOT correct about the policy's reinstatement is that the policy will be reinstated with the same terms and conditions as before the lapse. In fact, the insurance company may impose new terms or restrictions on the reinstated policy, such as higher premiums or a reduced death benefit. K should carefully review the reinstatement offer and compare it to other life insurance options before making a decision. Overall, it is important to avoid a policy lapse if possible, by keeping up with premium payments and staying in communication with the insurance company.

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a(n) _____________ includes a summary of institutional conduct and program participation, as well as plans for housing and employment upon release.

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A reentry plan includes a summary of institutional conduct and program participation, as well as plans for housing and employment upon release. This plan is designed to assist individuals who have been incarcerated in reintegrating back into society.

The program participation section of the plan outlines any educational or vocational training that the individual has completed while in prison, which can help them in their job search. The housing section outlines where the individual plans to live upon release, which is important for securing employment and stability.

The employment section of the plan outlines the individual's job search strategy, including any job leads they may have and any skills or qualifications they possess. It is important to note that reentry plans are crucial in helping individuals successfully transition from incarceration to employment and a stable life outside of prison.

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what is the one type of résumé that all job seekers should have in today's market? group of answer choices a print-based traditional résumé an infographic résumé a video résumé a plain-text résumé

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A print-based traditional résumé.In today's job market, all job seekers should have a print-based traditional résumé. Despite the rise of digital formats and alternative résumé styles.

A traditional résumé in a printable format remains a universally accepted and expected document in the hiring process. It provides a comprehensive overview of an individual's qualifications, skills, and work experience in a professional and structured manner.

While other résumé formats like infographic, video, or plain-text résumés can be valuable additions, a print-based traditional résumé ensures compatibility and accessibility for employers across different industries and preferences.

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What are the assets does your assigned establishment have that the other's don't have?

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In accounting, the terms current assets, fixed assets, tangible assets, intangible assets, operational assets, and non-operating assets often refer to six different groups. Display your company's profitability and financial standing. assemble precise profit and loss statements.

Boost customer loyalty and supportive views towards your company. guaranteeing stockholders and luring investors. You might respond something like this if someone asks you to describe why you would be a useful asset: Unlike most people in comparable roles, I thrive on going above and beyond. I'm sure I could add a lot of distinctive traits and potential for growth to your business.

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Whole Foods Market’s approach to the growing and selling of organic food is a good example of a(an)
Multiple Choice
organic structure.
learning organization.
open system.
divisional structure.
modular structure.

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A learning organization.

Whole Foods Market's approach to the growing and selling of organic food aligns with the concept of a learning organization. A learning organization emphasizes continuous learning and improvement, and Whole Foods Market has demonstrated a commitment to organic practices and education.

They prioritize providing information and educating both their employees and customers about the benefits of organic food. They engage in research, collaborate with farmers, and actively seek new knowledge and techniques related to organic farming.

This focus on learning and adaptation allows Whole Foods Market to stay at the forefront of the organic food industry and continually improve their practices.

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ricky is allocating his budget in the way that maximizes total utility. how does ricky use the marginal utility per dollar for each good to maximize his total utility?
A. equal for expensive goods B. equal for all goods C. maximized for essential goods D. maximized for all goods

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Ricky uses the concept of marginal utility per dollar to allocate his budget in a way that maximizes total utility. Marginal utility per dollar is the ratio of the marginal utility of a good to its price.

It represents the additional utility received per dollar spent on a good.To maximize his total utility, Ricky should allocate his budget in a way that equalizes the marginal utility per dollar for each good he consumes. This means that he should continue to allocate his budget across goods until the marginal utility per dollar for each good is equal.When the marginal utility per dollar is not equal across all goods, Ricky can increase his total utility by reallocating his budget across goods until the marginal utility per dollar is equal. If the marginal utility per dollar of a good is higher than the marginal utility per dollar of another good, Ricky should reallocate his budget to increase his consumption of the good with the higher marginal utility per dollar. This will increase his total utility until the marginal utility per dollar is equal for all goods.Therefore, option B, equal for all goods, is the correct answer. Ricky will maximize his total utility by allocating his budget in a way that b the marginal utility per dollar for each good.

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Ricky should aim to make the marginal utility per dollar equal for expensive goods.

The correct answer is option a.

Ricky is allocating his budget in a way that maximizes his total utility. In order to do this, he needs to use the concept of marginal utility per dollar for each good. Marginal utility per dollar is the additional satisfaction a consumer derives from spending an additional dollar on a particular good or service.

To maximize his total utility, Ricky should allocate his budget in such a way that the marginal utility per dollar is equal across all goods. This means that he should spend his money on goods that provide the most additional satisfaction per dollar spent. If he spends more money on goods that provide less additional satisfaction per dollar, he will not be maximizing his total utility.

By doing so, he will ensure that he is getting the most out of his budget and maximizing his total utility. This strategy will help him make the most efficient use of his resources and derive the most satisfaction from his purchases.

Therefore, the correct answer is option a.

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