An economy is experiencing a high rate of inflation. The government wants to reduce consumption by $36 billion to reduce inflationary pressure. The mpc is 0. 75. By how much should the government raise taxes to achieve its objective?.

Answers

Answer 1

GDP reduced by $ 36 billion

MPC=.75

so tax should be increased by 36000/.75=$48billion

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Related Questions

brett performed the queens college step test to estimate his vo2max. immediatley following the 3 minutes of stepping, he calculated his recovery hr as 141 bpm. what is his estimated vo2max? round your answer to the first decimal place.

Answers

39.8 mlsO2/kg min is his estimated vo2max

VO2max = 65.81 - 0.1847HR in bpm

= 65.81 - 0.1847 * (141)

= 39.8 mlsO2/kgmin

The term VO2 max refers to how much oxygen your body can absorb and use during exercise.

If you want to improve your aerobic fitness, you should consider increasing your VO2 max (sometimes called your oxygen uptake).

The maximum (max) rate (V) of oxygen (O2) that your body can use during exercise is referred to as VO2 max.

Oxygen is an essential component of the respiratory process that involves breathing. As you breathe in oxygen, your lungs absorb it and convert it into adenosine triphosphate energy.

The advantages are simple and clear: the higher your VO2 max, the more oxygen your body can consume, and the more effectively your body can use that oxygen to generate the most ATP energy.

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a mutual fund has a beginning of year net asset value (nav) per share of $50. during the year, the fund has net investment income (nii) of $2 per share. at the end of the year, the fund distributes $1 per share in dividends to its shareholders. the end of year nav per share is: a $49 b $50 c $51 d $52

Answers

The net value per share after the end of the year is 51$ as given in option c of the given question.

What are mutual funds, exactly?

A mutual fund is a group of investments that is expertly supervised by a fund manager. a trust that, after receiving funds from a number of participants who share similar investing objectives, invests them in stocks, bonds, money market instruments, and/or other securities.

Is it a good idea to invest in mutual funds?

Mutual funds may be a worthwhile investment for those looking to diversify their investments. Determine whether investing in mutual funds is the best decision for you. It depends on your unique situation whether you should invest in mutual funds, which offer convenience and diversification at a low cost.

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Insurance helps you transfer the _________ from your bank account to the insurance company.

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By purchasing insurance, you can shift some of the risk from your bank account to the insurance provider.

What exactly is insurance?

Most individuals have insurance, whether it is for their car, their home, or even their life. However, most of us don't give much thought to what insurance is or how it operates.

Simply explained, insurance is a contract represented by a policy that provides a policyholder with financial protection or payment from an insurance provider in the case of a loss. The company pooled its clients' risks in order to make payments to the insured more affordable.

Insurance plans are intended to safeguard against the danger of significant and minor financial losses caused by harm to the insured or their property, or liability for damage or injury caused to a third party.

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what do graphs of marginal product of labor and average product of labor when the curve is a straight line

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Initially when the graphs of the Average product of labor and Marginal product of labor are straight lines which shows that both the Average and Marginal product increase with the increase in labor.

Marginal product is the additional output that is generated by an additional worker. With a second worker, production increases by 5, and with the third worker, it increases by 6. When these workers are added, the marginal product increases.

The MP curve initially increases, reaches its maximum, and then declines. the AP curve also shows a similar trend as the MP. It rises, reaches its maximum, and then falls. At the point where AP reaches its maximum, AP = MP.

The law of diminishing marginal returns states that as successive amounts of the variable input, i.e., labor,  are added to a fixed amount of other resources, i.e., capital,  in the production process the marginal contribution of the additional variable resource will eventually decline.  As the marginal product begins to fall but remains positive, the total product continues to increase but at a decreasing rate. As long as the marginal product of a worker is greater than the average product, computed by taking the total product divided by the number of workers, the average product will rise.

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which of the following statements is correct? a) ethical conflicts usually arise in trying to serve the needs of separate constituents. b) setting ethical standards is always clear-cut. c) the ethical values of individual employees have no influence on the decisions and actions a business takes. d) setting ethical standards is easy.

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a) Ethical Conflicts usually arise in trying to serve the needs of separate constituents.

Ethical Conflicts arise when team members lack unity and share ethical priorities. According to research, only 16% of ethical quandaries are the result of bribery, corruption, or anti-competition issues.

The vast majority of these quandaries are not related to corruption in and of themselves, but rather to one of three factors: competing interests, misaligned incentives, or clashing cultures.

A leader who is asked to lead mergers and acquisitions, reduce staff numbers, or sell large businesses in major markets may face competing interests, which could create an ethical conflicts.

When a company rapidly expands, especially globally, the ethics or interests of one culture may clash with those of another.

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which of the following is an example of discretionary fiscal policy? a(n) group of answer choices decrease in lump-sum taxes. increase in the money supply. increase in social security entitlements provided by the federal government. decrease in interest rates.

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The example of discretionary fiscal policy is decrease in lump-sum taxes.

Option A is correct.

What's discretionary fiscal policy?

optional fiscal policy is the purposeful change of government expenses and duty collections by government to raise full employment, price stability, and profitable growth.

Why is discretionary fiscal policy significant?

Discretionary fiscal policy aims to stabilize the frugality. It centrists the divagation in the affair gap( see macroeconomic equilibrium). It works to stimulate profitable growth during a depression and moderate the affectation rate and profitable growth during increment.

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you are creating the project's cost baseline. ultimately, what document will be the outcome of this process?

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If we are creating the project's cost baseline. Ultimately Budget will be the outcome of this process.

What do you mean by project cost baseline and Budget?

1. Cost Baseline is the budget that has been approved for the project including  a list of salaries, materials, equipment and more.

It can be represented as

Cost Baseline = Project Cost Estimates + Contingency Reserves

Used to maintain reliability, understanding the overall project cost.

2. A budget is an estimation of revenue and expenses over a specified future period of time and is utilized by governments, businesses, and individuals.  It includes income, expenditure and total  GDP contributed.

Therefore ,If we are creating the project's cost baseline. Ultimately Budget will be the outcome of this process.

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prior to recording adjusting entries, the office supplies account had a $359 debit balance. a physical count of the supplies showed $105 of unused supplies available. the required adjusting entry is:

Answers

The required adjusting entry is $254

What is adjusting entries?Transactions that have already happened but haven't been properly documented in accordance with the accrual method of accounting are recorded using adjusting journal entries.At the conclusion of an accounting period, adjusting journal entries are written in a company's general ledger to comply with the matching and revenue recognition standards.Accruals, deferrals, and estimations are the three most typical types of adjusting journal entries.When one accounting period ends and another begins, it is used for accrual accounting.A cash accounting company does not require altering journal entries.

Calculation

The unadjusted ending supply balance is $359

Actual supplies' remaining physical ending balance is $105

This suggests that during that time ($359 – $105), goods worth $254 were utilized.

Hence, The required adjusting entry is $254

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the balance sheet of innovative products reports total assets of $470,000 and $670,000 at the beginning and end of the year, respectively. the cash return on assets for the year is 20%. calculate innovative products' net cash flows from operating activities (operating cash flows) for the year.

Answers

The innovative products' net cash flows from operating activities (operating cash flows) for the year of the operating cash flow is $171,000

The calculation is as follows:

Beginning Total Assets            $470,000

Ending total assets                   $670,000

Average Total Assets in use    $570,000  ($470,000 + $670,000) ÷ 2

Cash return on Asset                    30%  

Cash Flow from operating activities    

= Average Assets × 30%  

=  $570,000 × 30%

= $171,000

the quantity of coins or coins equivalent that the organization gets or gives out via the manner of a fee(s) to creditors is referred to as cash flow. cash float analysis is often used to analyze the liquidity position of the agency.

coins waft is defined as the quantity of money coming into and leaving your commercial enterprise over a given time period. coins waft is crucial because it enables you to satisfy your existing economic duties as well as plan for your destiny.

A ratio less than 1 suggests quick-time period coins float issues; a ratio extra than 1 suggests exact monetary fitness because it shows coins flow extra than enough to fulfill brief-term monetary responsibilities.

the important thing distinction between cash glide and earnings is even as profit indicates the amount of cash left over in any case charges had been paid, coins waft shows the internet waft of cash into and out of an enterprise.

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britta has been accepted into a 2-year medical assistant program at a career school. she has been awarded a $6,000 unsubsidized 10-year federal loan at 4.29%. she knows she has the option of beginning repayment of the loan in 2.5 years. she also knows that during this non-payment time, interest will accrue at 4.29%. suppose that britta decided to take out a private loan for $12,000 for which loan payments start as soon as the loan amount is deposited in her account and continue for 10 years. the interest rate is 6.1%. a. determine her monthly payment. b. what is the total amount she will pay back? c. what is the total interest amount?

Answers

Britta will accrue $678.00 in interest over the course of the 2.5-year period of not making payments.

Payments can be done using currency thanks to the modern monetary system. Payments may be done quickly with currency, which has streamlined the process of conducting economic transactions. Currency also makes it simple to hold money.

Prior to the widespread use of money and other payment mechanisms, exchanges of one good or service for another were utilized for barter payments. For instance, if an egg farmer desired milk but had a payments significant surplus of eggs, the farmer would need to locate a dairy farmer who would accept eggs in exchange for milk.

The time during which Britta is exempt from repaying the loan is known as the period of non-repayment. As a result, over the course of the 2.5 years, the loan would only accrue interest; therefore, the total interest payments over the 2.5 years is calculated as follows:

FV=PV*(1+r/12)^(N*12)

FV=loan balance after 2.5 years=unknown

PV=loan amount=$6000

r=annual interest rate=4.29%

N=number of grace period=2.5

FV=$6000*(1+4.29%/12)^(2.5*12)

FV=$ 6,678.00

Interest=FV-PV

Interest=$ 6,678.00 -$6,000

Interest=$678.00

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do you think it is possible for government to outlaw everything that businesses could do wrong? if so, why does government not do that? if not, how can regulation stay ahead of rogue businesses that push the limits of the system until it breaks?

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No, the government cannot outlaw everything that businesses might do wrong. A market-oriented economy encourages and benefits from competition.

An economy is a network of interconnected production and consumption activities that ultimately determine resource allocation within a group. The overall production and consumption of goods and services meet the needs of those who live and work within it.

The economy is a social institution that organizes the production, distribution, and consumption of goods and services in a society. It is divided into three sections: the primary, secondary, and tertiary sectors.

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________ is the process of assigning managerial authority and responsibility to lower-level managers and employees.

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DELEGATION is the process of assigning managerial authority and responsibility to lower-level managers and employees.

1. fenner smith is contemplating dividing his portfolio between two assets, a risky asset that has an expected return of 30% and a standard deviation of 10%, and a safe asset that has an expected return of 10% and a standard deviation of 0%. (a) if mr. smith invests x percent of his wealth in the risky asset, what will be his expected return?

Answers

If Mr. Smith invests x percent of his wealth in the risky asset, his expected return will be 0.5%.

rx=30x+ 10(1−x) (Expected Return); sd: σx=10. Solving this yields the following budget line: rx = 2σx+10 is the budget line. After concurrently resolving both equations with two unknowns.  If Mr. Smith's utility function is u( rx,σx)=min( rx,30-2σx), then his ideal values for rx and σx are 20 and 5, respectively.

For the equation 20 =rx=30x+10(1-x), we identify an x that solves the equation. The solution is x=0.5.

The expected return is the projected gain or loss on an investment with known historical return rates (RoR). It is calculated by dividing potential outcomes by their probability of occurring, adding the outcomes, and then deleting the outcomes.

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An account invested in a money market fund grew from ​$ to ​$ in a month. What was the annual interest​ rate?.

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For an account invested in a money market fund grew from $73,330.76 to $73,624.98 in a month, The annual interest rate, determined by future value simple interest formula, is 4.8%

Simple interest is based solely on the principal amount of a loan, while compound interest is based on the principal amount and the accumulated interest. Assuming a simple interest for this investment.

The future value simple interest formula is expressed as:

A = P(1 + rt)

Where,  

P = Present Value (Initial investment) =73,330.76

A = Future Value = 73,624.98

r = rate of interest = ?

t = time in years. = 1/12

Substituting,

A = P(1 + rt)

73624.98 = 73330.76 (1 + r*1/12)

73624.98/73330.76 = 1 + (r/12)

1.00401223 = 1 + (r/12)

r/12 = 1.00401223 - 1

r/12 = 0.00401223

r =0.04814 or 4.8%

Hence, the interest rate would be 4.8%

Note: It is an incomplete question. The question: An account invested in a money market fund grew from $73,330.76 to 73,624.98 in a month. What was the interest rate to the nearest tenth?

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audit work performed between the beginning of the year and the date of the financial statements is referred to as

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audit work performed between the beginning of the year and the date of the financial statements is referred to as interim testing.

An audit is an "unbiased exam of financial statistics of any entity, whether or not income orientated or not, regardless of its size or prison shape when such an exam is performed which will specify an opinion thereon.”  Auditing also tries to make sure that the books of money owed are nicely maintained by means of priority as required through regulation. Auditors don't forget the propositions earlier than them, attain proof, and evaluate the propositions of their auditing file.

Audits provide 1/3-party assurance to numerous stakeholders that the subject matter is free from cloth misstatement. The time period is most regularly carried out for audits of the financial data regarding a felony person. different generally audited regions consist of secretarial and compliance, internal controls, high-quality control, undertaking management, water control, and energy conservation. due to an audit, stakeholders may additionally compare and enhance the effectiveness of threat management, manipulation, and governance over the concerned matter.

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Government tax assessment offices determine the _________________ by comparing similar properties in a geographic area.

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Government tax assessment offices determine the assessed value  by comparing similar properties in a geographic area.

Government tax assessment

The task of estimating the worth of property and, occasionally, establishing its use is known as tax assessment, or assessment. This is typically done to determine a property tax. This is typically carried out by a department known as the assessor or tax assessor. Tax revenue is essential for governments to function.

Usually employed for tax purposes, assessed value is a portion of a property's fair market value. Local governments, including counties, cities, and school districts, have the authority to impose a property tax on properties that are located within their jurisdiction.

This assessed value is decided annually in various jurisdictions. However, in certain jurisdictions it is only done when the property is transferred every three years.

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market offerings which have elements of both a product and service, and focus on how they make customers feel are called

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Market offerings which have elements of both a product and service, and focus on how they make customers feel are called Core customer values.

A company's marketing offering is a good or service it offers customers in order to fill their demands. A product or service is only one aspect of an offering. It covers the added value that a company provides in the form of customers convenience, superiority, and support to its products. Offerings include things like banking, medical, bus or taxi services, travel agencies, lodging, and tax preparation. Market offerings, in a broader sense, also include other things like people, places, organizations, information, and ideas.

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velocity isa. the annual rate of turnover of the money supply.b. the annual rate of turnover of business inventories.c. highly unstable.d. impossible to measure.

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Velocity is the annual rate of turnover of the money supply.

What is turnover rate?The accounting notion of turnover determines how rapidly a corporation runs its operations.The ratios involving accounts receivable and inventories are used in the most popular measurements of corporate turnover. These are known as inventory turnover and accounts receivable turnover, respectively.Accounts receivable turnover reveals how rapidly money is being paid in relation to credit sales throughout a given time frame, such a month or a year.Inventory turnover, which measures how quickly a company sells its inventory during a specific time period, is calculated by dividing the cost of goods sold (COGS) by average inventory.The percentage of a portfolio sold in a given month or year is referred

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which budget shows a firm's spending plans on fixed assets such as large equipment? multiple choice operating budget capital budget cash budget surplus budget

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Capital budget refers to a company's spending plans for fixed assets like major equipment.

The capital project budget details significant, one-time financial outlays to buy, create, or remodel fixed assets like real estate, buildings, and other physical plants or equipment that will cost more than $250,000 to build or $500,000 to enhance.

What kinds of budgets are there?

different budgetary structures

overall budget. A master budget is a compilation of lower-level budgets made by various organisational functional divisions.

Spending plan.

Budget for cash.

financial plan.

labour spending.

a fixed budget.

The cash budget, the budgeted balance sheet, the budgeted statement of cash flows, and the budget for capital expenditures are typically included in the financial budgets. Keep in mind that the corresponding finance budget and the master budget are plans for one year.

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a(n) is a health care provider who enters into a contract with a specific insurance company or program and agrees to accept the contracted fee schedule.

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A form of health insurance plan that usually restricts coverage to doctors who work for or with the HMO. Except in an emergency, it will not cover out-of-network care.

To be eligible for coverage under an HMO, you may be required to live or work in its service region. As a result, the agreed-upon pricing is usually cheaper than their standard charges. In exchange for lower rates, insurers pay a fee to the PPO to get access to the provider network. PPO members have the freedom to use any provider within their network. Monthly premiums for HMO plans are often care lower.

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if mexico has a weak peso relative to the dollar, what is the impact for u.s. companies importing inputs from mexico that are priced in pesos? multiple choice the u.s. company will lose money.

Answers

Option (d) The U.S. company will benefit from its relatively strong dollar.

The impact for U.S. companies importing inputs from Mexico that are priced in pesos will benefit the U.S. company from its relatively strong dollar.

What are dollars and Pesos?

A dollar is the unit of currency in the United States, Canada, Australia, and several other countries. A dollar sign represents it with the symbol $. Dollars are divided into cents, which are 100 smaller units.

Pesos are the currency of Argentina, Chile, Colombia, Cuba, the Dominican Republic, Mexico, and the Philippines.

Currently, the exchange rate between Mexican Pesos and US Dollars is about $20 MXN for $1 USD. It varies daily, though- sometimes $19 MXN is equal to $1 US, and other times it is $21 MXN equal to $1 US.

Question:

If Mexico has a weak peso relative to the dollar, what is the impact on U.S. companies importing inputs from Mexico that are priced in pesos?

Option (a) The U.S. company will demand that the inputs are priced in dollars.

Option (b) The U.S. company will lose money.

Option (c) The U.S. company will demand that the inputs be priced in a third currency.

Option (d) The U.S. company will benefit from its relatively strong dollar.

Option (e) The U.S. company will experience no effect because of NAFTA.

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chris and winsome are married and filed their taxes as married filing jointly. while filing their taxes, they determined that their total itemized deduction is $20,000. chris and winsome should

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Chris and Winsome should use standard deductions higher than single deductions. Option B is the correct answer here.

A standard deduction is a specific amount that reduces the amount of your taxable income. Your deductible is the sum of your basic deductible and additional deductibles for old age and/or blindness.

Take the standard print as it is larger than the single print. According to the IRS, taxpayers can claim the greater of the two.

1) Single deduction

2) Standard deduction

To minimize the tax burden.

In 2019, the standard deduction for jointly filed marriages is $24,400

Although a single deduction is $20000.

In this case, a standard deduction must be made.

Complete question:

A. claim their itemized deduction for $20,000.

B. take the standard deduction since it is greater than their itemized deduction.

C. change their filing status to head of household so they can get a $36,000 deduction.

D. claim both their itemized and standard deduction.

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nataro, incorporated, has sales of $674,000, costs of $338,000, depreciation expense of $83,000, interest expense of $48,000, and a tax rate of 25 percent. the firm paid out $78,000 in cash dividends. what is the addition to retained earnings?

Answers

The addition to the retained earnings is $75,750.

What are retained earnings?

Retained earnings are described as the total earnings in the form of profits after deducting the payment of the dividends. It is important to mention that the concept is highly important in accounting, and the term retained highlights the number of dividends that a company kept with itself and did not pay to the shareholders.

Given that,

sales = $674,000,

costs = $338,000,

depreciation expense = $83,000

interest expense = $48,000,

Tax rate = 25 percent.

cash dividends = $78,000

Retained earnings = 674,000 - (338,000 + 83,000 +48,000) = 674,000 - 469,000 = 205,000

25% of 205,000 = (25 x 205,000)/100 = 51,250

Hence, 205,000 -51,250 - 78,000 = $75,750

The retained earnings are $75,750

It can be concluded that the added to the retained earnings is $75,750.

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f average movie attendance is 250 million when prices are $9 a ticket and 200 million when prices are $11 a ticket, the elasticity of demand for movie tickets is about:

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The price elasticity of demand is -1.11 with initial quantity as 250 million at $9 and later quantity as 200 million at $11.

Give a brief account on price elasticity.

Price elasticity of demand is a gauge of how a product's consumption changes in response to a price change. In mathematics, it is written as:

Price Elasticity of Demand = Percentage Change in Quantity Demanded ÷ Percentage Change in Price

Economists use the concept of price elasticity to examine how changes in a product's price impact its supply and demand. The price elasticity of supply is a property of supply that is comparable to that of demand. Price elasticity of supply describes the link between a change in supply and a change in price. It is calculated by dividing the percentage change in price by the percentage change in quantity supplied. The interaction between the two elasticities determines what goods are produced and at what costs.

To solve the question :

Price Elasticity of Demand = [(Q1 – Q0) / (Q1 + Q0)] / [(P1 – P0)/(P1 + P0)]

= ((200-250)/(250+200))/((11-9)/(9+11))

= (-50/450)/(2/20)

= (-0.111/0.1)

= -1.11

Hence, the price elasticity of demand is -1.11.

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one reason for the failure of purchasing power parity theory and international fisher effect in predicting short-term movements in exchange rates is due to the

Answers

strong relationship between interest rates differentials and subsequent changes in spot exchange rates, is one reason for the failure of purchasing power parity theory and international fisher effect in predicting short-term movements in exchange rates

What is Purchasing Power Parity Theory?

The concept of purchasing power parity (PPP) says that if an exchange rate is taken into account, products from one country will cost the same amount in another. This idea states that a market basket of commodities is priced equally in both countries when two currencies are at parity. It is a theory which states that when, currencies' exchange rates are in equilibrium their purchasing power is equal in both of the two countries. The author of the theory of parity in purchasing power was Cassel, Gustav the Purchasing Power Parity is available in both absolute and relative forms. A PPP project can be financed in three ways: with loan, with equity, and with government funding

What kinds of PPP are there?PPPs at the local and regional levels.Information and communication technology/telecom PPPs.Transportation PPPs.Sanitation and water PPPs.What are Interest Rates?

The quantity of interest due each period is denoted by an interest rate, which is a ratio of the amount lent, deposited, or borrowed to the total amount. The amount lent or borrowed, as well as the interest rate, frequency of compounding, and the period of time during which it is lent, deposited, or borrowed, all affect how much interest will be charged overall.

What are Exchange Rates?

A currency exchange rate is the cost of converting one currency into another. Typically, national currencies are used as currencies.

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in a period of rising prices, management of a company that reports under ifrs is least likely to attempt to influence analysts' opinions of its financial results by:

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A company's assets, liabilities, and shareholder equity are all listed on a balance sheet, which is a financial statement. One of the three fundamental financial statements used to evaluate a company is the balance sheet.

As of the publication date, it provides a snapshot of a company's finances, including what it owns and owes.

Why is it necessary for countries' accounting standards to become more comparable?

Standards that are more comparable have the potential to make global capital markets more efficient and cut costs for both those who use financial statements and those who prepare them.

What is a balance sheet used for?

You can get a snapshot of your company's financial situation at any given time from a balance sheet. A balance sheet, like an income statement and a cash flow statement, can be used by business owners to look at how their company is doing financially.

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an exogenous variable is a a variable a. that varies with changes in current income. b. that is independent of current income. c. that is independent of taxes. d. that comprises variables such as consumption, saving, and aggregate expenditures.

Answers

The correct answer is Option D.

Exogenous variables help to explain various factors or outcomes with in model by having a reason that is independent of the model.

What is Exogenous variables?A variable that is exogenous to the system is one that is unaffected by other variables. Consider a straightforward causal system, such as farming. Crop output is influenced by exogenous factors such as weather, farmer skill, pests, and seed availability.Exogenous variables help explain other factors or outcomes with in model by having a reason that is independent of the model.Exogenous variables are seen as independent in contrasting to endogenous variables. In other words, changes in one variable with in formula do not automatically or directly affect changes in another. Exogenous variables don't relate to one another directly or through a formula.An exogenous variable in an economic model is one whose value is established outside the model and imposed upon the model, whereas an . A change in an exogenous variable is known as an exogenous change.

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please help me this is so tricky…
List two reasons why time is important to consumers.

(THIS IS FROM MY TEST FROM FRIDAY BUT TODAY I’M COMPLETING THIS UNTIL MONDAY BUT YOU CAN STILL GIVE ME THE ANSWER)

Answers

Explanation:

1. Without time a consumer cannot make purchases

2. It allows a consumer ger their debit alert to know how much they bought

the agreements that allow independent owner/ operators of mcdonald's restaurants around the globe to use mcdonald's trademarked name and menu items represent, in essence, which form of market entry?

Answers

We get into a 20-year contract with just one employee for each restaurant.

A McDonald's franchise deal lasts for how long?

We get into a 20-year contract with just one employee for each restaurant. One individual completes the course, signs the contract, and is thereafter designated as the Franchisee. You will have the opportunity to benefit from owning such a firm as a franchisee. information on trademarks. McDonald's or its licensors are the owners of all trademarks, service marks, and all graphic components, including the look and feel, that appear on the online services. These items are distinctive and protected trade dress. Legally speaking, a franchise agreement is a legally enforceable contract between the franchisor and the franchisee. A franchise agreement's purpose is to grant the franchisee permission to run a franchised business using the franchisor's system and property marks.

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what is meant by planning a project? what does this encompass? who should be involved in planning the work?

Answers

The project planning process involves clearly defining the project purpose, defining the project scope, choosing the quality arrangement, and assigning tasks to the appropriate team members. Planning the task should involve everyone in the organization, including the executives or group leader.

What is project planning?

Project planning is frequently used to coordinate several aspects of a project, such as work loads, team management, and project plans. An activity network diagram is used to define the logical relationships between tasks and to identify the critical path. Since it must be done before the project is actually started, project planning is inherently uncertain.

As a result, it is common practice to estimate work duration using a weighted average of optimistic, normal, and pessimistic conditions. The critical chain method includes "buffers" in the planning process to account for potential execution delays. Project management software can be used to calculate float or slack time in the schedule.

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