Melissa's characteristics that are not consistent with entrepreneurship is that Melissa tends to put things off until later.
What is entrepreneurship?Entrepreneurship refers to the activity of setting up a business that takes financial risks in the hope of profit.
The missing options in the questions are
Melissa has high self-confidence.Melissa tends to put things off until later.She is untroubled by uncertainty.She has a high need to achieve.She has a high energy level.Melissa is a very good middle manager. However, she has for a very long time wanted to open her own business. Melissa's characteristics that are not consistent with entrepreneurship are she tends to put things off until later.
Therefore, B is the correct option.
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If the marginal product of capital decreases for any given capital stock (e.g. because of a decrease in the efficiency with which the economy operates), what happens to the investment curve?
a. The investment curve remains the same.
b. The investment curve shifts inward.
c. There is movement along the investment curve.
d. The investment curve shifts outward.
If the marginal product of capital decreases for any given capital stock (e.g. because of a decrease in the efficiency with which the economy operates), the investment curve shifts inward.
B is the correct option.
As MPK falls, the economy will save less, and as saving falls, the investment curve will shift inward.
The interest sensitivity coefficient determines the slope of the investment curve. A more rounded slope results from a high interest sensitivity. Because of the higher sensitivity, a slight decrease in interest rates causes a significant increase in investment spending.
The most important feature of the investment demand curve may be its frequent swings rather than its negative slope. Despite the fact that interest rate fluctuations have a clear impact on investments, other factors appear to have a greater impact on decision-making.
Businesses require financing in order to produce goods and services. Increased output will almost certainly necessitate more capital, which will encourage additional investment. As a result, as GDP rises, the investment demand curve is expected to shift to the right.
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fiscal policy is concerned with which of the following? group of answer choices interest rate changes. money supply changes. price controls government expenditure changes.
Fiscal policy is concerned with government expenditure changes.
Fiscal policy refers to the government's use of taxation and spending to influence the economy. It aims to manage economic growth, control inflation, and reduce unemployment. This policy primarily focuses on government expenditure changes, including public works projects, infrastructure investments, and social programs.
While interest rate changes and money supply changes are important aspects of economic management, they fall under the scope of monetary policy, which is conducted by central banks. Price controls, on the other hand, are a form of government intervention in markets to manage supply and demand. Although these factors may indirectly relate to fiscal policy, the primary focus of fiscal policy remains on government expenditure changes.
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Mojor logisitics functions are logistics information management inventory management transportation and......
Answer:
warehousing
Explanation:
These are the options for the question
advertising
warehousing
financial projections
product design
Logistics can be regarded as process involving planning, as well as controlling the efficient and cost-effective flow, implementing and
storage of raw materials, as well as in-process inventory, and related information starting at origin point up to consumption point with the aim of for conforming to requirements of customer.roles of logistics are storage
transportation/delivery,distribution processing, and some activities to deliver products on time. It should be noted that Mojor logisitics functions are logistics information management inventory management transportation and warehousing
If the Fed raises interest rates, stock market values will probably fall, because: (Mark ALL that apply)
Question options:
a) Higher interest rates on other assets may raise the required rate of return on stocks.
b) Higher interest rates is likely to lead to higher inflation.
c) Higher interest rates may lead to a very strong economy.
d) Higher interest rates could lead to lower spending and a risk of recession.
When the Federal Reserve increases interest rates, stock market values will most likely decrease for two reasons. Firstly, higher interest rates may raise the required rate of return on stocks by making other assets, such as bonds, more attractive to investors.
As a result, the increased demand for bonds may divert money away from the stock market, lowering stock prices.Secondly, higher interest rates could lead to lower spending, which could have a negative impact on corporate earnings and stock prices. As the cost of borrowing money becomes more expensive, businesses and consumers may cut back on spending, reducing economic activity and lowering stock prices. There is also a risk of recession associated with high interest rates as the cost of borrowing money increases which can lead to lower economic growth and employment.
The idea of higher interest rates leading to higher inflation is not true because higher interest rates tend to reduce inflation by slowing down economic growth and borrowing. Therefore, options B and C are incorrect.Option A and option D are correct. When the Federal Reserve raises interest rates, stock market values will likely fall because higher interest rates on other assets may raise the required rate of return on stocks and higher interest rates could lead to lower spending and a risk of recession.
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help quick!
According to the video, which qualities do Insurance Underwriters need? Check all that apply.
O communication skills
O customer service skills
Ocomputer skills
Oknowledge of sales strategies
Oan outgoing attitude
O a background in finance
Answer: 1 3 6 or A C F
Explanation:
I just did it on the edge
Answer:
ACF
Explanation:
got it correct on Edge 2020
Taggart Inc. is considering a project that has the following cash flow data. What is the project's payback? Year 0 1 2 3
Cash flows $1,075 $500 $500 $500 a) 2.15 years b) 2.11 years C) 1,70 years d) 2,45 years e) 181 years
The project's payback is 4 years, if the starting cashflow is $1,075. Option e is correct choice.
To calculate the payback period, we need to determine in which year the cumulative cash inflows will equal the initial investment. Using the given data, we can determine the cumulative cash flows as follows:
Year 0: $1,075
Year 1: $1,575 ($1,075 + $500)
Year 2: $2,075 ($1,575 + $500)
Year 3: $2,575 ($2,075 + $500)
Therefore, the payback period can be calculated as follows:
Payback period = Year before full recovery + (Unrecovered cost at start of year / Cash flow during year)
Payback period = 2 + ($1,000 / $500)
Payback period = 2 + 2
Payback period = 4 years
Option e is correct choice.
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--The complete question is, Taggart Inc. is considering a project that has the following cash flow data. What is the project's payback? Year 0 1 2 3
Cash flows $1,075 $500 $500 $500 a) 2.15 years b) 2.11 years C) 1.70 years d) 2.45 years e) 4 years--
Which of the following statements about electronic résumés is false? a. directions for submitting electronic résumés should be followed carefully. b. many companies only use electronically submitted or emailed résumés. c. electronic résumés should be typed in a standard word processing program. d. electronic résumés should be saved in html format. please select the best answer from the choices provided a b c d
An electronic resume is one that is sent to a potential employer via email. An electronic résumé is used to apply for employment online.
What makes an effective electronic resume?On an electronic resume might be provided in a distinct keyword section or integrated into the text. All text should be positioned to the left and in a plain typeface. Underlining, bolding, italics, and bullets should be avoided since they can cause problems with older OCR software.
Thus, Option D would be the false statement about electronic resumes.
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Answer:D
Explanation:Electronic résumés should be saved in HTML format.
Which of the following might be monitored as an indicator of inflation?
consumer price index
gold prices
oil prices
All of the above may be indicators of inflation.
The Consumer Price Index (CPI), which calculates the percentage change in the cost of a selection of products and services that households use, is the most well-known measure of inflation.
What reflects the consumer price index?A market basket of consumer goods and services is used to create the Consumer Price Index (CPI), which tracks the average change in prices over time for urban consumers.The Consumer Price Index (CPI), which calculates the percentage change in the cost of a selection of products and services that households use, is the most well-known measure of inflation.One of the most widely used inflation metrics is the CPI, which gauges the level of retail prices for goods and services at a given moment. This is because it reflects changes in the cost of living for consumers.To learn more about Measure of inflation refer to:
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What do all trades have in common
Answer:
profit
Explanation:
profit can be a answer
Truduea and Melania have negotiated an agreement to buy computer parts for Melania's business. In order to satisfy the UCC's writing requirements, what must be included in their written agreement? The contract or memorandum needs only to state the quality of the goods. The contract or memorandum needs only to state the price of the goods. The contract or memorandum needs to state the price of the goods, the quality of the goods, and also the quantity to be sold. The contract or memorandum needs to state the price of the goods and the quality of the goods, but not the quantity to be sold. The contract or memorandum needs only to state the quantity to be sold.
The UCC's writing requirements for Trudeau and Melania's agreement, their written contract or memorandum must state the price of the goods, the quality of the goods, and the quantity to be sold.
The Uniform Commercial Code (UCC), which governs commercial transactions in the United States, in order for Truduea and Melania's agreement to buy computer parts to be considered valid and enforceable, it must meet certain writing requirements. Specifically, the UCC requires that contracts for the sale of goods priced at $500 or more must be in writing and must contain certain information.
The contract or memorandum between Truduea and Melania needs to include the price of the goods and the quality of the goods. Additionally, the contract or memorandum must also state the quantity of goods to be sold.
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The recordkeeper left town after the owner discovered a large sum of money had disappeared. An audit found that the recordkeeper had written and signed several checks made payable to his fiancé and recorded the checks as salaries expense а. An employee was put in charge of handling cash. That employee later stole cash from the business. The company b. Incurred an uninsured loss of $184,000. There is $500 in cash missing from a cash register drawer
Answer:
Hello your question is incomplete below is the missing part of your question
Identify the internal control principle that was violated in each of the following separate situations
options :
Establish responsibilities
Insure assets and bond key employees
Separate record keeping from custody of assets
answer : A) Separate record keeping from custody of assets
B) Insure assets and bond key employees
C) Establish responsibilities
Explanation:
A) The recordkeeper left town after the owner discovered a large sum of money had disappeared. An audit found that the recordkeeper had written and signed several checks made payable to his fiancé and recorded the checks as salaries expense:
Principle violated is ; Separate record keeping from custody of assets
B) An employee was put in charge of handling cash. That employee later stole cash from the business. The company Incurred an uninsured loss of $184,000.
principle violated is ; Insure assets and bond key employees
C) There is $500 in cash missing from a cash register drawer three sales check shared the cash register drawer so the owner cannot determine who is at fault
principle violated is ; Establish responsibilities
During which part of the Product Life Cycle would a company use a profit-oriented pricing strategy?
The lifespan of a product depicts how long it remains on the market, from the moment it is first introduced to consumers until it is phased out and taken off the shelves.
What is the maturity stage of the product life cycle?Sales declined during the mature period, a sign that the market has started to become saturated. During this phase of the product life cycle, the price also starts to become competitive. The profit margins become slimmer as a result.
In most life-cycle situations, profits normally reach their greatest level during the early growth stages, but sales often reach their peak during the mature stages.
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Aisha is a student who is studying at grade 12 and lives in an island with her family. The total population of her island is 7500. In her island there are about 3000 people who are working in the age group. Of this, 2000 people actively participate in the workforce. In one of her lessons, her economic teacher had shared census information with the class and she realised that the estimated birth rate in her island is going to increase in the coming years. question:-What could have made aisha think that the population in her island would increase? Explain your suggestions with justifications.
Answer:
There are a few reasons why Aisha may have realized that the population in her island would increase based on the information provided:
1. High birth rate: The passage mentions that the estimated birth rate in the island is going to increase. A higher birth rate means more babies are being born, which will lead to population growth over time as these children grow up.
2. Large proportion of young population: Out of 7500 people, 3000 are in the working age group. This suggests there is a large proportion of young population who are in the child-bearing age. As they have more children, the population will increase.
3. Low death rate: If the death rate remains low while birth rate increases, the net population growth will be positive. The information does not mention anything about death rates so we can infer that it is at a normal or low level. This will also contribute to population increase.
4. In-migration: If the island has a growing economy or job opportunities, it may attract people from other places to move in. This in-migration will add to the population and lead to its growth.
In summary, the key reasons are high birth rate, large working age population, and possibly low death rate and in-migration. These demographic factors point to a likely increase in the island's population in the coming years, which Aisha was able to discern from the census information provided by her teacher.
The justifications for these suggestions are based on the basic dynamics of population change, including birth rate, death rate, age structure, and migration patterns. With more births, limited deaths, and immigration, a population will grow over time due to natural increase and addition from other places. Aisha would have understood these principles from her economics lessons in school.
Explanation:
Please comment on the trend in Volkswagen’s operating income
over the past five years. Review the market weights of debt and
equity for Volkswagen relative the others in the industry. Is this
level
Over the past five years, Volkswagen has experienced fluctuations in its operating income. In 2015, the company's operating income stood at €12.77 billion, which slightly decreased to €12.12 billion in 2016. However, there was a significant decline in operating income from 2016 to 2017, reaching only €3.92 billion. On a positive note, Volkswagen witnessed a steady increase in operating income from 2018 to 2019, with figures of €13.92 billion and €19.3 billion, respectively.
In terms of debt and equity, Volkswagen maintains a balanced market weight compared to its industry counterparts. The company's market capitalization is valued at €84.7 billion. Volkswagen's long-term debt is reported at €103.7 billion, while short-term debt amounts to €1.2 billion. Comparatively, BMW's long-term debt is €34.4 billion, with short-term debt at €8.3 billion, and Daimler's long-term debt stands at €57.1 billion, accompanied by short-term debt of €7.6 billion. As such, it can be concluded that Volkswagen carries a higher debt burden compared to its competitors, but its market weights of debt and equity remain balanced.
In summary, Volkswagen's operating income has shown fluctuations over the past five years, with a notable decline in 2017 but a subsequent steady increase. The company's debt level is higher than that of its industry rivals, but it maintains a balanced distribution of debt and equity. These factors highlight the financial dynamics of Volkswagen within the industry.
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which economic system does not contain provisions for taking care of people in the event they are not able to take care of themselves? which economic system does not contain provisions for taking care of people in the event they are not able to take care of themselves? socialist economy market economy command economy traditional economy
Market economy does not contain provisions for taking care of people in the event they are not able to take care of themselves
There are no arrangements in the market economy for caring for people if they are unable to care for themselves. This is dependent on the free market's ability to allocate resources and set prices, as well as on the actions of individuals and corporations. According to others, this could result in a situation where people who can't take care of themselves, such as the old, the disabled, or people with low means, are left without enough support.
Although the scope and character of these laws might differ widely depending on the nation and its political and social environment, market economies normally do contain measures for resolving these challenges. Many market economies offer safety net programs like unemployment insurance, food stamps, and public housing to assist individuals in need. The private sector also frequently offers philanthropic services and other kinds of assistance.
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The economic system that does not contain provisions for taking care of people in the event they are not able to take care of themselves is the market economy.
In a market economy, goods and services are allocated through the price system in a free market, where individuals and businesses are free to buy and sell goods and services without government interference. The primary goal of a market economy is to create incentives for individuals and businesses to produce goods and services in order to maximize their profits.
This means that there are no government-funded social programs to provide assistance to those who are unable to care for themselves. Instead, individuals and businesses must rely on their own resources and the voluntary exchange of goods and services within the market. This lack of government support can be a difficult situation for those who are unable to take care of themselves, as there may not be any resources available to them.
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this is for you so i dont feel bad
Lymen International is considering a significant expansion to its product line. The sales force is excited about the opportunities that the new products will bring. The new products are a significant step up in quality above the company’s current offerings, but offer a complementary fit to its existing product line. Fred Riddick, senior production department manager, is very excited about the high-tech new equipment that will have to be acquired to produce the new products. Barbara Dyson, the company’s CFO, has provided the following projections based on results with and without the new products.
Without New Products
With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
(a) Compute the company’s return on assets, profit margin, and asset turnover, both with and without the new product line. (Round answers to 0 decimal places, e.g. 2% and asset turnover to 1 decimal place, e.g. 6.2)
Without new products
With new products
Return on assets
International sidering offerings, xut offer compl step up with New Products Sales 2,145.20 Average tel Without new products with now products ej abou: red Riddick, bring. Th producti depart
%
%
Profit margin
%
%
Asset turnover
Answer:
I don't know sorryyyyyjdkd
The computation of the Lymen International Company's return on assets, profit margin, and assets turnover, both with and without the new product line, is as follows:
a) Return on assets = Net Income/Average total assets
Without New Products With New Products
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
= 9% 6%
b) Profit margin = Net Income/ Sales revenue
Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
= 4% 5%
c) Asset Turnover = Net Sales / Average Total Assets
Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Average total assets $5,282,800 $13,930,400
= 2.3 x 1.2 x
How useful are accounting ratios?The accounting ratios above help investors understand the efficiency, profitability, and effectiveness that companies achieve when compared with previous years or with competitors.
For instance, the assets turnover ratio helps investors understand Lymen International Company's effectiveness in using its assets to generate sales.
Data and Calculations:Without New Products With New Products
Sales revenue $12,149,200 $16,618,200
Net income $488,900 $885,800
Average total assets $5,282,800 $13,930,400
Total assets = $10,565,600 $2,786,0800
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Which of the following correctly expresses the avenue through which expansionary monetary policy affects output in the standard model?...
Expansionary monetary policy leads to lower interest rates, which raises investment and leads to higher output.
Expansionary monetary policy affects output in the standard model by lowering interest rates, which in turn raises investment and leads to higher output.
Expansionary monetary policy refers to the actions taken by a central bank, such as decreasing interest rates or increasing the money supply, to stimulate economic growth and increase aggregate demand. In the standard model, when the central bank implements expansionary monetary policy, it aims to lower interest rates.
Lowering interest rates has a direct impact on investment. When interest rates are lower, it becomes cheaper for businesses and individuals to borrow money for investment purposes. As a result, investment spending increases, leading to an expansion of productive capacity and output in the economy.
The reduction in interest rates also encourages consumer spending. Lower borrowing costs make it more affordable for individuals to finance purchases such as homes, cars, and other goods. This increase in consumer spending further boosts overall demand and contributes to higher output levels.
To summarize, expansionary monetary policy's avenue to affecting output in the standard model involves lowering interest rates. This action stimulates investment and consumer spending, ultimately leading to increased output and economic growth.
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A wider variety of goods available at cheaper prices may be a result of.
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Economies of scope occur when producing a wider variety of goods or services in tandem is more cost effective for a firm than producing less of a variety, or producing each good independently.Describe the steps you would take to prepare yourself for a new job.
Answer:
Tons of research! Make sure to ask questions when employers ask if you have anything you would like to know. Dress appropriately for the job and job requirements and come prepared and try not to use words like "Um" and "I'm not sure" often!
Explanation:
Job prep!
What is the last step in developing an ABC system?
In the following question, among the conditions given, The last step in developing an ABC system is to implement the system and monitor its effectiveness.
What is an ABC system? Activity-Based Costing (ABC) is a technique for calculating the costs of business processes and products. The costs are assigned to individual products, services, or business processes according to the number and nature of the activities involved in their manufacture or provision. ABC is more accurate than traditional costing methods because it recognizes that various products consume various activities at varying levels of cost.
However, developing an ABC system requires a systematic and logical approach, as well as the following eight steps: Identify and define activities that are relevant to the cost object. Create activity cost pools and estimate the total cost of each pool. Determine the cost driver that has the most impact on each activity pool.
Establish a rate for each activity cost pool by dividing the pool's total cost by its cost driver activity. Estimate the total quantity of each cost driver activity that will be required for each product or service. Compute the cost of each product or service by multiplying the total quantity of each cost driver activity by the rate of the cost driver activity.
Compile the results and allocate the costs of each activity pool to the appropriate products, services, or business processes. Implement the system and monitor its effectiveness. The implementation of the ABC system involves the incorporation of the new process, method, or system into the company's culture. Monitoring the effectiveness of the ABC system assists to keep the system functioning effectively over time.
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the the opportunity cost of doing an activity, the . a. higher; more likely a person will do that activity b. lower; less likely a person will do that activity c. lower; more likely a person will do that activity d. higher; likelihood of doing the activity will remain unchanged
The lower the opportunity cost of doing an activity, the more likely a person will do that activity. (The correct answer is C).
The costing method of activity-based costing assigns manufacturing overhead expenses to products based on expense pools and cost driver activity. These cost pools are then assigned to products based on the cost driver associated with that cost pool. Traditional costing is a method of costing in which all manufacturing overhead is allocated to products based on just one cost driver. To allocate overhead, the activity rate formula, also known as the allocation rate method, is used. To calculate the activity-based costing rate, add all indirect costs that comprise that cost pool and divide the total cost driver used for that cost pool.
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how are stocks be calculated? what Is stock exchange?
Answer:
Stocks are a check on a certain holding in a public limited company. Different rights may accompany the stocks, but most often it gives its owner the right to attend and participate in elections at the company's annual general meeting, receive dividends from the company and sell the stock or holding to a third party. Stocks are issued at a certain nominal value, often $1 per share. If the stocks are listed on public stock exchanges, they are often referred to as "listed stocks", but when listing, an official price is created for stocks in the company and this makes it easier for stock owners to trade in the stocks. The company's multiplied by the price on the stock exchange is called the company's market value.
Liquidity when investing in stocks
Answer:
it turns to solid
Explanation:
due to hybrid of the society, it could lower the liquification of things
Opportunity cost is
when faced with several options.
the loss experienced from an option not chosen
O the best and cheapest option
O comparing the benefit of each option
evaluating the price one pays for each option
Opportunity cost is when faced with several options: the loss experienced from an option not chosen
What is meant by opportunity cost?This is the term that is used to refer to the forgone benefit. The opportunity cost of an item is the benefit that they would have gotten from the item which they would now have to lose because they chose to go with an alternative option.
Hence we can conclude that the Opportunity cost is when faced with several options: the loss experienced from an option not chosen
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Which of the following is not one of the sources of natural market power?
A.
Having individual expertise in a field.
B.
Controlling a key resource.
Your answer is not correct.
C.
Owning a firm in a small community.
D.
The presence of economies of scale.
The answer is A, having individual expertise in a field, is not one of the sources of natural market power. Natural market power refers to the ability of a firm to control market conditions, which allows it to influence prices, output, and other variables.
There are several sources of natural market power, including controlling a key resource, owning a firm in a small community, and the presence of economies of scale. Controlling a key resource can give a firm natural market power because it allows the firm to set the price and control the supply of the resource. Owning a firm in a small community can give natural market power because there may be limited competition, and the firm may have established relationships with customers. The presence of economies of scale can also give a firm natural market power because it allows the firm to produce goods or services more efficiently and at a lower cost than its competitors. Individual expertise in a field, however, does not give a firm natural market power.
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transactions happening at odd times or places; being performed by people who would not normally participate; or including odd procedures are typically associated with which type of fraud symptom?
As per the transaction, the type of fraud symptom is Bribery
Transactions that occur at odd times or places can be a sign of fraudulent activity.
These symptoms of fraud can be associated with various types of fraudulent activity, such as embezzlement, financial statement fraud, or bribery.
Embezzlement occurs when an employee steals funds or assets from their employer, and transactions that occur at odd times or places or involve unusual procedures can be used to cover up this type of fraud.
Financial statement fraud occurs when a company misrepresents its financial performance to investors or other stakeholders, and transactions that involve people who wouldn't normally participate or lack proper documentation can be used to commit this type of fraud.
In conclusion, transactions that happen at odd times or places, involve unusual procedures, or are performed by people who wouldn't normally participate, are often symptoms of fraud.
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Teresa is considering purchasing a home for $220,000 by taking out a loan with an interest rate of 4.3% for 30 years. What would her monthly payment be?
Use the monthly payment formula to calculate the monthly payment for this loan:
M =
M = monthly payment
P = principal
r = interest rate
t = number of years
Answer:
$1,088.144
Explanation:
The applicable formula is as below as derived form annuity concepts.
M = PV × r
1 − (1+r)−n
where p= $220,000
r = 4.3% interest rate per year;
Per month interest rate = 0.043 /12=0.00358
r = 30 year, in months = 30 x 12 =360
Therefore
M= $220,000 x 0.00358
1-(1+0.00358) ^ - 360
M=$220,000 x 0.00358
1 - 0.2762
M = $220,000 x(0.00358 /0.7238
M = $220,000 x 0.00494611
M = $1,088.144
Between january 2010 and january 2016, u. S. Employment increased by 12. 1 million workers, but the number of unemployed workers declined by only 7. 3 million. How are these numbers consistent with each other? why might one expect a reduction in the number of people counted as unemployed to be smaller than the increase in the number of people employed?.
Between January 2010 and January 2016, the U.S. employment increased by 12.1 million workers, but the number of unemployed workers declined by only 7.3 million. The consistency between these numbers lies in the fact that the decrease in the number of unemployed workers was not equal to the increase in the number of employed workers.
This is due to the fact that the labor force in the United States is dynamic and constantly changing. The workforce is made up of people who are either employed or unemployed and are actively seeking employment. A reduction in the number of people counted as unemployed can be explained by the fact that some of them may have left the labor force for one reason or another, such as going back to school, retiring, or giving up on looking for a job.On the other hand, the increase in the number of people employed could be due to various factors such as growth in the economy, increased demand for labor, or a rise in productivity which leads to job creation.
It's also worth noting that the number of unemployed people doesn't account for people who are underemployed or those who have given up on finding work, which means that the unemployment rate can be misleading. For instance, if someone has given up looking for work, they will not be counted as unemployed, which can lead to a smaller decrease in the number of people counted as unemployed than one might expect.Overall, the relationship between employment and unemployment is complex and can be affected by various factors, and while an increase in the number of people employed is a good sign, it doesn't necessarily mean that the unemployment rate will decrease in the same proportion or rate.
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The numbers are consistent because not all job growth reduces unemployment, as the employed can include new entrants into the labor force. People also exit the labor market and are no longer included in unemployment figures. The ongoing 'churn' of the labor market and growth of the population can also contribute to these statistics.
Explanation:These numbers are consistent because not all job growth translates into a reduction in the number of unemployed individuals. For instance, the increase in employment might come from recent graduates or people who were previously not in the labor force, rather than the unemployed. Additionally, people retire, die, or become disabled, which removes them from the unemployment statistics, while new people constantly enter the labor force and add to the unemployment statistics.
Another factor contributing to this is the natural 'churn' of the labor market - people change jobs, and there's often a delay between when one job ends and another begins, during which people might be technically unemployed. Also, the population and hence labor force keeps growing which also adds to the number of unemployed.
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An investment project costs $17,900 and has annual cash flows of $4,400 for six years. a. what is the discounted payback period if the discount rate is zero percent?
With a zero percent discount rate, the discounted payback period is the number of years it takes for the cumulative cash flows ($4,400 per year) to equal or exceed the initial investment of $17,900.
The discounted payback period is a measure of how long it takes for the discounted cash flows to recover the initial investment. In this scenario, the investment project costs $17,900 and generates annual cash flows of $4,400 over a six-year period.
When the discount rate is zero percent, the discounted payback period is determined by the number of years it takes for the sum of the discounted cash flows to equal or surpass the initial investment. Since the discount rate is zero percent, the present value of each cash flow is equivalent to its nominal value.
Thus, in this case, the discounted payback period is simply the time it takes for the cumulative cash flows ($4,400 per year) to reach or exceed the initial investment of $17,900.
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