A demand deposits would be classified in the M1 category of the money supply.
Money stored in demand accounts at commercial banks is known as demand deposits or chequebook money. These account balances are typically regarded as money and make up the majority of a nation's strictly defined money supply. Simply explained, they are bank deposits that may be withdrawn immediately and without warning.
Demand deposits are often regarded as a component of the strictly defined money supply since they may be used to pay for goods and services and to repay debts via checks and draughts. Demand deposits and currency are typically included in definitions of a nation's money supply.
Hence the correct option is A
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Diego wants to buy a dirt bike. He borrows a $7,999 simple interest loan from the bank
for 36 months at an interest rate of 9.7%.How much simple interest will he pay
Answer:
$ 2,327.709
Explanation:
Only the principal amount is considered when calculating simple interest. In simple interest, the principal amount remains constant. The formula for simple interest is as I = p x i x t
where I = interest
P = principal amount ...
i= interest rate
t= time
For Diego, p= $7,999, i= 9.7% , t 36 months or 3 years
Diego will pay
I= 7999 x( 9.7/100) x 3
I= 7999 x 0.097 x 3
Diego will pay $ 2,327.709
What does the stock market drive companies to do?
Answer:
It drives companies to push themselves to increase their market value, and make sure all the companies news is relevant and important.
Explanation:
The stock market is an online exchange where prices are put together and people make different trades. The stock market drives them to increase their earnings and ultimately the price per share of their stock.
Question 9 of 10
If a new source of lumber is found, what is likely to happen to the price of
lumber, and why?
A. The price is likely to increase because demand will increase.
B. The price is likely to increase because costs of production will
increase
C. The price is likely to decrease because demand will decrease.
O D. The price is likely to decrease because supply has increased.
SUBMIT
Answer:
O D. The price is likely to decrease because supply has increased.
SUBMIT
Explanation:
A new source of lumber will result in an increase in the quantity available for sale. As per the laws of supply and demand, an increase in supply without a corresponding increase in demand leads to reduced prices.
The prevailing market price or equilibrium price is the price at which the current demand matches the current supply. There are no shortages or excesses. An increase in supply creates a surplus in the market. For suppliers to sell the excess lumber supplied, they have to reduce prices to create more demand.
Which of the following refers to the balance an account is always supposed to have?
Normal balance
Debits
Credits
Double-entry system
Answer:
Normal balance
Explanation:
Accounts are expected to have either debit or credit balance, depending on their classification. The accounting equation of Assets is equal to equity plus liabilities is the basis for account classification. Assets accounts are on one side, while accounts relating to equity and liabilities are on the other.
Accounts have normal balances if the balances at the end of a period are as expected. Assets accounts are expected to have debit balances, while equity and liabilities accounts should have credit balances.
What is not a criterion when evaluating financial service providers?
A. financial service provider's history
B. benefits or lack thereof
C. past and current employees
D. emerging technologies
That which is not a criterion when evaluating financial service providers is this: C. past and current employees.
What are the criteria for evaluating financial service providers?To successfully evaluate the qualification of a financial service provider, the customer must be able to look at their present and past history. They should consider their ability to incorporate emerging technologies into their businesses.
It is not really the business of the consumer to dig out the past and current employees of the business. He should be interested in other relevant factors like the above.
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Which of the following choices is not a step that can reduce your spending?
a.
eating at home, rather than dining out
b. using budgeted cash only
c. forgoing premium cable TV channels
d. purchasing reduced fat lattes during the week
Out of the given options, you won't reduce your spending by d. purchasing reduced fat lattes during the week.
How can we reduce spending?The best way to reduce spending is by spending less on things that we don't need or that we can do without.
In this case, spending on fat lattes won't be a way to reduce spending because they aren't very significant.
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the market price of a bond with 12 years until maturity and an annual coupon rate of 8% increased yesterday. which one of these may have caused this price increase?
There are a few possible reasons why the market price of a bond with 12 years until maturity and an annual coupon rate of 8% increased yesterday.
Here are a few of the most likely reasons:
* Interest rates decreased. When interest rates decrease, the value of bonds typically increases. This is because bonds become more attractive to investors when the yield on bonds is higher than the yield on other investments, such as money market funds or Treasury bills. * The bond's credit rating improved. If the bond's credit rating improved, the value of the bond would also likely increase. This is because investors are more willing to pay a higher price for a bond with a higher credit rating, as they are less likely to lose money if the issuer of the bond defaults.
* The bond's liquidity increased. If the bond's liquidity increased, the value of the bond would also likely increase. This is because investors are more willing to pay a higher price for a bond that is easy to sell, as they are less likely to have difficulty selling the bond if they need to do so. * The bond's price was previously undervalued. It is also possible that the bond's price was previously undervalued, and that it has simply reached its fair value. In this case, the price increase would not be due to any specific event, but rather to the market's realization that the bond was worth more than it was previously trading for.
It is important to note that these are just a few of the possible reasons why the market price of a bond with 12 years until maturity and an annual coupon rate of 8% increased yesterday. The actual reason for the price increase may be different, depending on the specific circumstances of the bond.
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What is Postage(in accounts)
To recognize a transaction on an account. For example, if one writes a check for $100 and $100 is deducted from that account three days later, the transaction is set to post on the third day.
Long range decisions with long-lasting impact, such as selecting the location for distribution warehouses, mergers and acquisitions, and developing new product technologies are most commonly associated with what type of management decisions?.
Long range decisions with long-lasting impact, such as selecting the location for distribution warehouses, mergers and acquisitions, and developing new product technologies are most commonly associated with vertical and integration
By directly controlling different phases of the production process rather than depending on outside suppliers or contractors, a corporation can streamline its operations by implementing the vertical integration method.Instead of outsourcing its suppliers, manufacturers, distributors, or retail locations, a business might achieve vertical integration by acquiring or forming these businesses on its own. However, because a sizable initial capital expenditure is needed, vertical integration may be viewed as having risky potential drawbacks. When a business tries to increase its presence throughout the manufacturing or supply chain, it engages in vertical integration. To grow more dependent on other parts of the process, a corporation engages in vertical integration rather than sticking to a single point along the process.
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The column headed by a check mark in a checkbook register is provided so you can make a note of your checks that have bounced.
T or F
How did the Supreme Court's decision in Brown v Board of Education relate to its earlier decision in Plessy v Ferguson apex?
Answer: board of education
Explanation: The Court overturned Plessy v. Ferguson, and declared that racial segregation in public schools violated the Equal Protection clause of the 14th Amendment.
Why is ESKOM making an economic loss
Answer:
South Africa has been struggling for years to overhaul Eskom, which is plagued by corruption and mismanagement and has received 263.4 billion rand in bailouts since 2008/09.
Explanation:
Eskom is implementing the worst power outages on record, hurting economic growth that is projected at 0.9 % this year.
a woman invests $35,000, part at 8% and the rest at 9 1 2 % annual interest. if the 9 1 2 % investment provides $437.50 more income than the 8% investment, how much is invested at each rate?
The amount invested at 8% is $24,750 and the amount invested at 9 1/2% is $10,250.
Using the simple interest formula, we must find a solution to this issue. Simple interest is calculated by multiplying the principal (the amount invested) by the rate of interest and the time.
For the 8% investment, we have:
I1 = 24,750 x 0.08 x 1 = $1,980
For the 9 1/2% investment, we have:
I2 = 10,250 x 0.095 x 1 = $977.50
We know that the 9 1/2% investment provides $437.50 more income than the 8% investment, so we can set up the following equation:
I2 - I1 = 437.50
977.50 - 1,980 = 437.50
Solving for I1 and I2, we get:
I1 = 24,750
I2 = 10,250
Therefore, the amount invested at 8% is $24,750 and the amount invested at 9 1/2% is $10,250.
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The sign on the shoe store door said: "Ninety-nine percent of our clients are satisfied customers!" They based this on the comment cards left by customers. What could have happened to make this sample biased?
a. The store clerks only gave comment cards to customers who were smiling when they left the store.
b. Not enough comment cards were returned.
c. The cards were only given to people who bought two pairs of shoes.
d. Not enough comment cards were given out.
Answer:
Option A
Explanation:
A biased sample is the one in which only that part of a lot is chosen as sample which works with the decision desired. As for in the given case, the store chooses to receive a review from the customers who are happy.
A smiling face confirms that the person is happy with the store service.
Thus, when we provide them the comment card maximum feasibility is that they shall write back a positive comment about the store service.
In this manner if comment card is not provided to unhappy customers, the opinion formed is a biased opinion.
Final Answer
Only customers with happy faces are given an option to fill the comment card.
profit is the only
Organizational objectives of the business.Do you agree
Explanation:
I agree because without profit what's the use of the business
which word best describes the writing process in business writing ?
Answer: Brainstorm Pre-write. Write rough draft. Peer-review. Revise ideas. Edit Publish Establish constructive purposes for student writing. Find real audiences, beyond the teacher, for students' writing
in the indirect method of preparing a cash flow statement, which items are considered cash inflows and outflows, respectively? According to the indirect method of preparing a cash flow statement, a decrease in ___ is a cash inflow, whereas a decrease in ___ is a cash outflow.
According to the indirect method of preparing a cash flow statement, a decrease in Inventory is a cash inflow, whereas a decrease in Accounts Payable is a cash outflow.
What is the indirect method of the Cash Flow Statement ?Data that demonstrates how much money a company spent or made over a specific period and from what sources is presented using the indirect approach for a cash flow statement. To calculate cash flow, add or subtract balance sheet items from the company's net income.
With the Indirect method to the Cash Flow Statement, when there is a decrease in inventory then it means that there is a cash inflow because money was not spent. A decrease in Accounts Payable is a cash outflow because it means some payables were paid.
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Turn to Part C of the Systems Analyst's Toolkit and review the concept of net present value (NPV). Determine the NPV for the following: An information system will cost $175,000 as an initial investment to implemented over a six month period and will produce no savings during the last six months of first year once it has gone online. When the system goes online, the company will save $27,750 during the second year of operation. For the next four years, the savings will be $39,250,$45,500,$48,500, and $40,250, respectively per year. Assuming a 4.25% discount rate, what is the NPV of the system? Explain in detail whether.or.not this a good investment (one four sentence paragraph at a minimum).
The NPV of the system is the sum of the present values of the cash flows minus the initial investment, which needs to be calculated based on the given data.
To calculate the NPV, we need to discount the future cash flows to their present values and subtract the initial investment. Using a discount rate of 4.25%, we can calculate the present value of each cash flow and sum them up. The present value of each cash flow is calculated by dividing the cash flow by (1 + discount rate) raised to the corresponding period. After calculating the present values, we subtract the initial investment of $175,000. If the resulting NPV is positive, it indicates that the project is a good investment. If the NPV is negative, it suggests that the project may not be worthwhile.
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How to treat someone very mean on their special day??
When I mean special day I mean
Mothers day
Birthday
Meeting
whoever answers the questions correctly and best I will mark them Brainly and will give them more points
Answer:
birthday
Explanation:
- give them a happy birthday card but glue the card shut
- give them a wrapped present but inside the box put nothing but glitter in it
1. Calculate the Net Worth when Liabilities are $5,000 and Assets are $6,725
What are the three main economic goals of the federal government?
The objectives of economic policy. The federal government works to achieve three policy objectives in order to maintain a robust economy: stable pricing, full employment, and economic growth. The federal government has additional objectives to ensure sound economy policy in addition to these three policy goals.
The US federal governments used the federal budget to fund or finance its numerous expenses, such as paying the salaries of federal employees, purchasing military equipment, and distributing agricultural subsidies.
The federal government's fiscal year begins on October 1 and concludes on September 30 of the subsequent year.
Tax revenues provide funding for the federal government of the United States. The following are the taxes that are collected:
1. Family earnings
2. Customs fees
3. Tariff.
4. Business revenue
The government levies taxes on a variety of activities, such as: smoking cigarettes; drinking alcohol; and buying gasoline.
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The process of leaving your money and any accumulated interest in an investment for more than one period, thereby reinvesting the interest, is called:.
Compounding is the process of leaving your money and any accumulated interest in an investment for more than one period, thereby reinvesting the interest.
What is compounding?This can be explained to be a situation where the interest that is made from a sum of money is added into the principal sum of money and reinvested.
The initial principal amount and the interest made after a period when added together is regarded as compounding.
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What are economic sanctions used for?
The concept mentioned is Economic Sanctions. They're marketable and fiscal penalties applied by one or further countries against a targeted tone- governing state, group, or individual.
Economic and trade warrants are common mechanisms in transnational affairs. They're assessed by a country or group of countries and they set a penalty on imported products from one or further other nations.
Profitable warrants are marketable and fiscal penalties applied by one or further countries against a targeted tone- governing state, group, or individual. profitable warrants aren't inescapably assessed because of profitable circumstances they may also be assessed for a variety of political, military, and social issues.
profitable warrants can be used for achieving domestic and transnational purposes. The efficacity of warrants is debatable — there are numerous failures and warrants can have unintended consequences.
profitable warrants may include colorful forms of trade walls, tariffs, and restrictions on fiscal deals. Their top purpose is generally to change the behavior of the target country's administrations, individualities, or groups in a direction that will ameliorate the situation in that country.
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which career position doesn’t have the authority over the project team?
None of the above is the career position which doesn’t have the authority over the project team. The Option D.
Which career position doesn't have authority?All the career positions mentioned including Information Security Officer, Cybersecurity Officer, and Chief Information Manager have some level of authority over the project team when it comes to information security and cybersecurity matters.
Information Security Officers and Cybersecurity Officers are typically responsible for ensuring the confidentiality, integrity, and availability of an organization's information assets while Chief Information Managers oversee the organization's entire information technology strategy.
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waht should i do when employer present 2 positions
Answer:
Ask him which one is the best choice
Explanation:
A manufacturing company provides jobs for many people in a small town where employment is not easy to find. The company has stayed in the town even though it could find cheaper workers elsewhere, because workers are loyal to the company due to the jobs it provides. Over the years, the company has developed a reputation in the town for taking care of its employees and being a responsible corporate citizen.
The manufacturing process used by the company produces a by-product that for years has flown into the town river. The by-product has been considered harmless but some people who live near the river have reported illnesses. The by-product does not currently violate any anti-pollution laws.
WHAT ARE THE ANSWERS TO THESE QUESTIONS?
What are the issues of integrity, ethics and law posed in the case study? What options does the company have, and what should it do and why?
Explanation:
Note, the term integrity often refers to the ability to keeping to one's moral principles, such as honesty. And ethics refers to the principles of right and wrong one might have.
For example, from this case, we observe that
although the company is known to have a good reputation over the years and of being a responsible corporate citizen, if it fails to act, then the company's integrity comes under question.Even though the by-product does not violate any laws, failing to take action may taint the good reputation it has had considering the fact that the company is well aware that "some people who live near the river have reported illnesses."
Giving For such example are, from this case, we observe that is:
Thus, although the company is known to have a good reputation over the years and of being a responsible corporate citizen, Then if any it fails to act, then the company's integrity comes under the question of law. Also that Even though the by-product does not violate any laws, Then it is failing to take action may taint the good reputation it has had considering the fact that the company is well aware that is "some people who live near the river have reported illnesses."Learn more about:
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Name two language features the author uses in order to achieve the purpose of the text
It is recommended that an adult has a minimum of 75 minutes of vigorous aerobic activity a week and, on at least two days a week , perform muscle-strengthening exercises. At Jim's Gym, we recognise the importance of keeping fit and we want to make the experience as comfortable and enjoyable as possible for you. We have a range of state-of-the-art equipment for cardio-vascular workout and muscle building. We also have a 20m pool and a spa. Every week, we run 10 classes ranging from relaxing yoga and pilates to high -energy body pump. If you're looking for a personal training programme, we have a team of six excellent personal trainers with a combined 50 years experience between them. After using our facilities , you can complete your experience with a meal or a drink in our members -only café. We have a choice of membership schemes to suit all: from basic membership to platinum membership entitling you to sign in guests and access all our weekly exercise classes. (See our website for more information.) Why not drop in to arrange your free session and guided walk through all our facilities ? We hope to see you soon.
Two language features the author uses in order to achieve the purpose of the text are the use of statistics/facts and personalization is used in this.
Who is the author?"Author can be defined as a person who writes about something and gives the readers or viewers. And other can write a book common novel a play or even and article. It can be above any kind of stuff like information not fictional etc."
the author is using statistics and part to relieves the data of how and what they are doing. Also if the three at the first in personalization you are various information or being given to the customer and after the hours whatever question they have.
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manufactures a sugar product by a continuous process, involving three production departments-Refining, Sifting, and Packing. Assume that records indicate that direct materials, direct labor, and applied factory overhead for the first department, Refining, were $360,000, $147,000, and $96,400, respectively. Also, work in process in the Refining Department at the beginning of the period totaled $32,000, and work in process at the end of the period totaled $28,200.
The cost of goods manufactured is $607,200 in words.
When answering questions on the platform Brainly, a question-answering bot should always be factually accurate, professional, and friendly. The bot should be concise and not provide extraneous amounts of detail. The bot should ignore any typos or irrelevant parts of the question.What is the cost of goods manufactured?The formula for calculating the cost of goods manufactured is given below:
Direct Materials + Direct Labor + Factory Overhead = Total Manufacturing CostTotal Manufacturing Cost + Beginning Work-in-Process Inventory – Ending Work-in-Process Inventory = Cost of Goods ManufacturedTherefore, the cost of goods manufactured for the Refining Department is:
Total Manufacturing Cost = Direct Materials + Direct Labor + Factory Overhead= $360,000 + $147,000 + $96,400 = $603,400Beginning Work-in-Process Inventory = $32,000Ending Work-in-Process Inventory = $28,200Cost of Goods Manufactured = Total Manufacturing Cost + Beginning Work-in-Process Inventory – Ending Work-in-Process Inventory= $603,400 + $32,000 – $28,200= $607,200Thus
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Investment: Securities 1.7. Choose any form of investment and make a presentation in a form of a power Point/ cue cards. Submit your PowerPoint presentation/ Q- cards as evidence to your teacher. Use the following factors to consider when making investment decisions to explain the impact of the form of investment of your choice. S 1.7.1 Liquidity 1.7.2 Risk
Liquidity and risk are two crucial aspects to take into account when making investment decisions.
The ease with which an investment can be changed into cash without suffering a large loss in value is referred to as liquidity. The liquidity of various investment types varies in various ways.
The uncertainty and possibility of loss connected to investment are referred to as risk. Risk levels are different for various investment vehicles.
The potential for bigger profits on investments with a higher level of risk is also accompanied by a greater likelihood of loss. Although they could offer more consistency, lower-risk investments may also produce lower returns.
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How much can mortgagee B pay for the property at a foreclosure sale without having to raise additional funds
The maximum amount that mortgagee B can pay for the property at a foreclosure sale without having to raise additional funds is $135,000. Here's how this was calculated:
Given that: Outstanding principal on mortgage = $150,000
Foreclosure expenses = $10,000
Proceeds from foreclosure sale = $125,000
Formula: Outstanding principal on mortgage - proceeds from foreclosure sale - foreclosure expenses = maximum bid for mortgagee B$150,000 - $125,000 - $10,000
= $15,000
Therefore, the maximum bid for mortgagee B is $15,000. But, the question asks for the maximum amount that mortgagee B can pay for the property without having to raise additional funds. To determine this amount, we add the outstanding principal on the mortgage to the maximum bid amount:$15,000 + $120,000 = $135,000
Therefore,
mortgagee B can pay up to $135,000 for the property at the foreclosure sale without having to raise additional funds.
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