the consumption of good z creates positive externalities, but there are no externalities in producing good z. what must be true at the market equilibrium for good z if the market is not regulated?

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Answer 1

If the consumption of good Z creates positive externalities but there are no externalities in producing it, the market equilibrium for good Z will not account for the positive externalities in the consumption of the good.

This means that the market equilibrium quantity of good Z will be lower than the socially optimal quantity. Since consumers only consider their private benefit when making purchasing decisions, they will only be willing to pay for the private benefits of consuming good Z and not the positive externalities that it creates. This leads to a situation where the market under-produces the good Z from the social point of view.

Therefore, if the market is not regulated, the following must be true at the market equilibrium for good Z:

The quantity of good Z produced and consumed will be lower than the socially optimal quantity.

The price of good Z will be lower than the socially optimal price, reflecting only the private benefits of consuming the good and not the positive externalities it generates.

There will be an inefficiency in the market as the positive externalities of consuming good Z are not taken into account, resulting in a deadweight loss.

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Related Questions

The Navy Enlisted Advancement System (NEAS) has what primary objective?

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The primary objective of the Navy Enlisted Advancement System is to promote sailors based on merit, performance, and demonstrated knowledge and skills.

The Navy Enlisted Advancement System (NEAS) is a system designed by the United States Navy to provide enlisted sailors with a fair and objective process for promotion.

The primary objective of the Navy Enlisted Advancement System (NEAS) is to provide a fair and equitable system for the advancement of enlisted sailors. This system is designed to ensure that promotion is based on merit and performance, rather than on factors such as favoritism or personal connections.

To achieve this primary objective, the NEAS utilizes a complex mathematical formula to calculate a sailor's final multiple score (FMS). The FMS is a numerical value that reflects a sailor's performance on various tests and evaluations, as well as their time in service and time in rate.

The FMS is calculated using several primary factors, including a sailor's performance on the Navy-wide Advancement Exam, their performance evaluations, their time in service, and their time in rate.

In addition to the FMS, the NEAS also takes into account other primary factors such as quotas, which limit the number of sailors who can be promoted to a given rank.

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"The maximum output capability, allowing for no adjustments for preventativemaintenance or unplanned downtime" is the definition of the following:
a)Theoretical Capacity
b)Managerial Capacity
c)Over Capacity
d)Rated Capacity

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The correct answer is d) Rated Capacity.

Rated Capacity is defined as the maximum output capability of a production process, taking into account normal downtime for maintenance and other routine factors.

It is the theoretical maximum output of the production process, assuming that everything runs smoothly and without any disruptions, but with allowances made for planned maintenance and other routine activities.

Rated Capacity is an important concept in manufacturing and production planning, as it provides a baseline for determining the overall production capabilities of a facility or system. By knowing the Rated Capacity, managers can determine how much capacity is available for new orders, and can plan production schedules and staffing levels accordingly.

Theoretical Capacity, on the other hand, refers to the maximum output capability of a production process without any downtime or allowances made for maintenance or other routine factors. Managerial Capacity refers to the actual capacity that a production process is able to achieve, taking into account factors such as workforce skill levels, equipment availability, and other managerial considerations. Over Capacity refers to a situation where a production process is able to produce more than is actually required or demanded, leading to inefficiencies and waste.

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why do we rewrite contracts if adding slp enterprise

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We rewrite contracts if adding SLP (Supplemental Liability Protection) enterprise because they will provide a certificate of insurance showing proof that the other organization has been added to the policy.

Supplemental Liability Insurance (SLI) protects you from any harm to other motorists' bodies as well as damage to their cars.

In some nations, the car owner, or the rental firms, are required to provide this "third party" insurance.

In the event of an accident or crash for which you were not at fault, SLI will cover all claims filed by a third party for bodily harm, wrongful death, or damage to the third party's property.

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A contract is a legally _____ promise or set of promises made by one party to another.

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A Contract is an agreement that creates legally enforceable rights and obligations in relation to two or more agreed parties. . It is an enforceable agreement.

A legal contract is a fairly enforceable contract between two or further parties. This can be done verbally or in jotting. generally, one party pledges to do commodity for the other party in exchange for a benefit.

The contract generally involves the transfer of goods, services, plutocrat or a pledge to do so in the future.

The main purpose of the contract is to formalize a new relationship and establish the colorful legal scores that each party owes to the other.

utmost contracts moment are between companies, not between individualities.

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when evaluating the alternatives, the buyer rates and eventually ranks the brands in the consideration set (T/F)

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When evaluating the alternatives, the buyer rates and eventually ranks the brands in the consideration set. - True

Marketers can influence consumers' evaluations by framing possibilities. While choosing items or brands during the purchasing stage, consumers take the results of the evaluation stage as well as other variables into account. The buyer also chooses the merchant from whom they would acquire the product.

A buyer compares and rates the various brands in their consideration set when evaluating alternatives. This may entail taking into account a variety of qualities or criteria, including cost, quality, features, and advantages. The buyer may rank the brands in order of preference or desirability after assessing each one, which may ultimately result in a purchasing decision. Many elements, including personal preferences, prior interactions with the brand, and referrals from others, may have an impact on the ranking.

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because competitors in oligopolistic industries are so interdependent, it is especially important for managers in those firms to monitor and respond to changes their competitors make.TrueFalse

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Because competitors in oligopolistic industries are so interdependent, it is especially important for managers in those firms to monitor and respond to changes their competitors make - True

A few dominant firms control the market in an oligopolistic sector, and their decisions can have a big impact on one another. Owing to this interdependence, managers in these businesses must keep an eye on changes made by their rivals, such as price modifications, new launches, marketing plans, or cost reductions, and react accordingly. By doing this, businesses may foresee how the activities of their rivals may affect the performance of their own enterprise and change their tactics as necessary to stay competitive.

This could encompass a wide range of tasks, including market research, competitive analysis, strategy development, and ongoing monitoring of market trends and advancements. Decisions made by a single firm can have a significant impact on those made by others due to this high level of interconnectedness. Managers must therefore closely watch their opponents in order to maintain their competitive position in the market and act quickly in the event of any changes.

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robert became quite well-to-do as founder and president of carlson auto paint and supply, inc. (caps). now, he wants to start a permanent fund to support research directed toward improved sustainability of painted surfaces at his alma mater. he plans to contribute money now so that $280,000 per year can be withdrawn each year forever, beginning in year 6. if the fund earns interest at a rate of 8% per year, how much money must be donated now? the amount of money that must be donated now is $

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Robert needs to donate $1,873,829.09 now in order to support the permanent fund with enough money to make the annual withdrawal of $280,000 in year 6 and beyond.

What is donate?

Donating is the act of freely giving money, goods, or time to benefit a person, organization, or cause. It is voluntary and is typically done out of generosity or compassion for those in need, such as helping the homeless, providing relief for natural disasters, or supporting research for a cure for a disease.

Robert needs to donate an amount of money now that will generate enough interest at 8% per year to support the withdrawal of $280,000 per year, beginning in year 6. To calculate this amount, we can use the formula for calculating the present value of an annuity:
PV = A * [1 - (1+i)^-n]/i
Where PV is the present value, A is the annual payment, i is the interest rate, and n is the number of years.
Plugging in our values, we get:
PV = $280,000 * [1 - (1+0.08)^-5]/0.08
Solving for PV, we get:
PV = $1,873,829.09
Therefore, Robert needs to donate $1,873,829.09 now in order to support the permanent fund with enough money to make the annual withdrawal of $280,000 in year 6 and beyond.

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when using the estimate based on sales method, the entry to record uncollectible accounts expense includes a credit to the accounts receivable account.
True or False

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When using the estimate based on sales method to record uncollectible accounts expense, the entry typically includes a debit to the bad debt expense account and a credit to the allowance for doubtful accounts account.

Therefore the answer is False.

The allowance for doubtful accounts is a contra-asset account that reduces the balance of the accounts receivable account to reflect the portion of the accounts receivable balance that is expected to be uncollectible. The credit to the allowance for doubtful accounts account represents the estimated amount of uncollectible accounts based on the company's historical experience and other factors. Therefore, there is no credit to the accounts receivable account when recording uncollectible accounts expense using the estimate based on sales method.

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One of the largest suppliers of customer relationship management software solutions is Multiple Choice a. Salesforce. b. Microsoft. c. HubSpot. d. Oracle.

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The correct answer is a. Salesforce. One of the largest suppliers of customer relationship management software solutions is Salesforce.

Salesforce is one of the largest suppliers of customer relationship management (CRM) software solutions in the world. The company offers a range of cloud-based software solutions that help businesses manage customer interactions, track sales leads, and automate marketing campaigns. Salesforce is known for its customer-focused approach to software development, and the company has a strong reputation for providing high-quality products and services. Salesforce is also well-known for its AppExchange marketplace, which offers a wide range of third-party applications and integrations that can be used to extend the functionality of its CRM software. Overall, Salesforce has established itself as a leader in the CRM software market, and its products and services are widely used by businesses of all sizes around the world.

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Pure Valley Foods currently has $470,000 in foreign-owned assets. This represents the __________ of the company.A) stock of FDIB) flow of FDIC) a greenfield investment

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Pure Valley Foods currently has $470,000 in foreign-owned assets. This represents the stock of FDI of the company. The correct option is a.

What is FDI stock?

FDI stock is the value of the share of capital and reserves including retained profits attributable to the parent enterprise, plus the net indebtedness of affiliates to the parent enterprise. Inward stock is the value of the capital and reserves in the economy attributable to a parent enterprise resident in a different economy.

Outward stock is the value of capital and reserves in another economy attributable to a parent enterprise resident in the economy.

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What is the formula for consumer surplus and producer surplus?

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Consumer surplus and producer surplus are measures used in microeconomics to evaluate the welfare of clients and producers in a marketplace. The formulation for calculating consumer surplus and Producers surplus are as follows:

Customer Surplus:

Customer surplus is the distinction between the most charge a purchaser is willing to pay for a good or service and the actual rate they pay. Mathematically, consumer surplus can be expressed as:

CS = WTP - P

Producer Surplus:

Producer surplus is the distinction between the fee a manufacturer gets for a good or service and the minimum fee they may be willing to accept. Mathematically, producer surplus may be expressed as:

PS= P - WTA

These formulations are crucial tools for studying marketplace efficiency and understanding the distribution of advantages in a market.

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____ is a statement describing which markets or businesses the organization will compete in is describing the of the organization’s strategy.

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Business organization, an entity created with the intention of conducting business.

A system of law governing contract and trade, property rights, and incorporation is the foundation of such an organization.

Typically, businesses are organized as one of three types: sole proprietorships, partnerships, or limited liability companies (or corporations). In the first type, a single person owns the entire business as his personal property and typically oversees daily operations. Certain kinds of enterprises predominate. Large law and accounting firms, brokerage houses, and advertising agencies are examples of the second kind, the partnership, which can have two to fifty or more members. The owners of this type of company are the partners.

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What does a mission statement expressed and a vision statement express?

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Mission statements describe an organization's reason for existence, vision statements describe the ideal state that the organization wants to achieve, and values statements list the principles that guide and direct the organization and its culture.

Mission Statement :

A mission statement is a concise explanation of the organization's reason for existence. It describes the organization's purpose and its overall intention. The mission statement supports the vision and serves to communicate purpose and direction to employees, customers, vendors and other stakeholders.

Vision Statement:

A vision statement looks forward and creates a mental image of the ideal state that the organization wishes to achieve. It is inspirational and aspirational and should challenge employees.

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for this problem, you may want to create a punnett square on a separate piece of paper. assume brown eyes are dominant to blue eyes and dimples are dominant to no dimples. john has brown eyes, and his mother has blue eyes. john does not have dimples. zena has blue eyes and also has no dimples. what are the chances if this couple have children, they will produce a child with blue eyes and no dimples?

Answers

You might want to make a Punnett Square for this issue on a different sheet of paper. Assume that dimples and brown eyes are more dominant than blue eyes.

The Punnett square: how can I explain it?

Abstract. The Punnett square is a table that provides all outcomes for genetic crosses between two known genotype individuals. The Punnett square, in its most basic form, consists of a square divided into four quadrants. In your Punnett Square, count all of the boxes. This provides you with the total expected number of offspring. The (phenotype's prevalence in the population) divided by (the total number of offspring). For your %, multiply the result from step 4 by 100.

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FILL IN THE BLANK. An Investment in common stock that was previously accounted for with a method other than the equity method may become qualified for use of the equity method by ____________________________.

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An Investment in common stock that was previously accounted for with a method other than the equity method may become qualified for use of the equity method by an increase in the level of ownership.

Equity accounting, is the accounting treatment for one entity’s partial ownership in another entity when the entity making the investment is able to influence the operating or financial decisions of the investee.

If the investing entity has enough control over the investee to consolidate under ASC 810 Consolidation, the investor consolidates the investee as a subsidiary of the investor, and ASC 323 would not apply. Generally, ownership of 50% or more of an entity indicates control, but entities must use significant judgment and additional criteria before making the final ownership determination

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the major banks that trade foreign exchange generally do not deal directly with one another but instead use the services of foreign-exchange brokers.

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The largest market in the world is the foreign exchange market (FX), with an average daily trade volume of $5 trillion.

Brokers, hedge funds, retail investors, companies, central banks, governments, and institutional investors like pension funds are just a few examples of market players. The demand for currencies and their exchange rates are both impacted by all of the interbank trading activity. However, all other deal pricing is dependent on the exchange rates provided by the principal market makers, which are the large institutions that execute a sizable portion of the trading volume. The price or rate that indicates how much it costs to purchase one currency in exchange for another currency is known as the foreign exchange rate.

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Hoping to lure more shoppers downtown, a city builds a new public parking garage in the central business district. The city plans to pay for the structure through parking fees. (15 points) During a two-month period (44 weekdays), daily fees collected averaged $1,264 with a standard deviation of $150.

A. What assumptions must you make in order to use these statistics for inference? (Hint: what assumptions are you used using sample data statistics to infer about the population)

B. Write a 90% confidence interval for the mean daily income this parking garage will generate, rounded appropriately.

C. The consultant who advised the city on this project predicted that parking revenues would average $1,300 per day. On the basis of your confidence interval, do you think the consultant was correct? Why or why not?

Answers

Applying the "10% condition Rule," the sample size that should be taken into consideration should not be greater than 10% of the identified population, hence the stated claim choice "a" is rejected.

Option "a" is also disregarded because the estimated interval must be established by taking only the weekdays (i.e., Monday through Friday) into account.

Option "c" is a valid supposition since it assumes that the population is symmetrical and devoid of extreme values (i.e., the outlier), which is necessary for the sample to be drawn from the population to be distributed regularly.

The argument that "the samples are dependant" is disproved since it implies that the samples should not be influenced by the other observed samples.

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are useful in finding reasonable solutions when the number of possible options is overwhelming. A. cellular layouts B. heuristics C. logistics D. CAM E. CAD.

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Option D is correct. CAM helps find rational solutions when the number of possible options is overwhelming.

Computer Aided Manufacturing (CAM), also known as Computer Aided Modeling or Computer Aided Machining, is the use of software to control machine tools in the manufacture of workpieces. This is not his only definition of CAM, but it is the most common one.

CAM can also refer to the use of computers to support all operations of a manufacturing facility, including planning, management, transportation, and storage. Its primary purpose is to create faster production processes and components and tools with more precise dimensions and material consistency, possibly using only the amount of raw material needed while reducing energy consumption.

CAM is a system currently used for school and lower education purposes. CAM is a computer-aided process after computer-aided design (CAD) because a CAD-generated, CAE-validated model can be input into the CAM software to control the machine tool. CAM is used in many schools along with Computer Aided Design (CAD) to create objects. 

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an analyst has gathered the following information about a company income statement for the year 2004 sales $1,500 expenses cogs $1,300 depreciation 30 lnt expenses 40 total expenses 1,370 income from cont op 130 gain on sale 30 income before tax 160 income tax 64 net income $96 additional information: dividends paid $30 common stock sold 20 equipment purchased 50 bonds issued 80 fixed asset sold for (original cost of $100 with accumulated depreciation of $70) 60 accounts receivable decreased by 30 inventory decreased by 20 accounts payable increased by 20 wages payable decreased by 10 what is the cash flow from operations?

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The balance sheet and income statement of a corporation have provided the financial analyst with the following data.

Which of the subsequent financial statements also goes by the name "financial condition Mcq"?

The balance sheet, also known as the statement of financial position, includes a dollar amount breakdown of the stockholders' equity as well as the company's assets, liabilities, and equity as of a particular point in time.

According to schedule iii mcq, in what format should financial statements be prepared?

Just a vertical display of financial statements is required by Schedule III. So, a corporation will no longer have the choice to provide financial statements in a horizontal format.

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the nation’s total wealth was more than ________ between ______and _____, and this economic growth swept many americans into an affluent but unfamiliar "consumer society."

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The nation's total wealth was more than doubling between 1950 and 1970, and this economic growth swept many Americans into an affluent but unfamiliar "consumer society."

Economic growth is a measure of the increase in a country's total output of goods and services over time. It is typically measured by an increase in a country's Gross Domestic Product (GDP) or Gross National Product (GNP). Economic growth is essential for creating jobs, reducing poverty, and improving living standards for citizens. It is driven by factors such as investment in infrastructure, technological innovation, trade, and human capital development. However, economic growth can also have negative consequences, such as environmental degradation, income inequality, and social unrest. Sustainable economic growth involves balancing economic development with social liability and environmental concerns. Governments can promote economic growth through policies that encourage investment, innovation, trade, and education. International cooperation and partnerships are also crucial for achieving sustainable economic growth that benefits all members of society.

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what kind of account is allowance for doubtful accounts

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Answer:

Allowance for doubtful accounts is a contra asset account that is used to reduce the value of a company's accounts receivable to reflect the estimated amount of uncollectible debts. The account is typically created through an adjusting entry at the end of an accounting period and is based on a company's historical experience and an assessment of current economic conditions. By recording an allowance for doubtful accounts, a company can more accurately represent the value of its accounts receivable on its balance sheet and reduce the risk of overstating its assets or income. The balance in the allowance for doubtful accounts account is deducted from the total accounts receivable to give the net realizable value of accounts receivable.

A manager implements a new rewards and consequences system in the office to help motivate workers to meet a certain goal. What type of leadership philosophy best describes the manager's strategy?

Answers

An expense cycle document called a receiving report is used to track the delivery of products from suppliers. Based on the items received and noted on the receiving report, businesses pay their suppliers.

Over the years, my management philosophy has changed, and it now consists of seven principles:

Create trust, act with honesty, and show your expertise.

Set challenging objectives with the involvement of all parties.

Handle with responsibility and sensitivity.

Put each team member in a position to succeed.

Create an atmosphere that is uplifting and supportive.

Since I became a team leader, my management style has changed, but I still believe that a strong manager gives clear instructions and direction so that team members can work independently. Strong team leaders should also exercise less direct supervision while yet offering adequate assistance and direction when necessary.

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ayroll-related costs for factory employees who do not work directly on the product are considered
A) direct labor.
B) selling expenses.
C) manufacturing overhead.
D) administrative costs.

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A Payroll is a list of a company's employees who are entitled to many kinds of benefits. This is option C, manufacturing overhead.

Manufacturing overhead (MOH) is the sum of all indirect costs incurred in manufacturing the product. It is added to the cost of the end product along with direct material costs and direct labor costs.

Payroll is the company's employee payment process, which includes recording hours worked, calculating employee wages, and distributing payments through direct deposit into employees' bank accounts or by check.

Payroll System is a program for streamlining and managing employee payments. Manages and automates employee payments, ensuring timely payroll delivery and compliance with local and state regulations. Payroll software allows HR teams to do other tasks like scheduling and budgeting.

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A 2-column table with 6 rows titled Your Monthly Expenses. Column 1 has entries Forwarded subtotal, utilities, medical expenses, emergency fund, entertainment, final total. Column 2 has entries 629 dollars and 75 cents, 225 dollars, question mark, 50 dollars, 100 dollars, question mark.
Now subtract the rest of your monthly expenses.

You allow for 5% of your net pay of $2,989.12 to be budgeted for medical expenses. This would be

Answers

The question on budgeting seems to be looking at the missing value in column 2. Note that against the above conditions, the missing value in Colun 2 for Medical Expenses is  $149.46. See further explanation below.

What is the rationale for the above response?

To calculate the missing value in Column 2 for "Medical expenses," we can use the information provided in the question that 5% of your net pay of $2,989.12 is budgeted for medical expenses.

5% of $2,989.12 can be calculated as:

(5/100) x $2,989.12 = $149.46

Therefore, the missing value in Column 2 for "Medical expenses" is $149.46.

Now, to calculate the "Forwarded subtotal" in Column 2, we need to subtract the total of all other expenses from the net pay:

Forwarded subtotal = Net pay - Total expenses

Net pay = $2,989.12

Total expenses = $629.75 + $225 + $149.46 + $50 + $100

Total expenses = $1,154.21

Forwarded subtotal = $2,989.12 - $1,154.21

Forwarded subtotal = $1,834.91

Finally, to calculate the "Final total" in Column 2, we can add up all the expenses:

Final total = $1,834.91 + $629.75 + $225 + $149.46 + $50 + $100

Final total = $2,989.12

Therefore, the completed table would look as the one in the attached.

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Hiring people because they have great potential for leadership within the
company shows that HR is aware of the need for
A. hiring young people
B. succession planning
C. duplicating skill sets
OD. workforce forecasting

Answers

Hiring people because they have great potential for leadership within the company shows that HR is aware of the need for workforce forecasting. The Option D is correct.

Why is workforce forecasting important for HR department?

The process of HR forecasting involves determining how a company's staffing requirements will change over time so that it can be ready to continue operating successfully. HR forecasting helps businesses decide whether to expand their workforce, cut back on employees, or reorganize job duties.

Since they handle hiring, onboarding, and training, HR departments are best suited to carry out this project. Because it helps organizations run responsibly and prevents costs from lost productivity or overstaffing, HR forecasting is crucial.

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Answer: succession planning

what accounting classification is owners claims to resoures

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Owners' claims to resources are classified as equity in accounting. Equity represents the residual interest in the assets of an entity after deducting liabilities.

It represents the owners' or shareholders' claims to the assets of the business. This includes the initial investment made by the owners, any additional capital contributions, retained earnings, and any other items that increase or decrease the ownership interest in the business. Equity is typically shown on the balance sheet of a company and is an important indicator of the financial health and stability of the company. Liabilities are obligations that a business or individual owes to others, such as debts, loans, or accounts payable. They represent the amounts that must be repaid in the future, typically with interest. Liabilities can be short-term, such as current payables, or long-term, such as loans or mortgages. They are an important component of financial statements and must be carefully managed to ensure the financial health and stability of an entity.

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one can find the change in wealth from an investment by subtracting the present value of its required investment from the present value of its future cash flows. true or false ?

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This statement is True: one can find the change in wealth from an investment by subtracting the present value of its required investment from the present value of its future cash flows.

Net Present Value, sometimes known as NPV, is a traditional economic metric for assessing investment ideas. It uses a Discounted Cash Flow (DCF) method that takes time value of money into account. The cash flows that originate at various time periods and are equivalent in terms of their present values are appropriately postulated by NPV.

Methods for Calculating NPV

To calculate NPV, there are a few actions that must be taken. The four guidelines for performing an accurate NPV calculation are listed below.

Predicting Cash Flows: In this initial step of the NPV calculation, accurate cash flow projections for investment projects should be generated using reasonable assumptions.Determining a suitable discount rate for the expected cash flows Following the forecasting of the cash flows, a suitable discount rate should be identified.Computation of the present value of cash flows The present value of cash flows must be computed using the opportunity cost of capital as the discount rate after determining the suitable discount rate.Calculate Net Present Value by Subtracting Cash Outflows from Cash Inflows The Net Present Value should be computed by deducting cash outflows from cash inflows. The previous processes reveal the amount of cash inflows and outflows. The computed net present value may be either positive or negative.

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river city has a defined contribution pension plan. how should river report the pension plan in its financial statements?

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River City should disclose information about its defined contribution pension plan in the notes to its financial statements

River City should report its defined contribution pension plan in its financial statements as a footnote disclosure.

Under a defined contribution pension plan, the employer agrees to contribute a certain amount of money to the plan each year, but does not guarantee any specific retirement benefits to employees. As a result, the accounting treatment of a defined contribution plan is different from that of a defined benefit plan.

In a defined contribution plan, the employer's contributions to the plan are expensed in the income statement in the year they are made, and are recognized as a liability on the balance sheet until they are paid to the plan. The assets of the pension plan are held in a separate trust, and the income and gains on these assets are not recognized on the employer's financial statements.

Therefore, River City should disclose information about its defined contribution pension plan in the notes to its financial statements, including the terms of the plan, the amount of contributions made during the year, and any other relevant information that would help users of the financial statements understand the impact of the plan on the company's financial position and results of operations.

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Consider each of these business activities. For which do you think supply would be most elastic in the short term? a. producing feature movies b. building skyscrapers c. providing health care d. baking cupcakes

Answers

For baking cupcakes supply would be most elastic in the short term considering these business activities.

Option D is correct.

What does it mean to be in business?

Any activity that aims to generate a profit is considered business activity. Operating activities, investing activities, and financing activities are frequently subdivided. Since they have the greatest direct influence on a company's performance, operating activities are typically regarded as the most significant of these.

Why is activity in business?

With the intention of selling goods and services to customers and earning a profit, businesses carry out activities like these. As a result, running a business is all about providing customers with the goods and services they want at a price they are willing to pay.

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one way to mitigate agency problems is to include shares of company stock in executive compensation packages. True/False?

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The given statement, "one way to mitigate agency problems is to include shares of company stock in executive compensation packages," is true because this will maximize the long run value of the company's stock price.

Executive compensation is the designing of the remuneration packages for the business leaders, senior management and executive-level employees of a company. These packages cover both financial as well as non-financial benefits.

Stocks are the total shares into which the ownership of the companies is divided. The stockholders have the power to claim their share of company's earnings and assets based upon their shares. Stockholders in a way are the partial owners of the company.

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