what is increase in sras ?

Answers

Answer 1

An increase in SRAS means that firms are able to produce a greater quantity of output at each price level.

Which can result from various factors such as an increase in productivity, a decrease in production costs, or an increase in the availability of inputs.

In macroeconomics, the short-run aggregate supply (SRAS) curve represents the total supply of goods and services that firms are willing and able to produce in the short run, given the existing level of capital, labor, and technology.

When SRAS increases, the equilibrium price level in the economy decreases, while the equilibrium level of output increases. This means that, in the short run, an increase in SRAS can lead to lower inflation and higher economic growth, as firms are able to produce more goods and services without pushing prices up significantly.

However, the increase in SRAS may be temporary, and in the long run, prices and wages may adjust to the new level of output, potentially leading to higher inflation. Additionally, an increase in SRAS may not necessarily result in an increase in real economic growth if there are other factors limiting demand, such as a decrease in consumer confidence or government austerity measures.

Overall, an increase in SRAS can have various impacts on the economy, and its effects will depend on a range of factors such as the nature of the increase and other macroeconomic conditions.

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Related Questions

hich of the following statements are true? multiple select question. if market value is less that actual cost, the inventory must be valued at actual cost. the most common practice is to apply lower-of-cost-or-market to each individual inventory item. gaap requires that ending inventory be reported at lower-of-cost-or-market, regardless of the cost flow method used.

Answers

The following statements that are true are GAAP requires that ending inventory be reported at the lower-of-cost-or-market, regardless of cost flow method used and if market value is less than actual cost.

What is market value?

Market value is the current estimated worth of a company or asset based on its perceived value in the marketplace. It is determined by the forces of supply and demand, and reflects the price at which buyers and sellers are willing to transact. Market value is influenced by various factors such as financial performance, industry trends, economic conditions, and investor sentiment. It is often used by investors, analysts, and business owners to assess the potential profitability and growth prospects of a company or asset. Market value is not a fixed or static measure, and can fluctuate based on changing market conditions and events. It is an important metric for making investment decisions and evaluating the performance of a business.

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an accident of a large cargo ship in the suez canal in early 2021 disrupted global shipping traffic and the global economy. this narrow shipping lane is one of the few _______________around the world due to the importance and sensitivity of the trading routes.

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90% of global trade, according to estimates, is shipped by water. As buyers, we almost ever consider the journey that the products we purchase take to arrive in our homes.

That is, until a situation arises that reveals the flaws in this international system, such as the recent grounding of the Ever Giving, a sizable container ship, in the Suez Canal. The container ship that is obstructing the strait, which connects the Red Sea with the Mediterranean Sea as a commerce route, has been attributed to strong winds. Nonetheless, catastrophic catastrophes are always a possibility because shipping is so dependent on such congested channels. As marine security researchers, we frequently model incidents like the Everglades

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what type of financial institution is an insurance company?

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Nonbank financial institutions is type of financial institution is an insurance company.

An nonbank financial institution (NBFI) is a financial institution that does not have a full banking license and hence cannot accept public deposits. Nonetheless, NBFIs do facilitate alternative financial services, such as investing (both collective and individual), risk pooling, financial consultation, brokering, money transportation, and check cashing.

NBFIs provide consumer financing (along with licensed banks). Insurance companies, venture capitalists, currency exchanges, some microloan groups, and pawn shops are examples of nonbank financial institutions.

These non-bank financial firms provide services that are not always appropriate for banks, compete with banks, and specialize in specific industries or groups. Hence, the answer is NBFI.

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According to the resource-based view of a firm, what are defined as any asset, capability, or competency that a firm can draw upon when formulating and implementing strategy?

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Resources are any asset, capability, or competency that a firm can use to develop and implement strategy, according to the resource-based perspective of a firm.

What are implementing strategies?

Physical resources like manufacturing facilities and equipment, financial resources like cash on hand and credit lines, human resources like skilled labour and managerial skills, and intangible resources like intellectual property, brand reputation, and organisational culture can all be considered among these resources. The resource-based perspective highlights the significance of these resources in establishing a firm's persistent competitive advantage since they enable the establishment of distinctive talents and competencies that are challenging for rivals to imitate. A company may add value for customers, make money, and succeed in its industry over the long run by using its resources.

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what is the purpose of the accrual basis of accounting?

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The purpose of the accrual basis of accounting is to provide a more accurate representation of a company's financial performance by recognizing revenues and expenses when they are earned or incurred.

Under this method, revenues are recorded when they are earned, meaning when goods or services are delivered, rather than when payment is received. Similarly, expenses are recorded when they are incurred, regardless of when they are paid.By using the accrual basis of accounting, companies can better match revenues and expenses to the period in which they were earned or incurred, which provides a more accurate picture of the company's financial health. It also enables companies to track their performance over time and make informed decisions about their future operations, such as investing in new products or services, expanding operations, or reducing costs. the accrual basis of accounting is required by generally accepted accounting principles (GAAP) and is used for financial reporting purposes, including income statements, balance sheets, and cash flow statements. This helps ensure consistency and comparability in financial reporting across different companies and industries.

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What is "the interactions among government, business, and consumers determine the environment in which personal financial plans must be made."

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Income needs and risk tolerance are influenced by family structure and health. Income and the acquisition of wealth or assets are impacted by career choice. A financial plan protects you from unexpected events in life.

It contains information about your earnings, savings, investments, outlays, debt, and insurance. It supports your ability to pay down debt, save for a down payment, an emergency assets, and retirement. A financial plan provides a detailed picture of your current financial situation, your financial objectives, and any plans you have made to reach those objectives. Details about your case should be included in good financial planning.

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during 2024, its first year of operations, pave construction provides services on account of $160,000. by the end of 2024, cash collections on these accounts total $110,000. pave estimates that 25% of the uncollected accounts will be uncollectible. in 2025, the company writes off uncollectible accounts of $10,000.Required: 1. Determine bad debt expense for the year ended December 31, 2024. 2. Determine the financial statement effects of the write-offs in 2025.

Answers

We need to take into account the following accounts in order to figure out how the write-offs will affect the financial statements in 2025:

a) Receivables on Account: The amount of write-offs will reduce this account.

b) Provision for Dubious Accounts: The amount of write-offs will reduce this account.

c) The Cost of Bad Debt: The write-offs in 2025 will not affect this account because it was recorded in 2024.

d) Statement of Income: The income statement will show a decrease in net income for 2025 as a result of the write-offs.

As a result, the write-offs had the following effect on the financial statements in 2025:

Receivables on Account: Reduce the $10,000 allowance for questionable accounts: Reduce the Bad Debt Expense by $10,000: Statement of Income: No change: Reduce your net profit by $10,000.

What is Financial Statement?

A formal record of a company, individual, or other entity's financial activities and position is referred to as a financial statement. Over a predetermined time frame, it provides data on the entity's financial performance, financial position, and cash flows. Internal and external stakeholders use financial statements to evaluate the entity's financial health and performance. They are typically prepared monthly, quarterly, or annually.

The balance sheet, income statement, and cash flow statement are the three most common types of financial statements. The entity's assets, liabilities, and equity at a specific point in time are displayed on the balance sheet, which also provides information about the entity's financial situation.

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according to obra, what is the minimum number of employees required to constitute a large group?

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According to Obra, a minimum of 100 employees is required to constitute a large group.

Small groups include businesses with two to fifty full-time employees. For major organizations, more than 50 individuals work full-time.

Businesses with less than 200 employees frequently mandate that all parents enroll their kids. Part-time employees are not eligible for group health insurance. Even so, you can be qualified for employee health insurance if your company has less than 7 employees, but the bulk of them are employed part-time.

Small company health insurance is only available to businesses with between one and 50 employees. It qualifies as a small business for the purpose of receiving group health insurance. If you have more than 50 employees, you should apply for huge group insurance.

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FILL IN THE BLANK. Resources are viewed as a company's core capabilities when they are _____.
A.
common
B.
imitable
C.
intangible
D.
tangible
E.
rare.

Answers

Resources are viewed as a company's core capabilities when they are rare, meaning they are not widely available in the industry or among competitors. (option E)

In the context of strategic management, resources are considered the building blocks of a firm's competitive advantage. Rare resources that are difficult to acquire or imitate give a company a sustainable competitive advantage.

Tangible resources such as equipment, facilities, and capital can be important, but intangible resources such as reputation, brand, and organizational culture can be even more critical to a firm's success. Companies must carefully evaluate their resources and capabilities to identify the most valuable and unique ones that can give them an edge over their competitors.

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an examination of the cash receipts and payments of xavier corporation reveals the following cash paid to suppliers for purchase of merchandise $5,000 cash received from customers 14,000 cash paid for purchase of equipment 22,000 dividends paid 2,000 cash received from issuance of preferred stock 10,000 interest received on short-term investments 1,000 wages paid 4,000 repayment of loan to the bank 5,000 cash from sale of land 12,000 xaviers cash flow from financing (cff) and cash flow from investing (cfi) will be:

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If an examination of the cash receipts.  Xavier Corporation's cash flow from financing (CFF) is $3,000 (cash inflow) and its cash flow from investing (CFI) is -$10,000 (cash outflow).

How to find cash flow from financing (cff) and cash flow from investing (cfi) ?

Cash flows from financing activities:

Cash received from issuance of preferred stock: $10,000

Dividends paid: $2,000

Repayment of loan to the bank: $5,000

The total cash flow from financing (CFF) is the sum of these cash flows:

CFF = $10,000 - $2,000 - $5,000 = $3,000 (cash inflow)

Cash flows from investing activities:

Cash paid for purchase of equipment: $22,000

Cash from sale of land: $12,000

The total cash flow from investing (CFI) is the sum of these cash flows:

CFI = -$22,000 + $12,000 = -$10,000 (cash outflow)

Therefore, Xavier Corporation's cash flow from financing (CFF) is $3,000 (cash inflow) and its cash flow from investing (CFI) is -$10,000 (cash outflow).

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In an examination of the cash receipts and payments of Xavier corporation, cash flow from financing (CFF) is  $3,000 and cash flow from investing (CFI) is -$10,000

Finding Cash flow from financing (CFF)

Dividends paid: $2,000

Cash received from issuance of preferred stock: $10,000

Repayment of loan to the bank: $5,000

Therefore, the total cash flow from financing (CFF) is:

CFF = -$2,000 + $10,000 - $5,000 = $3,000

Finding Cash flow from investing (CFI)

Cash paid for purchase of equipment: $22,000

Cash from sale of land: $12,000

Therefore, the total cash flow from investing (CFI) is:

CFI = -$22,000 + $12,000 = -$10,000

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What happens to the equilibrium price and quantity when demand decreases and at the same time supply increases, but the demand shift is relatively larger than the supply shift? Both the equilibrium price and the equilibrium quantity will rise. The equilibrium price falls, and the equilibrium quantity rises. The equilibrium price rises, and the equilibrium quantity falls. Both the equilibrium price and quantity will fall.

Answers

2nd option is correct. If demand decreases and supply increases at the same time, but the shift in demand is relatively larger than the shift in supply, the equilibrium price will decrease and the equilibrium quantity will increase.

A decrease in demand leads to a decrease in the equilibrium price. Less quantity to deliver. An increase in supply leads to a decrease in the equilibrium price, all other things being equal. Demand increases.

When the supply curve shifts upwards, meaning that supply decreases but demand remains constant, the equilibrium price increases but quantity decreases. For example, a reduced supply of gasoline may increase the price of pumps.

When the supply of goods and services decreases for the same demand, prices tend to rise towards higher equilibrium prices and smaller quantities of goods and services. The same inverse relationship applies to demand for goods and services

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how to convert 180 euros to dollars?

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Assuming an exchange rate of 1 euro to 1.13 US dollars, we can use the following formula to convert 180 euros to dollars:

180 euros x 1.13 US dollars / 1 euro = 203.4 US dollars

To convert 180 euros to dollars, you need to know the current exchange rate between the euro and the US dollar. Exchange rates fluctuate constantly, so it's essential to use the most up-to-date rate for an accurate conversion.

Therefore, if the current exchange rate is 1 euro to 1.13 US dollars, 180 euros are equivalent to approximately 203.4 US dollars.

It's essential to note that exchange rates are subject to fluctuations, and the actual amount may differ depending on the exchange rate at the time of conversion. Additionally, when converting large amounts of currency, it's crucial to consult with a financial professional to ensure that you get the most accurate and favorable exchange rate.

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If a beneficiary is NOT named for annuity benefits, to which entity will the benefit be paid?
A The next of kin
B The state government
C The insurance company
D The annuitant's estate

Answers

Option D is correct. If the beneficiary of the pension benefit is not specified, the benefit is paid to the pensioner's estate unit.

An annuity death benefit is paid to the beneficiary when the annuitant dies. The death benefit generally corresponds to the annuity value at the time of the policyholder's death. If the policyholder dies before receiving the annuity, the beneficiary receives a lump sum.

If the policyholder dies after receiving payments (start of the annuity), the beneficiary will typically continue to receive these payments or not receive them at all. If the pension is set up as a survivor's pension, the surviving spouse will receive payments after the death of the first spouse. If the spouse is not alive, the beneficiary specified in the annuity contract will receive the payment.

An annuity is a great way to save for retirement. It protects you from longevity risk and protects you from market risk. Lottery winners, retirees, and owners of structured payments often use annuities because they help them know how much money they have now and in the future.

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10. refer to figure 2.1. if macroland's economy is at point a, it could produce more consumer goods a) without sacrificing any capital goods. b) only by sacrificing some capital goods. c) only with technological improvements. d) only with additional resources.

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If Macroland's economy is at point A, it could produce more consumer goods is only by sacrificing some capital goods. Thus, the correct option is (B).

What do you mean by capital goods?

Buildings, machinery, tools, and equipment are a few examples of the capital goods that businesses use to produce their goods and services.

To an economist, capital typically refers to liquid assets. In other words, it is cash on hand that can be spent on either daily necessities or long-term projects.

Therefore, if Macroland's economy is at point A, it could produce more consumer goods is only by sacrificing some capital goods.

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This question is incomplete, the complete question is attached:

the three main categories into which businesses fall are:

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The three main categories into which businesses fall are Service Businesses, Retail Businesses, and Manufacturing Businesses.

Service Businesses: Service businesses provide services to customers rather than selling physical products. Examples of service businesses include consulting firms, law offices, accounting firms, and healthcare providers.

Retail Businesses: Retail businesses sell physical products directly to customers. These can include both brick-and-mortar stores and online retailers. Examples of retail businesses include grocery stores, clothing stores, and e-commerce platforms like Amazon.

Manufacturing Businesses: Manufacturing businesses produce physical products by transforming raw materials into finished goods. Examples of manufacturing businesses include factories that produce cars, electronics, and consumer goods.

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at the world economic forum in davos, there were discussions regarding the value of the u.s. dollar. what determines the value of the dollar?

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The value of the U.S. dollar, like any currency, is determined by the market forces of supply and demand.

What determines the value of the dollar?

Like with any other currency, the supply and demand factors in the market influence the value of the US dollar. The amount of one currency that can be exchanged for another is indicated by the dollar's exchange rate to other currencies.

Many variables, such as interest rates, economic growth, and geopolitical stability, influence the demand for the dollar. For instance, when interest rates are greater in the United States than in other nations, investors will need dollars to invest in American assets, which might raise the dollar's value. The demand for dollars may also rise if the U.S. economy is expanding more quickly than other economies because more people will want to invest in American companies.

Another crucial element is the currency supply. The U.S. Federal Reserve can boost the quantity of dollars by increasing money printing or by lowering interest rates, both of which could diminish the dollar's value. In contrast, if the Federal Reserve restricts the availability of dollars by tightening financial conditions or by raising interest rates, the value of the dollar may rise.

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On december 1, the company paid $12,000 for 12 months of insurance coverage beginning on that date. the payment was recorded with a debit in that amount to the insurance expense account. Complete the necessary December 31 adjusting entry.

Answers

Answer:

The necessary December 31 adjusting entry would be a credit to the insurance expense account for $1,000 and a debit to the prepaid insurance asset account for $1,000. This entry reflects the insurance coverage that has been paid for, but will not be used until the following month.

What pope launched a fundraising drive to rebuild st peters basilica? What did his agents sell to raise money?

Answers

The pope who launched the fundraising was Pope Leo X, who was the head of the Catholic Church from 1513 to 1521. Pope Leo X's agents sold indulgences to raise money for the rebuilding of St. Peter's Basilica.

Pope Leo X undertook a massive renovation project of St. Peter's Basilica in Rome, which was badly in need of repairs and expansion. To finance this ambitious project, he launched a fundraising drive that involved selling indulgences to raise money.

Indulgences were essentially certificates that granted a person absolution from sin, either for themselves or for someone else who was already dead and in purgatory. The idea was that by purchasing an indulgence, the buyer could reduce their time in purgatory and receive forgiveness for their sins.

Pope Leo X's agents sold these indulgences across Europe, often using persuasive rhetoric and marketing techniques to encourage people to donate to the renovation project.

This fundraising effort, however, sparked controversy and led to a backlash from many religious reformers who saw it as a corruption of the church's teachings and practices. The sale of indulgences ultimately became a significant point of contention during the Protestant Reformation.

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in a barter economy, prices are stated in terms of relative prices. how many relative prices are in a barter economy where the only goods are oranges, rafts, and flower necklaces?

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There are only three items in a barter economy: oranges, rafts, and flower necklaces.

In a barter system where the only products are oranges, rafts, and flower necklaces, how many relative values are there?

A bartering system is a cashless economic model where goods and services are exchanged at agreed-upon prices. There are only three items in a barter economy: oranges, rafts, and flower necklaces. The following formula can be used to determine how many relative prices there are:

n(n-1)/2 is the number of comparable prices.

where n represents the number of items.

Hence, n = 3 for the indicated barter system, and the quantity of relative prices can be determined as follows:

Relative pricing are calculated as 3(3-1)/2 relative prices are 3(2)/2.

3 relative prices total.

There are thus three relative prices in this barter system.

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which of these is most likely to be regarded as a capital expenditure rather than an operating expense?

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The correct option is D, Roof replacementis most likely to be regarded as a capital expenditure rather than an operating expense.

Operating expense refers to the costs associated with the day-to-day functioning of a business or organization. These expenses include salaries and wages, rent, utilities, office supplies, equipment maintenance, advertising, legal and accounting services, and other costs related to the production or provision of goods and services.

Operating expenses are incurred as part of the normal course of business operations and are deducted from the revenue earned in calculating the net income or profit. Businesses often try to manage and minimize their operating expenses to improve their profitability, and several strategies can be adopted to achieve this goal, such as reducing waste and inefficiency, outsourcing non-core functions, negotiating better terms with suppliers, and streamlining processes.

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Complete Question: -

Which of these is most likely to be regarded as a capital expenditure rather than an operating expense?

A. Property taxes

B. Trash removal

C. Insurance payments

D. Roof replacement

The production benchmarks data on p. 6 of each issue of the Footwear Industry Report A. provide solid evidence of whether a company is managing its total compensation, workforce productivity, production labor costs, total production costs and reject rates as cost- efficiently as rival companies. B. are more useful to the managers of companies striving to compete successfully by selling below-average quality footwear at below average prices. C. are most useful to the managers of companies that are pursuing a strategy to produce and market top quality branded footwear sold at well above-average prices. D. provide solid evidence of whether a company's total production costs of branded footwear are low enough to enable the company to be attractively profitable.E. are less useful than the branded operating benchmarks shown on p. 7 of the Footwear Industry Report

Answers

The production benchmarks data of the footwear industry report provide solid evidence of whether a company is managing its total compensation, workforce productivity, production labor costs, total production costs, and reject rates as cost-efficiently as rival companies.

What is workforce productivity?

The quantity of goods and services that a group of employees create in a specific period of time is known as workforce productivity. It is one of many productivity metrics used by economics. A measure of an organization or business, a process, an industry, or a nation is workforce productivity, also known as labor productivity. Employee productivity, which is a measure used at the individual level based on the assumption that overall productivity can be broken down into increasingly smaller units until, ultimately, to the individual employee, is to be distinguished from workforce productivity.

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paul krugman characterizes strategic trade policy as being:_____.

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Paul Krugman characterizes strategic trade policy as being a boost to national income at the expense of other countries.

According to Paul Krugman, strategic trade policy boosts national income at the expense of other nations. A government's deliberate attempts to influence international trade in order to advance home industries and raise national income are referred to as elaborate strategic trade policy.

This policy is justified by the idea that by supporting specific industries, a nation can gain a competitive edge in the international market, which can then result in higher exports and national income.

In a scenario involving a strategic trade policy, a government may offer subsidies or other forms of assistance to its domestic businesses in a sector where it possesses market dominance in an effort to aid those businesses in gaining a larger share of the global market.

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when managers are trying to create value for shareholders, their primary focus should be on earnings of accounting reports rather than cash flow.

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Shareholder value refers to the benefits provided to a company's equity owners as a result of management's capacity to boost sales, profitability, and free cash flow, which results in a rise in dividends and capital gains for the shareholders.

The ability of a company's board of directors and senior management to make strategic decisions, such as the capacity to make sensible investments and produce a healthy return on invested capital, is essential to the company's ability to maximize shareholder value. If this value is created, especially over a long period of time, the share price rises and the business can distribute more money in the form of cash dividends to shareholders. Particularly with mergers, shareholder value typically rises significantly.

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What types of questions are needed for a complete consent form? Select one.
Question options:
1. Demographics, explanations of the research, and signatures
2. Demographics and signature
3. Demographics, explanations of the research, signatures, and statements of consent
4. Demographics, explanations of the research, signatures, statements of consent, dates of the research, timelines an

Answers

The types of questions needed for a complete consent form include demographics, explanations of the research, signatures, and statements of consent. Therefore, the answer is option 3.

A consent form is a legal document that provides detailed information about a research study to participants and outlines their rights and responsibilities. The form must include a description of the research project, including its purpose, procedures, and potential risks and benefits.

It must also provide details on how the data will be collected, stored, and used. Additionally, a consent form must include demographic information about the participant, such as age, gender, and ethnicity, as well as a signature and date indicating that the participant has read and understood the information provided and agrees to participate in the study.

A statement of consent should also be included, indicating that the participant is aware of their rights and responsibilities and has freely chosen to participate in the study.

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when brokers and asspcoates have disagreements over fees, they have the right to

Answers

Revocate the brokerage agreement, but be prepared for legal action if it is broken.

What does a safety clause in a listing agreement mean? If the owner sells the property within a set period of time after the listing expired to a buyer the broker introduced to the property, the broker may be entitled to a commission. The broker's acts while the listing was active are exempt from any obligation to the owner. When rival brokers agree to set a uniform price for sales commissions, fees, or management rates, this is known as price-fixing in the real estate industry. Price-fixing of any kind is prohibited by the Sherman Antitrust Act in all sectors. If the owner sells the property within a set period of time after the listing expired to a buyer the broker introduced to the property, the broker may be entitled to a commission.

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U.S. beer manufacturers want to increase exports of beer to Canada by lowering the price of US beer in Canada. For this to happen, you advise your clients to ask the United States to approach Canada about? a. moning en moontob. removing to ving c. an export d. mpong

Answers

The removal of the beer tariff is the best approach to increase beer exports to Canada, hence option B is the appropriate response.

The number of goods that a country is permitted to import or export in a certain period of time is capped by a quota, a trade limitation imposed by the central government. Tariffs are trade-related tariffs that the government imposes on products in order to raise their price and shield domestic and local businesses from foreign competition.

The cost of goods often rises as a result of tariff barriers on exports, which lowers their affordability and discourages people from purchasing such goods.

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which of these areas are not typically done within operations and supply chain management?

Answers

Operational and supply chain management often do not manufacture these sectors.

Coordination of the many tasks required to create and deliver goods and services to clients is known as supply chain management. Designing, farming, manufacturing, packaging, and shipping are a few examples of supply chain activities.

The four components of the supply chain—integration, operations, purchasing, and distribution—work together to create a path to competitiveness that is both affordable and effective. the three major issues that global supply chains must overcome: a lack of skilled workers, a lack of equipment, and the spillover effects of global bottlenecks. how businesses are coping with the ongoing uncertainty of the environment.

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An investment by the stockholders in a business increases:
a) assets only.
b) liabilities and stockholders' equity.
c) assets and liabilities.
d) assets and stockholders' equity.

Answers

The assets and stockholders' equity of a company are increased by a stockholder investment.

A significant amount on the balance sheet is the stockholder equity, which shows the difference between a company's assets and liabilities. Stockholder equity will frequently increase when a company matures, but it's critical to comprehend the precise factors that influence this growth.

The most promising indicator of a successful business, from the viewpoint of an investor, is when it turns a profit. Yet, not all prosperous businesses see an increase in stockholder equity. The use of a company's profits will decide whether or not stockholder equity increases.

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what is neo keynesian economics

Answers

Neo-Keynesian economics is a modern interpretation of Keynesian economics, which is based on the ideas of British economist John Maynard Keynes.

It emerged in the mid-20th century as a response to some of the criticisms leveled against traditional Keynesian economics.

Like Keynesian economics, neo-Keynesian economics emphasizes the importance of government intervention in the economy to stabilize output and employment. However, neo-Keynesians also recognize the role of market forces in shaping the economy and acknowledge that monetary policy can be an effective tool for managing the economy.

One of the key features of neo-Keynesian economics is the use of a more rigorous microeconomic foundation, which seeks to explain how individual economic agents (such as consumers and firms) make decisions based on their expectations of the future. This allows neo-Keynesians to incorporate the effects of changes in monetary policy and other factors on the behavior of these agents and their decisions.

Another important aspect of neo-Keynesian economics is the focus on sticky prices and wages, which means that changes in aggregate demand do not always result in immediate adjustments in prices and wages. This can lead to short-term fluctuations in output and employment, which can be mitigated by government intervention.

Overall, neo-Keynesian economics represents a refinement and modernization of traditional Keynesian economics, incorporating insights from microeconomics and recognizing the importance of market forces while still advocating for government intervention to stabilize the economy.

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at the end of 2019, companies from one country collectively owned $18 billion in assets in the neighboring country. the $18 billion represents the __________ of fdi. A. stock B. flow C. outflow D. trend. E. exchange.

Answers

At the end of 2019, companies from one country collectively owned $18 billion in assets in the neighboring country. the $18 billion represents the Stock of FDI.  Thus the correct option is A.

What is an asset?

An asset is regarded as a resource of the company that will have economic value in the future and facilitates the smooth operation of commercial operations. Both fixed and current assets are included in it.

A stock is a form of ownership of particular goods. An individual has rights as a stockholder or shareholder and is responsible for paying dividends when they own stocks or shares in the market.

Therefore, option A is appropriate.

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