12. Using 2014 as the base year, what is the GDP Deflator in 2015? 13. Using 2014 as the base year, what is the GDP Deflator in 2016? 14. Using 2014 as the base year, what is the growth rate of the GDP deflator (also know as inflation rate) between 2014 to 2015? 15. Using 2014 as the base year, what is the growth rate of the GDP deflator (also know as inflation rate) between 2015 to 2016? Use the following information to answer questions 5 through 15: The tables below show data on prices and quantities of Oranges and Shoes produced in China. Data for 2014 Price of Oranges Quantity of Oranges Price of Shoes Quantity of Shoes0.7 200 10 270 0.7*200 + 10 * 270 = 2840 Nominal GDP Data for 2015 Price of Oranges Quantity of Oranges Price of Shoes Quantity of Shoes 0.9 150 14 250 0.9 * 150+14* 250 = 3635 Nominal GDP Data for 2016 Price of Oranges Quantity of Oranges Price of Shoes Quantity of Shoes 1.4 300 15 330 1.4*300 +15*330 = 5370 Nominal GDP

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Answer 1

Using 2014 as the base year, the GDP deflator for 2015 is 169.07. and Using 2014 as the base year, the GDP deflator in 2016 is 150.42.

14. There was a 69.07% inflation rate from 2014 and 2015.

15. The difference in the inflation rate from 2015 to 2016—-10.199%—-indicates deflation rather than inflation.

12. With 2014 as the base year, we must multiply the result of the division of the nominal GDP in 2015 by the real GDP in 2015 by 100. We use the 2014 prices and the 2015 quantities to determine real GDP:

2015 real GDP equals 0.7150 plus 10250, or 2150.

(Nominal GDP in 2015 / Real GDP in 2015) x 100 is the GDP deflator for 2015.

(2015) GDP Deflator = (3635 / 2150) x 100

2015 GDP Deflator: 169.07

As a result, using 2014 as the base year, the GDP deflator for 2015 is 169.07.

13. We must divide the nominal GDP in 2016 by the real GDP in 2016 and multiply the result by 100 in order to determine the GDP deflator in 2016 using 2014 as the base year. We use the 2014 prices and the 2016 quantities to determine real GDP:

2016's real GDP equaled 0.7300 plus 10330, or 3570.

(Nominal GDP in 2016 / Real GDP in 2016) x 100 = GDP Deflator in 2016.

(2016) GDP Deflator = (5370 / 3570) x 100

2016 GDP Deflator = 150.42

As a result, using 2014 as the base year, the GDP deflator for 2016 is 150.42.

14. Using the following formula, we can determine the GDP deflator's growth rate between 2014 and 2015.

GDP deflator in 2014 divided by GDP deflator in 2015 equals the inflation rate.

2014 GDP deflator = 100 (because it serves as the baseline year)

((169.07 - 100) / 100) x 100) equals the inflation rate.

Rate of inflation: 69.07%

As a result, there was 69.07% inflation from 2014 and 2015.

15. Using the same approach, we can determine the GDP deflator's growth rate between 2015 and 2016.

GDP deflator in 2016 minus GDP deflator in 2015 divided by GDP deflator in 2015, multiplied by 100.

(((150.42 - 169.07) / 169.07) x 100) is the inflation rate.

Rate of inflation: -10.99%

Deflation rather than inflation is therefore indicated by the -10.99% inflation rate between 2015 and 2016.

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Answer 2

the GDP deflator in 2015 is 135.74,the growth rate of the GDP deflator between 2015 and 2016 is 12.74%.the GDP deflator in 2016 is 153.03.the growth rate of the GDP deflator between 2014 and 2015 is 35.74%.

To calculate the GDP deflator, we use the formula:

GDP deflator = (Nominal GDP / Real GDP) x 100

Where Real GDP is GDP measured in constant prices, using a base year as a reference.

Using 2014 as the base year:

To find the GDP deflator in 2015, we need to calculate the Real GDP in 2015 using 2014 as the base year. We do this by multiplying the quantities in 2015 by the prices in 2014 and summing the results.

Real GDP in 2015 = (0.7 x 150) + (10 x 250) = 175 + 2500 = 2675

Then, we can calculate the GDP deflator in 2015 as:

GDP deflator in 2015 = (Nominal GDP in 2015 / Real GDP in 2015) x 100

= (3635 / 2675) x 100

= 135.74

To find the GDP deflator in 2016, we need to calculate the Real GDP in 2016 using 2014 as the base year. We do this by multiplying the quantities in 2016 by the prices in 2014 and summing the results.

Real GDP in 2016 = (0.7 x 300) + (10 x 330) = 210 + 3300 = 3510

Then, we can calculate the GDP deflator in 2016 as:

GDP deflator in 2016 = (Nominal GDP in 2016 / Real GDP in 2016) x 100

= (5370 / 3510) x 100

= 153.03To find the growth rate of the GDP deflator between 2014 and 2015, we can use the formula:

Growth rate = [(GDP deflator in 2015 - GDP deflator in 2014) / GDP deflator in 2014] x 100

= [(135.74 - 100) / 100] x 100

= 35.74%

To find the growth rate of the GDP deflator between 2015 and 2016, we can use the same formula:

Growth rate = [(GDP deflator in 2016 - GDP deflator in 2015) / GDP deflator in 2015] x 100

= [(153.03 - 135.74) / 135.74] x 100

= 12.74%

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Related Questions

Conduct online research to discover how to start and maintain a good credit rating throughout your life. Write a 500-word report describing your plan to become a responsible, low-risk borrower with an excellent credit score. In addition, identify and discuss ways to repair credit problems

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Having a good credit score is essential for many life goals, such as buying a home, car, or even getting a job. Credit scores can also affect the interest rate you are offered on loans, so it is important to maintain a good credit rating throughout your life.

What is score?

Score is a numerical value that represents the performance of an individual, team, or organization. It is used to measure success and identify areas for improvement.

While the process of building a good credit score can seem daunting, there are several steps you can take to ensure that your credit rating remains in good standing.

The first step to maintaining a good credit score is to pay your bills on time. This is the most important factor in determining your credit score, so it is crucial that you pay all of your bills on time. This includes credit cards, car loans, mortgages, rent, and utility bills. If you have difficulty keeping up with payments, you can set up automatic payments for them or set up a reminder system that will alert you when payments are due.

Another key component of maintaining a good credit score is to keep your debt-to-income ratio low. This means that you should not take on more debt than you can reasonably afford to pay off. This includes credit cards, car loans, and any other type of loan. You should also be aware of your credit utilization rate, which is the percentage of available credit that you are using. If this exceeds 30%, it can have a negative impact on your credit score.

Finally, it is important to check your credit report regularly. You can get a free copy of your credit report from each of the three major credit bureaus, Experian, TransUnion, and Equifax, once a year. This will allow you to review your credit report for accuracy and identify any potential issues. If you find any errors, you should contact the credit bureau to dispute them.

If you already have credit problems, there are steps you can take to repair them. The first step is to create a budget and stick to it. This will help you manage your finances and ensure that you can make all of your payments on time. You should also pay off any past-due balances as soon as possible to avoid late fees. If you have any outstanding debt, you may want to consider consolidating it into a single loan with a lower interest rate.

In addition, you can also contact your creditors to ask for a lower interest rate or to negotiate a payment plan. While this may not be easy, it can be beneficial if you are struggling to make payments. Finally, you can also work with a credit counseling agency to develop a plan to manage your debt and improve your credit score.

By following these steps, you will be able to establish and maintain a good credit rating throughout your life. Paying your bills on time, keeping your debt-to-income ratio low, and reviewing your credit report regularly will help you become a responsible, low-risk borrower with an excellent credit score. Additionally, if you have credit problems, you can take steps to repair them. With dedication and commitment, you can ensure a good credit score for years to come.

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Which of the following is NOT a
characteristic of the Federal Reserve?
A. central bank of the United States
B. total influence over fiscal policy
C. control of the money supply

Answers

Answer:

B

Explanation:

The federal reserve are involved in monetary policy. in Economics, there is difference between fiscal and monetary policy, tho they are usually used interchangeably. fiscal policy has to do with govt spending and revenue which is more tax related, while monetary policy is related to the control of the supply of money in the economy, through the use of interest rates and other tools.

People often like to visit flea markets to look for unexpected opportunities. Flea markets also typically use cash. This is an example of the liquidity demand for money because

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People often like to visit flea markets to look for unexpected opportunities. Flea markets also typically use cash. This is an example of the liquidity demand for money because individuals need cash on hand to make purchases at these markets, reflecting their desire for easily accessible and liquid funds to take advantage of the available deals.

People visit flea markets to look for unexpected opportunities, and since these markets typically use cash, they create a demand for liquidity. Liquidity demand for money refers to the desire of individuals and businesses to hold money in a readily available form to meet unexpected expenses or take advantage of unexpected opportunities. Therefore, the example of people visiting flea markets is an example of the liquidity demand for money, as they need cash readily available to make purchases and seize opportunities that may arise at the market.

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1. Describe the resources (tools, household items, learning tools) that your school or family used when you were a child: Answer: Type Here

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The resources that were available to me as a child helped me to develop a love of learning and a strong foundation of knowledge that has served me well throughout my life.

When I was a child, both my school and family used a variety of resources to support my learning and development. At school, we had access to textbooks, workbooks, and other learning materials that were provided by the school district. Additionally, our teachers often used visual aids such as posters, maps, and charts to help illustrate concepts and ideas.

At home, my family had a range of household items that we used to support our learning. For example, we had a set of encyclopedias that we would consult for information on various topics. We also had a globe that we would use to learn about different countries and their locations.

In terms of learning tools, my school and family both utilized technology to support our learning. In the classroom, we had access to computers and software programs that helped us develop our skills in math, language arts, and other subjects. At home, we had educational games and apps on our family computer and on our personal devices.

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When faced with the need for employees with scarce skills, employers tend tooutsource those jobs to specialty firms.hire these employees from outside the firm.

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When faced with the need for employees with scarce skills, employers tend to use various strategies to address the shortage. Another strategy is to outsource those jobs to specialty firms that specialize in providing employees with the required scarce skills.

One common strategy is to hire employees with the necessary skills from outside the firm, which can involve recruiting employees from other companies or industries.  Additionally, employers may choose to train and develop existing employees to acquire the necessary skills, which can be a more cost-effective solution in the long run. The specific strategy chosen by employers depends on factors such as the availability of the required skills in the labor market, the urgency of the need for those skills, and the costs associated with each option.

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Complete Question

When faced with the need for employees with scarce skills, what do employers tend to do?

A) Outsource those jobs to specialty firms.

B) Hire these employees from outside the firm.

C) Train and develop existing employees to acquire the necessary skills.

D) None of the above.

many theories compete to explain how aggregate supply and demand actually work. as a result,: multiple choice question. politicians often argue about economic policies. social policies and economic policies always coincide. government executive branches select the type of system the economy follows. there is a general consensus on which policy is most effective.

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Politicians often argue about economic policies. Therefore, option A is correct.

The fact that there are multiple competing theories about how aggregate supply and demand work means that there is no one-size-fits-all solution to economic policy.

This often leads to debates and disagreements among politicians about which policies are best for a given situation. Social policies, which address issues like inequality and access to healthcare, can also impact economic policies.

However, social policies and economic policies do not always coincide, and they may even conflict with one another. Ultimately, it is up to the government's executive branch to select the type of economic system the country follows, but they must also take into account the views of other branches of government and the general public.

Despite the ongoing debates, there is no general consensus on which policy is most effective, and the effectiveness of any policy may vary depending on the circumstances.

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Question 8 (5 point Sad Competition tends to be light when potential entrants are few capital requirements are nominal standards for her and other inputs are madest. regulatory burrians are modt.

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The moderate regulatory burdens may still pose some challenges for both new and existing competitors in terms of compliance and cost.

Based on the terms you provided, it seems like your question is asking about how the competition is affected when there are few potential entrants, low capital requirements, minimal standards for inputs, and moderate regulatory burdens. In this scenario, the competition would likely be less intense and lighter compared to a situation where there are many potential entrants, high capital requirements, strict standards for inputs, and heavy regulatory burdens. This is because fewer competitors mean less pressure to innovate and differentiate products or services, while low capital requirements and minimal input standards mean lower barriers to entry for new competitors.

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Q1 (a) (10 points) A genealogical firm called Q-L produces its output using the following production function: f(x1, x2) = Vx1 – 1+ 2x2 where xı denotes the amount of factor 1 and x2 denotes the amount of factor 2. The market price of factor 1 is $2 and the market price of factor 2 is $10. = (a) To produce y = 5 units of output with the lowest cost, how much factor 1 and factor 2 should the firm use? Find this optimal bundle of inputs and calculate the minimal cost. Q1 (b) (10 points) (b) Suppose the price of factor 2 has increased to $20. And the price of factor 1 is still $2. To produce у = 2 units of output with the lowest cost, how much of factor 1 and factor 2 should the firm use? Find this optimal bundle of inputs and calculate the minimal cost.

Answers

the optimal bundle of inputs is x1 = (2.4/V) and x2 = 2.4, and the minimal cost is:C = (2.4/V)($2) + 2.4($10) = 24 + (4.8/V)

the optimal bundle of inputs is x1 = (2.2/V) and x2 = 1.2, and the minimal cost is:C = (2.2/V)($2) + 1.2($20) = 4.4 + 24 = $28.4

(a) To produce y = 5 units of output with the lowest cost, the firm should use the optimal bundle of inputs where the marginal product of each factor divided by its price is equal to each other, i.e., MP1/P1 = MP2/P2. From the given production function, the marginal product of factor 1 (MP1) is Vx1-2 and the marginal product of factor 2 (MP2) is 2. Therefore, we have:

MP1/P1 = MP2/P2

(Vx1-2)/2 = 2/10

Vx1-2 = 0.4

Solving for x1, we get:

Vx1 = 2.4

x1 = (2.4/V)

Substituting the value of x1 in the production function, we get:

f(x1, x2) = V(2.4/V) - 1 + 2x2

f(x1, x2) = 1.2 - 1 + 2x2

f(x1, x2) = 2x2 + 0.2

To produce 5 units of output, we need f(x1, x2) = 5. Solving for x2, we get:

5 = 2x2 + 0.2

x2 = 2.4

(b) With the price of factor 2 at $20 and the price of factor 1 at $2, the new optimal bundle of inputs to produce y = 2 units of output with the lowest cost can be found by setting MP1/P1 = MP2/P2, as before. Solving for x1 and x2, we get

(Vx1-2)/2 = 2/20

Vx1-2 = 0.2

Vx1 = 2.2

x1 = (2.2/V)

MP1/P1 = MP2/P2

(Vx1-2)/2 = 2/20

Vx1-2 = 0.2

Vx1 = 2.2

x1 = (2.2/V)

Substituting the values of x1 and x2 in the production function, we get:

f(x1, x2) = V(2.2/V) - 1 + 2(1.2)

f(x1, x2) = 1.2 + 2.2 - 1.2

f(x1, x2) = 2.2

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bear, inc. estimates its sales at 200,000 units in the first quarter and that sales will increase by 20,000 units each quarter over the year. they have, and desire, a 25% ending inventory of finished goods. each unit sells for $35. 40% of the sales are for cash and 60% on credit. 70% of the credit customers pay within the quarter. the remainder is received in the quarter following sale. cash collections for the third quarter are budgeted at group of answer choices $4,746,000. $6,888,000. $8,274,000. $9,576,000.

Answers

Total Cash Collections for First Quarter is $5,740,000

Total Sales

First Quarter Sales = 200,000 units

Sales increase by 20,000 units each quarter over the year, so:

Second Quarter Sales = 200,000 + 20,000 = 220,000 units

Third Quarter Sales = 220,000 + 20,000 = 240,000 units

Fourth Quarter Sales = 240,000 + 20,000 = 260,000 units

Step 2: Total Production

To determine the total production needed for each quarter, we need to take into account the desired ending inventory for finished goods.

First Quarter Production = Sales + Ending Inventory – Beginning Inventory

Beginning Inventory = 0 (Assumed)

Ending Inventory = 25% of First Quarter Sales = 0.25 x 200,000 = 50,000 units

First Quarter Production = 200,000 + 50,000 - 0 = 250,000 units

Second Quarter Production = Sales + Ending Inventory – Beginning Inventory

Beginning Inventory = 50,000 units (Ending Inventory from previous quarter)

Ending Inventory = 25% of Second Quarter Sales = 0.25 x 220,000 = 55,000 units

Second Quarter Production = 220,000 + 55,000 - 50,000 = 225,000 units

Third Quarter Production = Sales + Ending Inventory – Beginning Inventory

Beginning Inventory = 55,000 units (Ending Inventory from previous quarter)

Ending Inventory = 25% of Third Quarter Sales = 0.25 x 240,000 = 60,000 units

Third Quarter Production = 240,000 + 60,000 - 55,000 = 245,000 units

Fourth Quarter Production = Sales + Ending Inventory – Beginning Inventory

Beginning Inventory = 60,000 units (Ending Inventory from previous quarter)

Ending Inventory = 25% of Fourth Quarter Sales = 0.25 x 260,000 = 65,000 units

Fourth Quarter Production = 260,000 + 65,000 - 60,000 = 265,000 units

Step 3: Ending Inventory

We have already calculated the ending inventory for each quarter in the production calculation.

Step 4: Cash and Credit Sales

Total Sales x 40% are cash sales, and Total Sales x 60% are credit sales.

70% of the credit customers pay within the quarter, so 30% will be received in the following quarter.

First Quarter Cash Sales = 200,000 x 0.40 = 80,000 units x $35 = $2,800,000

First Quarter Credit Sales = 200,000 x 0.60 = 120,000 units x $35 = $4,200,000

Cash collected from credit sales within the quarter = 120,000 x 0.70 x $35 = $2,940,000

Credit sales collected in the following quarter = 120,000 x 0.30 x $35 = $1,260,000

Total Sales for First Quarter = $2,800,000 + $4,200,000 = $7,000,000

Total Cash Collections for First Quarter = $2,800,000 + $2,940,000 = $5,740,000

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Service Revenue is closed out by debiting Income Summary and crediting Service Revenue. (t/f)

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Service Revenue is closed out by debiting Income Summary and crediting Service Revenue. True.

Service revenue is a type of revenue generated from providing services to customers. At the end of an accounting period, revenue accounts such as Service Revenue are closed out to Income Summary account as part of the closing process. This is done to prepare the accounts for the next accounting period and to calculate the net income or loss for the current period.

The closing entry for Service Revenue involves debiting the Income Summary account and crediting the Service Revenue account for the total amount of revenue earned during the period. This results in a zero balance in the Service Revenue account, indicating that all revenue has been recognized and closed out for the period.

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An assessment center isa collection of instruments and exercises designed to diagnose individuals' development needs.a procedure for evaluating the effectiveness of training and development programs.

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An assessment center is a process where a group of trained assessors evaluate a group of participants on various dimensions such as skills, abilities, personality traits, and potential for development.

The assessment typically consists of a series of exercises, such as role-playing, presentations, and group discussions. The assessors observe the participants' behavior and performance and then provide feedback on their strengths and areas for improvement. This information is then used to diagnose the individual's development needs and create a development plan to help them reach their potential. Therefore, an assessment center is a collection of instruments and exercises designed to diagnose individuals' development needs.

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Complete Question

An assessment center is:

A) A collection of instruments and exercises designed to diagnose individuals' development needs.

B) A procedure for evaluating the effectiveness of training and development programs.

Which statement correctly defines an assessment center?

norton company reported total sales revenue of $55,000, total expenses of $45,000, and net income of $10,000 on its income statement. for the same period, accounts receivable increased by $4,000, merchandise inventory increased by $6,000, accounts payable decreased by $2,000, and depreciation of $18,000 was recorded. therefore, based only on this information, the net cash flow from operating activities using the indirect method was: a. $19,000 b. $30,000 c. $16,000 d. $10,000

Answers

The net cash flow from operating activities using the indirect method was $16,000 .Therefore, the correct answer is option C, $16,000.

To determine the net cash flow from operating activities using the indirect method, we need to adjust the net income figure by adding back any non-cash expenses and changes in working capital accounts.

Starting with net income of $10,000, we add back the $18,000 in depreciation expense since it is a non-cash expense. This gives us a net income before adjustments of $28,000.

Next, we need to adjust for changes in working capital accounts. The increase in accounts receivable of $4,000 means that customers owe the company more money, which represents a use of cash.

The increase in inventory of $6,000 means the company has spent more on inventory, which also represents a use of cash. The decrease in accounts payable of $2,000 means the company has paid off some of its debts, which represents a source of cash.

Adding these adjustments to the net income before adjustments gives us a net cash flow from operating activities of $16,000 ([$28,000 + $4,000 + $6,000] - $2,000).

Therefore, the correct answer is option C, $16,000.

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One of the most concerning global risks is climate action failure. What is driving the the failure of humans to address climate change (why are we not taking action)? O Humans causing the damage O Lack of funds to address the problem (debt levels too high) O Cannot reach agreement on steps (lack of social cohesion) O all of the above O none of the above

Answers

The reasons behind the failure of humans to address climate change are multifaceted and complex, and all of the options listed could be contributing factors to some extent.

Human activities, such as the burning of fossil fuels, deforestation, and intensive agriculture, are the main cause of the increasing greenhouse gas emissions that are contributing to global warming. While many individuals and organizations recognize the importance of reducing these emissions, there are also significant obstacles to taking action. These include the lack of political will, the influence of powerful interest groups, and societal inertia, as many people continue to prioritize short-term economic growth over long-term environmental sustainability.

In addition to these behavioral factors, the lack of funds to address climate change is also a significant obstacle to taking action. Many countries and individuals are burdened with high levels of debt, and it can be difficult to justify the investment in expensive infrastructure and technologies needed to transition to a low-carbon economy. Furthermore, there is often a lack of agreement on how to allocate funding and resources to address climate change, which can exacerbate the problem.

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The maximum price a consumer is willing to pay for an extra unit of a good or service when total utility is maximized is known as a. total utilityb. marginal benefit c. demand d. marginal utility

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The maximum price a consumer is willing to pay for an extra unit of a good or service when total utility is maximized is known as marginal benefit. The correct option is b. marginal benefit.

Marginal benefit refers to the additional satisfaction or utility a consumer gets from consuming one more unit of a good or service. It is important to note that marginal benefit is not constant but decreases as the consumer consumes more units of the good or service. This is because the law of diminishing marginal utility states that as a consumer consumes more of a good or service, the additional satisfaction they derive from consuming each additional unit decreases.

Therefore, the consumer is willing to pay a higher price for the first unit of a good or service than for subsequent units. Understanding the concept of marginal benefit is important for producers in setting prices for their goods or services, as they must consider the value consumers place on each additional unit when determining the price to charge. The correct option is b. marginal benefit.

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When the piece rate is 4.50 rials and the total unit ofproduction is 1500 units. Calculate how much a worker will receivefor working 7 hours of the day, when the time wage per hour is0.350 baisa.
a. Piece rate 1998 OMR and 3 rials for time wage
b. Piece rate 7750 OMR and 4 rials for time wage
c. Piece rate 5760 OMR and 4.5 rials for time wage
d. Piece rate 6750 OMR and 2.45 rials for time wage

Answers

The worker will receive 6750 OMR for the piece rate and 0.00245 OMR for the time wage. The correct answer is (d) Piece rate 6750 OMR and 2.45 rials for time wage.

To calculate the worker's earnings based on the piece rate and time wage, follow these steps:

1. Calculate the piece rate earnings: Multiply the total unit of production (1500 units) by the piece rate (4.50 OMR per unit).
  Piece rate earnings = 1500 units * 4.50 OMR/unit = 6750 OMR

2. Calculate the time wage earnings: Multiply the hours worked (7 hours) by the time wage per hour (0.350 baisa). Note that 1 OMR = 1000 baisa, so 0.350 baisa = 0.00035 OMR.
  Time wage earnings = 7 hours * 0.00035 OMR/hour = 0.00245 OMR

3. Add the piece rate earnings and time wage earnings together:
  Total earnings = Piece rate earnings + Time wage earnings = 6750 OMR + 0.00245 OMR = 6750.00245 OMR

The correct answer is (d) Piece rate 6750 OMR and 2.45 rials for time wage.

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02-022 - Which aspect of analytical thinking involves being able to identify a relationship between two or more pieces of data?

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The aspect of analytical thinking involves being able to identify a relationship between two or more pieces of data is "pattern recognition".

The analytical thinking is the skill which is performed to analyze the past or current data to give key points, weakness and so on. The analytical thinking is a cognitive skill that involves the ability to analyze complex information to break it down into smaller components.

The pattern recognition is a term which refers to to identify meaningful relationships between data points to make informed decisions and draw conclusions.

Therefore, the pattern recognition aspect of analytical thinking.

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a used car can be kept for two more years and then sold for an estimated value of $3000, or it can be sold now for $7500. the average annual maintenance cost over the past 7 years has been $500 per year. however, if the car is kept for two more years, this cost is expected to be $1800 the first year and $2000 the second year. as an 13-46 a alternative, a new car can be purchased for $22,000 and be used for 4 years, after which it will be sold for $8,000. the new car will be under warranty the first 4 years, and no extra maintenance cost will be incurred during those years. if the marr is 15% per year, what is the better option?

Answers

Option 1 (keeping the old car for two more years) has a higher present value than option 2 (purchasing a new automobile and using it for four years), hence it is the superior option, according to the research.

To compare the two options, we must calculate the present value of each and choose the option with the higher present value.

Option 1: Continue to utilise the used automobile for another two years.

The present value of the cost of maintaining the car for another two years is calculated as follows: $1800/(1.15)1 + $2000/(1.15)2 = $3183.62

The current value of the car's projected sale price in two years is $3000/(1.15)2 = $2262.88.

Option 1's present value is thus: $7500 - $500 - $3183.62 - $2262.88 = $554.50

Option 2: Purchase a new vehicle and keep it for four years.

The present value of the cost of buying the new car is: $22,000/(1.15)^0 = $22,000

The present value of the estimated sale value of the new car in four years is: $8,000/(1.15)^4 = $5,134.23

Therefore, the present worth of option 2 is: -$22,000 + $5,134.23 = -$16,865.77 (negative since it is a cost)

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Which Hazardous Material increase the risk of fire if they come in contact with flammable or combustible materials?

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Oxidizing material increases the risk of fire if they come in contact with flammable or combustible materials.

An oxidizing substance is a chemical that has the capacity to quickly break down and release oxygen. When added to a fire, oxidizing materials might pose a risk. They will increase the oxygen available to the fire, causing it to grow. They will also speed up the burning of a substance that ordinarily burns slowly in the air.

A combustible source might also ignite due to the presence of oxidizing material without the aid of an ignition source. Paper, wood, oil, wax, plastic, and other combustible items should all be kept far away from oxidizing elements. The introduction of oxidizing materials into the workplace should be avoided.

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You are currently defining how to manage team and physical resources. You are also working on a strategy to make sure that you have sufficient availability of resources to successfully complete your project. Which result of this process will include conflict resolution processes?

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The result of the process of defining how to manage team and physical resources, as well as strategizing for sufficient availability of resources,.

That will include conflict resolution processes is the creation of a comprehensive project management plan. This plan will outline the roles and responsibilities of each team member, as well as the resources and materials needed for successful project completion.

It will also include a conflict resolution process that will help to address any conflicts or issues that may arise during the project. By having this plan in place, the team will be better equipped to manage any challenges that come their way and ultimately, ensure the successful completion of the project.

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Which type of external force exerts the broadest and deepest influence on buying patterns? technological forces social forces competitive forces regulator forces economic forces

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Among the external forces listed, social forces exert the broadest and deepest influence on buying patterns.

Social forces refer to the attitudes, beliefs, values, and lifestyles of individuals and groups that shape their behavior, including their consumption patterns. Social factors such as culture, social class, family, and reference groups can significantly impact a consumer's decision to buy a product or service.

For example, cultural factors may influence consumers' preference for certain types of products or brands, while social class and reference groups can influence their buying decisions by providing cues about the perceived value and quality of products. Although other external forces like technological, competitive, regulatory, and economic forces also impact consumer behavior, social forces are considered to be the most significant because they reflect the complex and multi-dimensional nature of human behavior.

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Complete Question

Which type of external force exerts the broadest and deepest influence on buying patterns: technological forces, social forces, competitive forces, regulator forces, or economic forces

1a. Derive the expenditure multiplier for the economy.( Y = C + I + G + (X – M)C = Ca + cYd : where Ca =autonomous consumption, and Yd= (1-t)Y i.e. disposableincome.And t is the tax rate.M = Ma + mY : where Ma = autonomous consumption, and m=marginal propensity to import.

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the expenditure multiplier for the economy is:1 / (1 - c(1 - t) - m)

To derive the expenditure multiplier, we first need to find the equation for equilibrium output. The equilibrium condition is that output (Y) equals aggregate demand, which is composed of consumption (C), investment (I), government spending (G), and net exports (X-M):

Y = C + I + G + (X - M)

We can then rewrite consumption in terms of autonomous consumption (Ca) and disposable income (Yd), where disposable income is equal to income (Y) minus taxes (tY):

C = Ca + cYd

Yd = (1-t)Y

We can also rewrite net imports (M) in terms of autonomous imports (Ma) and the marginal propensity to import (m):

M = Ma + mY

Substituting these equations into the equilibrium condition, we get:

Y = Ca + cYd + I + G + (X - Ma - mY)

Simplifying this equation, we get:

Y(1 - c(1 - t) - m) = Ca + I + G + X - Ma

The multiplier is the change in output divided by the change in autonomous spending. Autonomous spending is the sum of Ca, I, G, X, and Ma, which we can call A:

A = Ca + I + G + X - Ma

Taking the derivative of the equilibrium output equation with respect to autonomous spending, we get:

dY/dA = 1 / (1 - c(1 - t) - m)

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weaver company sold 20,000 shares of stock, with a par value of $10, for $50. what value will weaver record for common stock ?

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Because the par value of the shares sold is $10 per share multiplied by 20,000 shares, Weaver Company will record $200,000 for common stock.

Because the stock has a par value of $10 per share, the total par value of 20,000 shares equals 20,000 shares x $10/share = $200,000. However, because the corporation sold the shares for $50 each, the total cash obtained from the sale is 20,000 shares x $50 each = $1,000,000.

The corporation will record the value of common shares based on the par value, not the sale price. As a result, the common stock account will be credited with the amount equal to the par value of the shares sold, which is $200,000. Any surplus from the sale will be credited to the additional paid-in capital account.

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a mutual fund that invests in the common stocks of companies in the same industry is called a(n) fund.

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A financial asset that invests inside the common shares of multiple publicly traded firms is known as a common stock fund.

What exactly is indeed a mutual fund who holds both bonds and ordinary stocks?

Stocks, bonds, instruments in the money market, or alternative assets are all included in the mix of asset classes that balanced funds invest in. This fund, also referred to as an investment strategy fund, seeks to lower the risk from exposure to various asset classes.

Operating costs are also charged by no-load funds. Compared to researching, purchasing, and selling individual stocks, common stock funds offer time savings and financial diversification.

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76. The profit-maximizing output of a pure monopoly isnotsocially optimal because inequilibrium:
A. price equals minimum average total cost.
B. marginal revenue equals marginal cost.
C. marginal cost exceeds price.
D. price exceeds marginal cost.

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The profit-maximizing output of a pure monopoly is not socially optimal because in equilibrium, price exceeds marginal cost. Therefore, the correct answer is option D.

This is because the monopolist restricts output to increase prices and maximize profits, which results in a deadweight loss to society due to the underproduction of the good or service. In contrast, under perfect competition, the equilibrium quantity is where price equals marginal cost, resulting in a socially optimal allocation of resources. The deadweight loss associated with monopolies can have significant economic implications, as it can lead to reduced economic welfare, decreased consumer surplus, and potentially lower levels of innovation and efficiency in the market.

Thus, the correct answer is option D.

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Master X was introduced to the benefits of partnership of M/sABC & Co. with the consent of all partners. After attainingmajority, more than six months elapsed and he failed to give apublic notice as to whether he elected to become or not to become a partner in the firm. Later on, Mr. L, a supplier of material to M/S ABC & Co., filed a suit against M/S ABC & Co. for recoveryof the debt due. In the light of the Indian Partnership Act, explain:
i) To what extent X will be liable if he failed to give public notice after attaining majority?
ii) Can Mr. L recover his debt from X?

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According to the Indian Partnership Act, Master X was required to give public notice within six months of attaining majority stating whether he elected to become a partner in M/sABC & Co or not. Since he failed to do so.

He will be considered a partner by estoppel and will be liable for all obligations of the firm as if he were a partner.
As for Mr. L's case, he can recover his debt from M/sABC & Co. since they are a partnership firm and have a separate legal entity from Master X. However, if M/sABC & Co. is unable to pay the debt, then Mr. L can proceed to recover the debt from Master X as he is considered a partner by estoppel and therefore responsible for the obligations of the firm.

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which of the people or institutions listed exercises the most power over the quantity of money in the united states economy? the president of the united states fort knox the united states treasury department the united states supreme court the united states congress the united states federal reserve warren buffet

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The institution that exercises the most power over the quantity of money in the United States economy is the United States Federal Reserve. The Federal Reserve is responsible for conducting monetary policy and controlling the money supply in the economy. Option E

They achieve this by buying and selling government securities, adjusting interest rates, and implementing other policy tools.
The President of the United States, Congress, and the Supreme Court do not have direct control over the money supply. While they may have an impact on the economy through fiscal policies such as taxes and government spending, the Federal Reserve is solely responsible for controlling the money supply and implementing monetary policy.
Fort Knox and the United States Treasury Department play important roles in the economy, but they do not have control over the money supply in the same way the Federal Reserve does. Warren Buffet is a successful investor but does not have any official authority over the money supply.
Overall, the Federal Reserve is the institution with the most power over the quantity of money in the United States economy. Its policies and actions have a significant impact on economic growth, inflation, and employment.

Option E.

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which of the following is not one of the five basic approaches to managing demand? a. taking no action and leaving demand to find its own levels. b. reduce demand in peak periods. c. increase demand when there is excess capacity. d. increase capacity immediately regardless the cost.

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Among the options provided, the one that is not one of the five basic approaches to managing demand is: d. Increase capacity immediately regardless of the cost.

The other options (a, b, and c) are all valid approaches to demand management. They involve either letting demand fluctuate naturally, trying to shift demand to off-peak periods, or encouraging demand when there is excess capacity.

Option d is not considered a demand management strategy, as it focuses on increasing capacity without considering the cost, which is generally not a sustainable or practical approach.

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when does a merger between companies typically occur? when two firms of comparable size join to form a combined entity

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A merger between companies typically occurs when two firms of comparable size join to form a combined entity. This can happen for a variety of reasons, such as a desire to increase market share, diversify product offerings, or streamline operations.

Mergers can be friendly or hostile, depending on whether both companies agree to the merger or if one company is being acquired against its will.

The process of a merger involves a detailed analysis of the financial and operational aspects of both companies to ensure that the merger is beneficial for both parties.

Once the merger is approved, the two companies will work together to integrate their operations, systems, and culture. The end result is a stronger, more competitive entity that is better equipped to serve its customers and stakeholders

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all the inputs in the black-scholes option pricing model are directly observable except group of answer choices the price of the underlying security. the time to expiration. the variance of returns of the underlying asset return. the risk-free rate of interest.

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The Black-Scholes option pricing model is a widely used mathematical model that is used to calculate the theoretical price of European call and put options. It is widely used by investors and traders to determine the fair value of an option, and to help them make informed investment decisions.

One of the key features of the Black-Scholes model is that it relies on a number of input variables, including the price of the underlying security, the time to expiration, the variance of returns of the underlying asset return, and the risk-free rate of interest. Of these input variables, all are directly observable except for the price of the underlying security.

The price of the underlying security is an important input variable in the Black-Scholes model because it directly affects the value of the option. However, unlike the other input variables, it is not directly observable, and must be estimated or inferred from other market data.

In order to estimate the price of the underlying security, traders and investors may rely on a number of different techniques, including technical analysis, fundamental analysis, and market sentiment. By using these techniques, traders and investors can estimate the price of the underlying security with a reasonable degree of accuracy, allowing them to make informed investment decisions using the Black-Scholes model.

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What could a company do with excess cash on its Balance Sheet? (6) Sample Answer

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A company with excess cash on its balance sheet has several options available to them. One option is to invest the funds into profitable projects, such as research and development, capital expenditures, or acquisitions.

Another option is to return the excess cash to shareholders through dividends or share buybacks. Additionally, the company could hold onto the excess cash for future strategic opportunities or to maintain financial flexibility.

If a company has excess cash, investing it in profitable projects can help to increase shareholder value over the long-term. For example, investing in research and development can lead to the creation of new products or technologies that can generate significant profits in the future. Capital expenditures can help to expand the company's operations and increase its production capacity, while acquisitions can provide the company with new sources of revenue and expand its market share.

Alternatively, returning excess cash to shareholders through dividends or share buybacks can help to increase the value of the company's stock and provide a return to investors. Dividends are payments made to shareholders, while share buybacks involve the company purchasing its own shares on the open market.

Finally, a company may choose to hold onto excess cash for future strategic opportunities or to maintain financial flexibility. This can include using the funds to make strategic investments or acquisitions, or to weather unforeseen challenges or downturns in the economy.

Ultimately, the decision on what to do with excess cash will depend on the company's goals, financial position, and market conditions.

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