Assume that an economy is described by the IS curve Y = 3,600 + 3G – 2T – 150r and the LM curve Y = 2(M/P) + 100r [or r = 0. 01Y – 0. 02(M/P)]. The investment function for this economy is 1,000 – 50r. The consumption function is C = 200 + (2/3)(Y – T). Long-run equilibrium output for this economy is 4,000. The price level is 1. 0. A. Assume that government spending is fixed at 1,200. The government wants to achieve a level of investment equal to 900 and also achieve Y = 4,000. What level of r is needed for I = 900? What levels of T and M must be set to achieve the two goals? What will be the levels of private saving, public saving, and national saving? (Hint: Check C + I + G = Y. ) b. Now assume that the government wants to cut taxes to 1,000. With G set at 1,200, what will the interest rate be at Y = 4,000? What must be the value of M? What will I be? What will be the levels of private, public, and national saving? (Hint: Check C + I + G = Y. ) c. Which set of policies may be referred to as tight fiscal, loose money? Which set of policies may be referred to as loose fiscal, tight money? Which "policy mix" most encourages investment?

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Answer 1

a) To achieve the target investment level of 900, the interest rate would need to be 2%.

b) To achieve the target level of output of 4000, taxes would need to be set to 250.

c) To achieve the target level of output and interest rate, the money supply would need to be set to 3000.

The first part of the problem asks us to find the level of r that would result in investment equal to 900, given fixed government spending (G=1200) and a target level of output (Y=4000). We can start by setting I=900 and solving for r using the investment function:

I = 1000 - 50r

900 = 1000 - 50r

50r = 100

r = 2

Next, we need to find the levels of taxes (T) and money supply (M) that would be consistent with the desired level of output and the fixed level of government spending. We can start by rearranging the IS curve to solve for output:

Y = 3600 + 3G - 2T - 150r

Y = 3600 + 3(1200) - 2T - 150(2)

Y = 4500 - 2T

Setting this expression equal to the target output of 4000, we can solve for T:

4000 = 4500 - 2T

2T = 500

T = 250

Finally, we need to determine the level of money supply that would be consistent with the desired level of output and interest rate. We can use the LM curve to solve for M:

r = 0.01Y - 0.02(M/P)

2 = 0.01(4000) - 0.02(M/1)

M = 3000

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11.cairo consulting wants to determine whether reselling process consulting services provided by third parties would reduce the costs of this type of consulting. switch to the process providers worksheet, and then run solver to solve this problem as follows:a.set the objective as minimizing the value in cell e10 (total costs).b.use the range b4:d4 as the changing variable cells.adjust the hours provided by each company using the following constraints:c.e4

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The total hours allocated to process consulting services from all three providers combined cannot exceed 500 hours, which can be expressed as: =SUM(B5:D5) <= 500

This limitation prevents Cairo Consulting from using more services than the providers can handle without incurring additional fees or delays.

Use Solver to solve this issue by performing the following steps:

The Process Providers worksheet should be opened.

After selecting the Data tab, go to the Analysis group and select Solver.

Set the objective by choosing the "Min" radio button and cell E10 as the target cell in the Solver Parameters dialog box.

Cells B4 to D4 can be highlighted to select the cells with changing variables.

Click Add to add a new constraint in the Constraints section.

Enter the constraint expression =SUM(B5:D5) = 500 in the Cell Reference field.

To add the constraint, click OK.

To solve the issue and identify the best solution, click Solve.

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in a small municipal police department, each member of a team is expected to work with other members of the team to increase efficiency. the yearly individual increase in pay and promotion is based on whether individuals achieve higher than average numbers of reports, summonses, and arrests than their team. when an officer is working on a particularly difficult case, other members of the team are often unwilling to help that officer with tasks leading to wasted efforts and increased overtime. this is an example of .

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When officer is working on a particularly difficult case, the other members of the team are often unwilling to help that officer with tasks leading to the wasted efforts and increased overtime. This is an example of a dysfunctional team dynamic or a lack of teamwork.

The police department's system of individual rewards and promotions based on outperforming one's team members creates a competitive rather than a collaborative environment, where officers are incentivized to prioritize their own success over the success of the team as a whole.

In such an environment, officers may be reluctant to help their colleagues because they do not want to sacrifice their own chances for recognition and advancement. This can lead to wasted efforts, increased overtime, and a lack of overall efficiency. To address this issue, the police department may need to reevaluate their reward and promotion system and encourage more collaboration and teamwork among their officers.

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Milton corporation has 8 percent coupon bonds making annual payments with a ytm of 7.2 percent. the current yield on these bonds is 7.55 percent. how many years do these bonds have left until they mature?

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The Milton corporation bonds have about 10.55 years left until they mature.

To find out how many years the Milton corporation bonds have left until they mature, we need to use the formula for calculating bond prices:

Bond price =[tex](Coupon payment / (1 + Yield to maturity)^Time) + (Coupon payment / (1 + Yield to maturity)^(Time + 1)) + ... + (Coupon payment + Face value / (1 + Yield to maturity)^Time)[/tex]

We know that the coupon payment is 8% of the face value, and the yield to maturity is 7.2%. We also know that the current yield on the bonds is 7.55%, which means that the market price of the bonds is less than the face value.
Using the formula, we can solve for the time until maturity:
[tex]0.08 x 1000 / (1 + 0.072)^t + 0.08 x 1000 / (1 + 0.072)^(t + 1) + ... + (0.08 x 1000 + 1000) / (1 + 0.072)^t = 0.0755 x 1000[/tex]

Simplifying the equation, we get:
[tex]80 / (1.072)^t + 80 / (1.072)^(t + 1) + ... + 1080 / (1.072)^t = 75.5[/tex]
t= 75.5/7.15

t=10.55

The answer is approximately 10.55 years. Therefore, it took approximately 10.55 years for these bonds until they mature.

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is it acceptable to use the address 15001 river way for a legal document pertaining to a real estate transaction?

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The use of the address 15001 River Way for a legal document about a real estate transaction and street address is not considered a legal description of the property.

The option (C) is correct

Street addresses frequently change, and they were never planned to give a dependable portrayal of motivations of deed readiness. A depiction will just run down the parcel number, the block number, the development, the province, and the state.

Property is anything that an individual or a business has lawful title over. Property can be substantial things, like houses, vehicles, or apparatuses, or it can allude to elusive things that convey the commitment of future worth, for example, stock and bond endorsements.

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This question is not complete, Here I am attaching the complete question:

Is it acceptable to use the address 15001 river way for a legal document pertaining to a real estate transaction?

A. It is acceptable, however getting a loan for the property may be challenging

B. It is acceptable

C. A street address is not considered a legal description of the property.

D. It is acceptable, but title insurance companies may choose not to insure the property.

Please construct an investment portfolio that is appropriate for your client:



She is 60 years old and plans to retire within 5 years. She has $4 million to invest. She is primarily interested in creating steady income from the portfolio. Her goal is $120,000 per year. She is also concerned about inflation and therefore wants the portfolio value and income to keep pace with inflation

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Based on the client's profile and goals, I would suggest the following investment portfolio:

1. Fixed Income Investments (60% of portfolio)

Given the client's primary goal of steady income, a significant portion of the portfolio should be invested in fixed income securities. This will provide a stable stream of income and reduce the portfolio's volatility.

2. Equities (30% of portfolio)

To ensure that the portfolio keeps pace with inflation and to provide some growth potential, a portion of the portfolio should be invested in equities.

3. Real Estate Investment Trusts (REITs) (10% of portfolio)

To further diversify the portfolio and provide exposure to the real estate market, I would suggest investing a small portion of the portfolio in REITs. REITs provide a steady stream of income through rental payments and have historically performed well during inflationary periods.

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5. Key performance measures Measuring Stock Performance An informed and prudent investor uses a variety of measures such as financial ratios, book value, earnings per share, return on equity etc. To evaluate the worthiness and prospects of stocks he/she would invest in. It is important for you as an investor to understand how these values are calculated and what they mean

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Key performance measures are important tools for investors to evaluate the worthiness and prospects of stocks they intend to invest in. These measures include financial ratios, book value, earnings per share, return on equity, and other similar indicators. These measures help investors to understand how a company is performing financially, and its potential for future growth and profitability.

Financial ratios are one of the most common key performance measures used by investors. These ratios compare a company's financial statements to assess its financial health. Examples of financial ratios include price-to-earnings (P/E) ratio, debt-to-equity ratio, and return on investment (ROI) ratio.

Book value is another key performance measure that investors use to assess the worthiness of a stock. It is calculated by subtracting a company's total liabilities from its total assets. The resulting figure gives investors an idea of the company's net worth.

Earnings per share (EPS) is another crucial measure that investors use to determine a company's profitability. It is calculated by dividing the company's net income by its total number of outstanding shares.

Return on equity (ROE) is another important key performance measure that investors use to assess a company's profitability. It is calculated by dividing the company's net income by its total shareholder equity.

In conclusion, understanding how key performance measures are calculated and what they mean is essential for any investor who wants to make informed and prudent investment decisions. By using these measures, investors can evaluate a company's financial health and potential for future growth and profitability, allowing them to make more informed investment decisions.

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got all wrong answers chegg. dont copy the previous answer.answer this in 10 minutes. else downvote.Market Value of Property : 90 Lakhs Loan Exposure: 144 Lakhs DSV Haircut : 20% Find out Net Assets at Risk.

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To find out the net assets at risk, we need to calculate the maximum amount that could be lost in the event of default on the loan. Net assets at risk would be 72 lakhs.

This is calculated by subtracting the collateral value after haircut from the loan exposure.

Collateral Value = Market Value of Property × (100% - DSV Haircut)

Collateral Value = 90 Lakhs × (100% - 20%)

Collateral Value = 90 Lakhs × 80%

Collateral Value = 72 Lakhs

Net Assets at Risk = Loan Exposure - Collateral Value

Net Assets at Risk = 144 Lakhs - 72 Lakhs

Net Assets at Risk = 72 Lakhs

Therefore, the net assets at risk in this scenario is 72 Lakhs.

It's important to note that the net assets at risk represents the amount of assets that are exposed to potential loss if the borrower defaults on the loan. In this case, if the borrower were to default, the lender would be at risk of losing up to 72 Lakhs.

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How can zoe, a property manager, be sure to handle all tenant issues in a non-discriminatory manner?

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The equivalent annual cost (EAC) is a useful tool for comparing the cost of owning and operating a machine over a given period. To calculate the EAC, we need to consider the initial cost, annual maintenance and operation cost, and the lifespan of the machine. In this case, the EAC of the precision lathe is $12,931.69 per year, assuming a discount rate of 10% and a lifespan of four years.

The EAC is the annual cost of owning and operating a machine over a given period, assuming that the cost is spread evenly over each year. To calculate the EAC of a precision lathe, we need to consider the initial cost, annual maintenance and operation cost, and the lifespan of the machine.

In this case, the initial cost of the lathe is $16,000, and it will cost $26,000 per year to operate and maintain. The lifespan of the machine is four years. The discount rate is 10%, which means that we need to consider the time value of money when calculating the EAC.

To calculate the EAC, we need to use the following formula:

EAC = (C - S) / (a * (1 + r)^(n-1)) + s

Where:

C = the initial cost of the machine

S = the salvage value of the machine at the end of its lifespan

a = the annuity factor

r = the discount rate

n = the lifespan of the machine

s = the annual maintenance and operation cost

The annuity factor can be calculated using the following formula:

a = (1 - (1 + r)^-n) / r

Using the given values, we can calculate the annuity factor as follows:

a = (1 - (1 + 0.1)^-4) / 0.1

a = 2.775

We can now calculate the EAC as follows:

EAC = (16000 - 0) / (2.775 * (1 + 0.1)^(4-1)) + 26000

EAC = $12,931.69

Therefore, the equivalent annual cost of the precision lathe is $12,931.69 per year.

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Fresh Veggies, Incorporated (FVI), purchases land and a warehouse for $530,000. In addition to the purchase price, FVI makes the following expenditures related to the acquisition: broker's commission, $33,000; title insurance, $2,300; and miscellaneous closing costs, $6,600. The warehouse is immediately demolished at a cost of $33,000 in anticipation of building a new warehouse. Determine the cost of the land and record the purchase (assuming cash was paid for all expenditures). (If no entry is required for a particular transaction/event, select "No Journal Entry Required" in the first account field. )

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The cost of the land is $605,900, and the journal entry to record the purchase is a debit to the Land account and a credit to the Cash account for $605,900.

To determine the cost of the land and record the purchase for Fresh Veggies, Incorporated (FVI), you need to follow these steps:

1. Identify all the costs associated with the land purchase, including the purchase price, broker's commission, title insurance, and miscellaneous closing costs.


2. Allocate the costs between the land and the warehouse based on their relative fair market values.


3. Demolish the warehouse and account for the demolition cost.


4. Record the journal entries for each transaction.

Step 1: Determine the costs associated with the land purchase.
Purchase price: $530,000
Broker's commission: $33,000
Title insurance: $2,300
Miscellaneous closing costs: $6,600

Step 2: Allocate costs between land and warehouse.
The warehouse was immediately demolished, so its value is considered to be $0. The entire cost of $530,000 is allocated to the land.

Step 3: Account for demolition cost.
Demolition cost: $33,000
The cost of the demolition is added to the cost of the land since it was necessary to prepare the land for the new warehouse.

Step 4: Record the journal entries for each transaction.
Land Account:
Debit: $530,000 (purchase price) + $33,000 (broker's commission) + $2,300 (title insurance) + $6,600 (miscellaneous closing costs) + $33,000 (demolition cost) = $605,900
Cash Account:
Credit: $605,900

Journal Entry:
Land (Debit) - $605,900
Cash (Credit) - $605,900

In summary, the cost of the land is $605,900, and the journal entry to record the purchase is a debit to the Land account and a credit to the Cash account for $605,900.

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Bethany is still not sure what to do with her inheritance money. she has tried researching online but is overwhelmed by the amount of information available. ​ discuss the different sources of financial information and guidance that bethany could use. -12

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Different sources of financial information and guidance that Bethany could use can be interacting with financial advisors, online financial resources, social media and other sources of information.

Bethany can get advice and information about finances from a variety of sources when deciding how to use her inheritance. These sources include financial advisors, government organizations, social media, financial books and friends and family.

Online resources like financial news websites, blogs and podcasts are also included. She can create a tailored financial plan with the assistance of a financial advisor.  Online sources, governmental organizations and social media platforms can offer financial data on a range of subjects.

Reading financial books can help you gain a deeper understanding of investing and personal finance. Asking friends and family for advice can provide insights based on personal experiences. Bethany can use these tools to plan for her financial future and make well-informed financial decisions.

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Think about a service provider with whom you deal frequently and have established a better-than-average customer-provider relationship. Perhaps you have been dealing with the organization for a long period of time or visit frequently. If you do not, ask a close friend or family member if they do. Reflect on the relationship and make a list of positive customer service behaviours exhibited by this person. Then review the list and make it a personal goal to replicate at least two of these behaviours, when dealing with your own customers. What were the results?

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Positive customer service behaviors include active listening, empathy, prompt response, personalized service, and going above and beyond expectations.

Based on my training data, I can provide a list of positive customer service behaviors that service providers can exhibit to establish better-than-average customer relationships:

Active listening: Service providers should actively listen to their customers to understand their needs and concerns.

Empathy: Service providers should show empathy towards their customers by acknowledging their feelings and experiences.

Prompt response: Service providers should respond promptly to their customers' inquiries and concerns.

Personalized service: Service providers should provide personalized service to their customers by tailoring their offerings to meet the customer's specific needs.

Going above and beyond expectations: Service providers should go above and beyond expectations by exceeding customer expectations and providing exceptional service.

By replicating at least two of these behaviors when dealing with their own customers, service providers can improve their customer relationships and establish a loyal customer base.

For example, actively listening and showing empathy towards customers can help service providers better understand their needs and concerns, which can lead to improved customer satisfaction.

Similarly, providing personalized service and going above and beyond expectations can help differentiate a service provider from their competitors and create a positive brand image.

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Manitowoc Crane (U. S. ) exports heavy crane equipment to several Chinese dock facilities. Sales are currently 16. 000 units per year at the yuan equivalent of $25. 000 each. The Chinese yuan (renminbi) has been trading at Yuan8. 40/$, but a Hong Kong advisory service predicts the renminbi will drop in value next week to Yuan9. 10/$, after which it will remain unchanged for at least a decade. Accepting this forecast as given, Manitowoc Crane faces a pricing decision in the face of the impending devaluation. It may either (1) maintain the same yuan price and in effect sell for fewer dollars, in which case Chinese volume will not change; or (2) maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume Direct costs are 75% of the U. S. Sales price. What would be the short-run (one-year) impact of each pricing strategy?

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In conclusion, based on the short-run impact analysis, Manitowoc Crane should choose Strategy 1, which involves maintaining the same yuan price and in effect selling for fewer dollars, but without a decrease in Chinese volume. This strategy would result in a positive profit of $111,619,040.

Maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume.

Let's analyze the short-run (one-year) impact of each strategy:

Strategy 1: Maintain the same yuan price and in effect sell for fewer dollars

At the current exchange rate of Yuan8.40/$, the price of each crane is:

$25,000 / Yuan8.40 = Yuan2,976.19

If the renminbi is devalued to Yuan9.10/$, the yuan price of each crane would remain the same, but the dollar price would decrease:

Yuan2,976.19 x Yuan9.10/$ = $25,676.19

The short-run impact of this strategy would be that Manitowoc Crane would continue to sell 16,000 cranes in China, but at a lower dollar value. The new dollar revenue would be:

$25,676.19 x 16,000 = $411,619,040

The direct costs are 75% of the U.S. sales price, which means the direct cost per crane is:

$25,000 x 75% = $18,750

The total direct cost of producing and selling 16,000 cranes would be:

$18,750 x 16,000 = $300,000,000

Therefore, the short-run profit for this strategy would be:

$411,619,040 - $300,000,000 = $111,619,040

Strategy 2: Maintain the same dollar price, raise the yuan price in China to offset the devaluation, and experience a 10% drop in unit volume

If Manitowoc Crane maintains the same dollar price of $25,000 per crane, it would need to raise the yuan price to offset the devaluation:

$25,000 / Yuan9.10 = Yuan2,747.25

This is a 8.0% increase from the current yuan price of Yuan2,976.19.

However, this strategy would result in a 10% drop in unit volume, so the new Chinese sales volume would be:

16,000 x 0.9 = 14,400 units

The new yuan revenue would be:

Yuan2,747.25 x 14,400 = Yuan39,542,800

At the new exchange rate of Yuan9.10/$, the dollar revenue would be:

Yuan39,542,800 / Yuan9.10/$ = $4,346,116.48

The direct cost per crane is still $18,750, so the total direct cost of producing and selling 14,400 cranes would be:

$18,750 x 14,400 = $270,000,000

Therefore, the short-run profit for this strategy would be:

$4,346,116.48 - $270,000,000 = -$265,883,552

This means that the company would actually lose money in the short-run by implementing this strategy.

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Mc qu. 36 qingyi works for a large technology. Qingyi works for a large technology company as an engineer. As an employee, why should he look at his company's financial statements?

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Although not directly involved in finance, understanding the financial statements can benefit Qingyi by providing job security, insight into company strategy, and making him a more well-rounded employee.

As an engineer working for a large technology company, Qingyi may not necessarily be directly involved in the financial aspects of the business. However, it is still important for him to have a basic understanding of the company's financial statements for several reasons.

Firstly, understanding the company's financial health can give Qingyi a sense of job security. If the company is struggling financially, it may be at risk of layoffs or other cost-cutting measures that could impact its role or department. By keeping an eye on the financial statements, Qingyi can be better prepared for any potential changes or shifts in the company's priorities.

Additionally, being familiar with the financial statements can help Qingyi understand the company's overall strategy and direction. For example, if the company is investing heavily in research and development, he may have a better understanding of the types of projects his team will be working on in the future.

Finally, having a basic understanding of financial statements can make Qingyi a more well-rounded employee. He may be better equipped to collaborate with colleagues in other departments, such as finance or accounting, and be able to contribute to discussions about the company's overall performance and goals.

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borealis computing is a small start-up firm that needs to purchase essential equipment and supplies to begin operations. gencent llc, a larger firm, offers to finance borealis computing's purchases. under their agreement, borealis computing will repay gencent llc overtime at a specified interest rate. in the context of nonequity funding, gencent llc's financing of borealis computing's purchases is an example of .

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In the context of non-equity funding, Gencent LLC's financing of Borealis Computing's purchases is an example of supplier credit.

Early-stage startups and businesses that lack the assets or track record necessary to obtain standard bank loans frequently employ non-equity funding. It does not include the selling of a company's ownership shares.

An arrangement in a commercial transaction known as a supplier credit states that an exporter will provide products or services to a foreign investor on credit terms. Paying on credit terms denotes that the overseas buyer will either make a single payment at a later time or a series of payments on various future dates that have been mutually agreed upon. 

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The announcement of Maria’s posting caused Helen to become disappointed. Furthermore, staff at the New Zealand office became worried about how the change in leadership would impact their jobs and responsibilities. Even though Zack exercised total control and oversight, staff were accustomed to his leadership style and knew what to expect.1) Provide a summary of your understanding of the change management issues involved in the case2) Examine the case using a change management model3) Evaluate the importance of a change agent

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The change management issues involved in this case are centered around the announcement of Maria's posting, which led to Helen's disappointment and the New Zealand office staff's concern.



1) Using the Lewin's Change Management Model, we can examine this case in three stages:


a) Unfreezing: This stage involves creating awareness of the need for change. In this case, the announcement of Maria's posting serves as the trigger for unfreezing.


b) Change: This stage is about transitioning from the old way of doing things to the new way. In this scenario, it would involve Maria taking over leadership and implementing her management style, requiring the staff to adapt to the new environment.


c) Refreezing: This stage is about reinforcing and stabilizing the change, ensuring it becomes a permanent part of the organizational culture. In this case, it would involve the staff at the New Zealand office accepting Maria's leadership and adjusting to their new roles and responsibilities.

3) Evaluating the importance of a change agent in this case highlights their critical role in managing and guiding the organization through the transition process. A change agent can help alleviate fears, address concerns, and communicate the need for change effectively.

They can also provide support and guidance to the staff during the change process, ensuring a smoother transition and better acceptance of the new leadership. The staff was accustomed to Zack's leadership style and knew what to expect, making them apprehensive about the change in leadership.

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What changes in the global industry structure and competitive dynamics allowed challengers from australia and other new world countries to take market share from france and other traditional producers in the late twentieth century

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The changes in the global industry structure and competitive dynamics allowed are:-

1.Technological advances

2.Changes in consumer preferences

3.Marketing and branding

4.Free trade agreements

5.Shifts in supply and demand

The late twentieth century saw significant changes in the global industry structure and competitive dynamics, which allowed challengers from Australia and other new world countries to take market share from France and other traditional wine producers. Some of the key factors that contributed to this shift include:

Technological advances: Advances in technology such as irrigation, mechanization, and better pest management techniques allowed new world producers to improve their yields and quality of wine, making them more competitive in the global market.

Changes in consumer preferences: Consumers began to shift their preferences towards more fruit-forward, less tannic wines, which favored new world wine producers who often specialize in producing these types of wines.

Marketing and branding: New world wine producers invested heavily in marketing and branding their wines, leveraging their unique stories and terroir to differentiate themselves from traditional producers and appeal to consumers looking for something new and different.

Free trade agreements: The removal of trade barriers between countries enabled new world producers to access new markets and compete more effectively with traditional producers.

Shifts in supply and demand: The demand for wine grew significantly in the late twentieth century, and new world producers were able to capitalize on this growth by increasing their production and offering a wider range of wines to consumers.

Overall, these changes in the industry structure and competitive dynamics created a more level playing field for new world wine producers, enabling them to compete more effectively with traditional producers and take market share from them.

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The marketing team at p&g company is developing an advertising campaign to promote their specialty products. they are considering the usage of television (tv) and social media (sm) as the advertising media for their proposed campaign. the cost of making one tv ad is $1200 and the cost of making one sm ad is $600. p&g's advertising budget has been set at $30,000. the tv exposure rate is 600,000 per ad and sm exposure rate is 200,000 per ad. the following additional guidelines are to be considered.
• do not use more than 25 social media ads.
• use at least 35 combined tv and social media ads.
• ensure a minimum of 5000 exposures through social media exposures
• the number of social media ads cannot be less than the number of tv ads.
the management at p&g would like to know how many tv and how many sm ads should be used to maximize the overall exposure rates of the advertising campaign.

Answers

P&G should use 18 TV ads and 18 social media ads to maximize their overall exposure rate while meeting cost, minimum combined ads, and minimum social media exposure constraints, and ensuring that the number of social media ads is not less than the number of TV ads.

To solve this problem, we need to use linear programming to find the optimal combination of TV and social media ads that will maximize the overall exposure rate while satisfying the given constraints. Let x be the number of TV ads and y be the number of social media ads.

Our objective is to maximize the overall exposure rate Z = 600,000x + 200,000y.

Subject to the following constraints

Cost constraint: 1200x + 600y ≤ 30,000

Minimum combined ads constraint: x + y ≥ 35

Minimum social media exposures constraint: 200,000y ≥ 5,000

Social media ads cannot be less than TV ads: y ≥ x

Now we can set up the linear programming problem

Maximize: Z = 600,000x + 200,000y

Subject to

1200x + 600y ≤ 30,000

x + y ≥ 35

200,000y ≥ 5,000

y ≥ x

Using a linear programming solver, we find that the optimal solution is x = 17.5 and y = 17.5. Since we cannot have half an ad, we round up to x = 18 and y = 18.

Therefore, P&G should use 18 TV ads and 18 social media ads to maximize the overall exposure rate while satisfying all the given constraints.

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What characteristics of savings accounts make them especially good for students?​

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Savings accounts can act as a great financial aid for students since they have attributes that prove especially helpful to scholars who are still studying:

Benefits of savings account to students

No/minimal threshold balance requirements: The majority of savings accounts have no/low balance needs.

No or low monthly maintenance fees: many savings accounts have no or low monthly maintenance fees..

Interest earnings: Savings accounts typically offer interest on the money deposited,

Safety and security: Savings account are considered to be safe and hence helpful for students

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how did information technology change the game of baseball? how did information technology affect decision making at mbl teams?what kinds ofdecisions changed as a result of using big data? how much should baseball rely on big data and analytics? explain your answer

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Information technology has had a significant impact on the game of baseball in recent years. The use of technology has allowed teams to collect and analyze large amounts of data on players, which has changed the way teams make decisions about player evaluation, strategy, and game management.

One of the most significant changes brought about by information technology has been the increased use of advanced statistical analysis, often referred to as "sabermetrics," in baseball decision-making. Teams now use data analytics to evaluate player performance and predict future performance. This has led to a greater emphasis on player skills that were previously undervalued, such as on-base percentage and defensive value, and has led to a reevaluation of traditional strategies such as sacrifice bunts and stolen bases.

Information technology has also allowed for improved decision-making during games. Teams use real-time data to make strategic decisions such as pitching changes, defensive shifts, and lineup adjustments.

The increased reliance on big data and analytics has led to questions about how much baseball should rely on this approach. Some argue that the use of big data and analytics has led to a devaluation of the "human element" of the game, such as intuition and experience, and that too much reliance on data could lead to a homogenization of the game. Others argue that the use of data is essential to making informed decisions and staying competitive in a rapidly changing landscape.

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Unemployment that results because the number of jobs available in some labor markets may be insufficient to give a job to everyone who wants one is called:.

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Unemployment that results because the number of jobs available in some labor markets may be insufficient to give a job to everyone who wants one is called structural unemployment.

This type of unemployment occurs due to a mismatch between the skills and qualifications of the available workforce and the job requirements of the available positions.For example, as technology advances, some jobs become obsolete while new jobs emerge that require different skills and qualifications.

Workers who lack the necessary skills and qualifications for the new jobs may find themselves unemployed, creating a structural mismatch between the available jobs and the available workforce.Structural unemployment can also arise due to geographic factors, such as when there are more job opportunities in one region than another. In this case, workers who are unable or unwilling to relocate may be unable to find employment in their local area.

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You just completed your first week as a sales rep at Acme Vacation Rentals, a firm specializing in finding vacation rental homes for high-income clients. You enjoy the work very much but are surprised at the lack of client-related information available to support the sales reps who are left on their own in terms of collecting and storing useful data about their clients. The company is also lacking a marketing program focused on contacting current and potential clients. Again, each sales rep is left to do his or her own thing. As you are leaving Friday afternoon, your manager calls you into her office and asks how your first week went. After spending a few minutes recapping your week, you wonder if you should suggest that the firm investigate implementing a CRM system and, if so, how to proceed

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After I believe that implementing a CRM system would help the business better manage customer relationships by organizing and tracking client data.

As a new sales representative at Acme Vacation Rentals, you are dismayed by the dearth of client specific data and marketing initiatives offered to assist the sales team. It's critical to investigate and comprehend the features and advantages of a CRM system and how they might help the business's sales and marketing initiatives.

One might draft a proposal outlining the benefits of a CRM system  such as boosting sales productivity, enhancing customer retention and streamlining interactions between sales representatives and customers.  

One might suggest calling a team meeting to go over the potential implementation and get feedback from managers and other sales representatives. It's crucial to approach the subject with a well-thought-out plan and an understanding of how a CRM system can benefit the business.

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The Toyota Production System (TPS) is an integrated socio-technical system, developed by Toyota, which comprises its management philosophy and practices. The TPS organizes manufacturing and logistics for the automobile manufacturer, including interaction with suppliers and customers. The system is a major precursor of the more generic "Lean Manufacturing". Originally called "just-in-time production", it builds on the approach created by the founder of Toyota.
Using this concept of Lean Thinking and JIT you should answer the following questions by taking any Saudi Manufacturing company.
Discuss major types of Waste, companies must keep in mind during production

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Lean manufacturing refers to a collection of principles, methods, and tools that help organizations eliminate waste and increase efficiency. These principles apply to all businesses, regardless of their size or industry. The following are the seven types of waste that Saudi Manufacturing companies must keep in mind during production:

Overproduction: This is a type of waste that occurs when a company produces more than it needs or produces too soon before demand arises. This can lead to a buildup of inventory and cash flow issues.Waiting: This occurs when workers or machines are idle for any length of time, resulting in a loss of efficiency.Transportation: This type of waste is linked to unnecessary movement of goods or products. This can occur when products are moved from one location to another without adding value to them.Processing: This type of waste occurs when a company uses more resources than necessary to produce a product. This can occur when a product is manufactured with features that customers do not need, resulting in increased costs and reduced efficiency.Inventory: This type of waste is linked to excess inventory. This can be costly and inefficient, leading to reduced cash flow.Motion: This refers to any unnecessary movement of people or equipment. This can lead to unnecessary work, wasted energy, and reduced efficiency.Defects: This type of waste occurs when a company produces products that are defective or not up to standard. This can result in lost productivity, wasted materials, and reduced customer satisfaction.

Saudi Manufacturing companies must keep in mind these types of waste during production. They should aim to eliminate or minimize them to increase efficiency and productivity.

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sales revenue is forecasted to grow by 8% next year, forecasted net income is expected to be $35,000, and all current assets and current liabilities vary proportionally with sales. if $40,000 worth of net noncurrent assets are required to be purchased next year, what is the external financing needed? assume that the company does not pay dividends, and that all noncurrent liabilities and equity (except retained earnings) will be the same level as the current year.

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Sales revenue is forecasted to grow by 8% next year, which means that the company's operations are expected to expand. Along with this growth, current assets and current liabilities will also vary proportionally with sales, indicating that the company's working capital needs will increase in line with the revenue growth.

Forecasted net income for the next year is expected to be $35,000. Since the company does not pay dividends, this entire amount will be added to retained earnings, contributing to the company's internal financing capacity.In addition to the growth in working capital, the company will require $40,000 worth of net noncurrent assets to be purchased next year. This capital expenditure is necessary for the company to maintain its operations and support the anticipated growth in sales revenue.

To calculate the external financing needed, we need to consider the company's internal financing capacity (retained earnings) and the additional investments required (net noncurrent assets and the increase in working capital). The formula to calculate the external financing needed is:

External Financing Needed = (Net Noncurrent Assets + Increase in Working Capital) - Retained Earnings
Since all noncurrent liabilities and equity (except retained earnings) will remain at the same level as the current year, the only change in the company's financing structure is the increase in retained earnings.

By applying this formula, you can determine the amount of external financing needed for the company to support its growth and achieve its financial objectives for the next year.

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Select all the correct answers.



Which two factors must Roger consider when calculating the taxable equivalent yield for a municipal bond?



~The bond has a tax-free yield of 5%.


~Roger’s investment income increases an average of 7% each year.


~Roger has realized long-term capital gains that qualify for a tax rate of 0%.


~Roger owns stock that pays a 4% dividend.


~Roger is in the 24% tax bracket.


~Roger was in the 22% tax bracket last year

Answers

Based on the given information, we can select the following correct answers:
1. Roger has realized long-term capital gains that qualify for a tax rate of 0%: This answer is correct as long-term capital gains tax rates are based on the taxpayer's income tax bracket. If Roger's income falls within the 10% or 12% income tax bracket, then the long-term capital gains tax rate is 0%.
2. Roger was in the 22% tax bracket last year: This answer is also correct as it is a piece of information provided in the question.
3. Roger is in the 24% tax bracket: This answer is not correct as there is no information provided that confirms Roger's current income tax bracket.

In summary, Roger has realized long-term capital gains that qualify for a tax rate of 0%, and he was in the 22% tax bracket last year. However, we cannot confirm whether Roger is currently in the 24% tax bracket as there is no information provided regarding his current income.

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use the following table to determine the levels of m1 and m2 in the united states. money categories in the united states assetamount (billions of dollars)currency$82demand deposits80money market funds44other checkable deposits37savings deposits460small time deposits22traveler's checks4 instructions: enter your answers as a whole number. a. calculate the m1 money supply. $ billion b. calculate the m2 money supply. $ billion

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(a). The M1 money supply in the United States is $199 billion.

(b). The M2 money supply in the United States is $725 billion.

What is the money supply?

(a). The M1 money supply includes currency, demand deposits, and other checkable deposits. We can add up the amounts for these categories to get the M1 money supply:

M1 = Currency + Demand deposits + Other checkable deposits

M1 = $82 billion + $80 billion + $37 billion

M1 = $199 billion

Therefore, the M1 money supply in the United States is $199 billion.

(b). The M2 money supply includes M1 plus savings deposits, small time deposits, and money market funds. We can add up the amounts for these categories to get the M2 money supply:

M2 = M1 + Savings deposits + Small time deposits + Money market funds

M2 = $199 billion + $460 billion + $22 billion + $44 billion

M2 = $725 billion

Therefore, the M2 money supply in the United States is $725 billion.

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In addition to brazil, russia, india, and china, identify three other emerging markets that make sense for international business growth. why?

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In addition to Brazil, Russia, India, and China, the three other emerging markets that make sense for international business growth are Mexico, Indonesia, and Turkey.

Mexico has a large and growing population, a strategic location near the United States, and a diverse economy with strengths in manufacturing, energy, and agriculture. It also has a stable political climate and a growing middle class, making it an attractive market for consumer goods and services.

Indonesia is the fourth most populous country in the world, with a rapidly expanding middle class and a diverse economy driven by manufacturing, agriculture, and natural resources. It is also a member of the G20 and has made significant progress in reducing poverty and improving infrastructure.

Turkey is strategically located at the crossroads of Europe and Asia, with a young and growing population and a rapidly developing economy. It has strengths in manufacturing, tourism, and energy, and has made significant progress in improving its infrastructure and business environment.

Overall, these emerging markets offer significant opportunities for international business growth, with large and growing populations, diverse economies, and improving infrastructure and business environments.

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which of the following is true about general knowledge? it is both excludable and rival in consumption. it is neither excludable nor rival in consumption. it is excludable and not rival in consumption. it is not excludable but rival in consumption.

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The statement " it is not excludable but rival in consumption." is true about general knowledge. So the option D is correct.

General knowledge is information that is widely known and accepted. It is not excludable because it is freely accessible to anyone who is interested in learning, and it is not rival in consumption because it can be used by multiple people at the same time without diminishing its value or utility.

General knowledge is often acquired through everyday experiences, conversations, reading, and media consumption, and it includes facts and information about history, geography, science, the arts, and other topics. So the option D is correct.

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The complete question is:

Which of the following is true about general knowledge?

A. it is both excludable and rival in consumption.

B. it is neither excludable nor rival in consumption.

C. it is excludable and not rival in consumption.

D. it is not excludable but rival in consumption.

Atlantis REIT expects an income of $8. 00 per share. This includes a deduction of $2. 00 per share for depreciation. Atlantis did not have any gains from the sale of real estate. Its properties are mainly apartments, and you believe that apartments are currently selling on average at about an 8 per cent cap rate. Atlantis has 1 million shares outstanding and its balance sheet shows liabilities of $40 million. Comparable REITs have FFO multiples of about 10. Atlantis is expected to pay a dividend during the next fiscal year of $6. 00 per share and to increase those dividends at about 2 per cent per year in the future. Investors in REITs like Atlantis usually expect a return of about 12 per cent. A. What is the FFO and value per share based on an FFO multiple? b. What value per share is indicated using a dividend discount model? c. What is the value per share implied by the net asset value of the properties?

Answers

The FFO for Atlantis REIT is $8 per share, with a value per share of $100 based on a FFO multiple of 10. The dividend discount model indicates a value per share of $160. The value per share implied by the net asset value of properties is $85. Therefore, the REIT's value per share varies depending on the valuation method used.

The FFO per share can be calculated as follows

FFO = net income + depreciation - gains from sales of real estate

FFO = $8.00 + $2.00 - $0 = $10.00 per share

Using the FFO multiple of 10, the value per share would be

Value per share = FFO per share x FFO multiple

Value per share = $10.00 x 10 = $100.00

The value per share indicated using a dividend discount model can be calculated as follows

Value per share = (next year's dividend / (discount rate - dividend growth rate)) + estimated share price

Discount rate = 12%

Dividend growth rate = 2%

Value per share = ($6.00 / (0.12 - 0.02)) + $100.00

Value per share = $6.00 / 0.10 + $100.00

Value per share = $60.00 + $100.00

Value per share = $160.00

The net asset value (NAV) per share can be calculated as follows:

NAV per share = (total assets - total liabilities) / shares outstanding

Total assets = (FFO / cap rate) + total liabilities

Cap rate = 8%

Total assets = ($10.00 / 0.08) + $40 million

Total assets = $125 million

NAV per share = ($125 million - $40 million) / 1 million shares

NAV per share = $85.00

Therefore, the value per share implied by the net asset value of the properties is $85.00.

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How can computer mediated communication be used to maintain relationships?Explain in 100 words

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Computer mediated communication can be used to maintain relationships by providing a platform for people to stay connected and communicate with each other regardless of their physical location.

With the help of various digital tools such as messaging apps, social media platforms, video conferencing software, and email, individuals can easily stay in touch with their friends, family, and acquaintances. These tools allow people to exchange messages, share pictures, videos, and other multimedia content, and have real-time conversations, even if they are miles apart.

Moreover, computer-mediated communication can also provide a way for individuals to engage in collaborative activities with others, such as playing online games or working on joint projects. This can help people feel more connected to each other and maintain their relationship over time, despite being physically distant. In conclusion, computer-mediated communication has made it easier than ever for individuals to maintain their relationships, regardless of their location or distance.

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Playstations and playstation games are complementary goods. a technological advance in the production of playstations will

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Playstations and playstation games are complementary goods. a technological advance in the production of playstations will likely lead to an increase in the demand for Playstation games.

This is because the increased production of Playstations will likely result in lower prices for the consoles, making them more affordable and accessible to more people. As a result, more people will be able to purchase Playstations, and this will increase the size of the market for Playstation games.

Additionally, a technological advance in the production of Playstations may also lead to improvements in the quality and features of the consoles, making them more attractive to consumers. This could also lead to an increase in demand for Playstation games, as consumers may be more willing to purchase and play games on a high-quality console.

Overall, the complementary relationship between Playstations and Playstation games means that any technological advance in the production of Playstations is likely to have a positive impact on the demand for Playstation games.

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