If the economy is in equilibrium and the real estate market collapses, what will likely happen?

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Answer 1

If the real estate market crashes when the economy is in equilibrium, it can result in a decline in economic activity and a rise in unemployment.

This is so because the real estate industry is so important to the economy and because its collapse might have a knock-on impact on other sectors of the economy. For instance, the collapse may result in employment losses for mortgage lenders, real estate brokers, and construction employees.

Consumer spending may also decline as a result of the decline in economic activity, which might hurt the economy even more. In rare circumstances, the real estate market collapse may trigger a recession or depression.  

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Related Questions

How much do you need to make to afford a million dollar home?.

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The amount of income needed to afford a million-dollar home can vary based on a number of factors, including location, down payment amount, interest rates, and property taxes.

Generally, a good rule of thumb is that your total monthly housing payment should not exceed 28% of your gross monthly income. So, if you want to afford a million-dollar home, you would need to earn at least $357,142 per year, assuming a 20% down payment, 4% interest rate, and property taxes of 1.2%.

However, this is just a general guideline, and you should also consider other expenses such as utilities, maintenance costs, and homeowners insurance. It's important to also keep in mind that lenders typically look at more than just your income when determining your mortgage eligibility, including credit score and debt-to-income ratio. So, it's always a good idea to speak with a financial advisor or mortgage lender to determine your specific affordability.

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An increase in the quantity supplied can result from an increase in price. an increase in price. decreased demand. decreased demand. an increase in supply.

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An increase in the quantity supplied can result from an increase in price.

When the price of a product increases, suppliers are more willing to produce and supply a higher quantity of the product to the market, since they can potentially earn more profit. On the other hand, decreased demand and decreased demand are not directly responsible for an increase in the quantity supplied.

An increase in the quantity supplied refers to a movement along the supply curve, caused by a change in price. As the price of a good or service increases, suppliers are willing to produce and offer more of it in the market to take advantage of the higher profits. This results in an increase in the quantity supplied.

On the other hand, a decrease in demand refers to a shift in the demand curve caused by factors such as changes in consumer tastes, preferences, and income. When demand for a good or service decreases, the suppliers are less willing to produce and offer it, and this leads to a decrease in the quantity supplied.

An increase in supply refers to a shift in the supply curve caused by factors such as technological advances, changes in input prices, and changes in the number of suppliers.

When the supply curve shifts to the right, suppliers are willing to produce and offer more of the good or service at each price level, which leads to an increase in the quantity supplied.

An increase in the quantity supplied is caused by an increase in price or an increase in supply, while a decrease in demand leads to a decrease in the quantity supplied.

However, an increase in supply can lead to an increase in the quantity supplied, as suppliers are able to produce more of the product at a given price level. In summary, an increase in price and an increase in supply can result in an increase in the quantity supplied.

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A(n) ____________ in the loan interest rate and a(n) _____________ in the loan duration will increase the monthly auto loan payment.

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A(n) increase in the loan interest rate and a(n) decrease in the loan duration will increase the monthly auto loan payment.

When the loan interest rate increases, it means the borrower will be charged a higher percentage of interest on the loan amount. This leads to an increase in the total interest paid over the loan term. With a higher interest rate, the monthly payment needs to cover not only the principal amount but also the increased interest charges, resulting in a larger monthly payment.

Similarly, when the loan duration is decreased, the borrower has a shorter timeframe to repay the loan. This means the principal amount needs to be paid off in a shorter period, resulting in higher monthly payments. The shorter loan duration compresses the repayment schedule, requiring the borrower to make larger monthly payments to meet the accelerated repayment timeline.

Therefore, an increase in the loan interest rate and a decrease in the loan duration will both contribute to an increase in the monthly auto loan payment, as borrowers will need to allocate more funds each month to cover the principal and the higher interest charges within a shorter timeframe.

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FOR JOURNALISM!!


Please post detailed answers to the following questions. Please use complete sentences.



There are many news organizations that cater to a specific audience or perspective. Give an example of one of these and explain the positive and negative consequences of this kind of specialized media

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An example of one of these can be Fox news. Fox News is a news organization with a conservative slant that presents news from a conservative viewpoint.

One benefit of specialized media like Fox News is that it can cater to the preferences and interests of a particular audience. Specialized media can present a distinct viewpoint that may not be featured in mainstream media. For instance conservative viewers might value the chance to read news articles with a conservative slant because it can make them feel more informed and involved.

Specialized media can also have unfavorable effects. It may result in an "echo chamber" where viewers only hear one viewpoint, which could reinforce preexisting biases and impede critical thinking. Specialized media outlets may also spread propaganda and false information which can exacerbate political polarization and undermine trust in more established news organizations.

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Paragon properties built a shopping center at a cost (including land) of $50m in year 2010. the company started leasing space in july of 2014. the land was purchased for $5m. determine the total depreciation charges through 2017 if the property was sold in november 2017. choose best answer

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The total depreciation charges through 2017 is option A. $3,945,957.

To determine the total depreciation charges for Paragon Properties' shopping center through 2017, we need to consider the following information:

1. The shopping center's cost, including land, was $50 million in 2010.
2. The land was purchased for $5 million.
3. Leasing space began in July 2014.
4. The property was sold in November 2017.

It can be explained as follows:
Step 1: Calculate the depreciable cost of the shopping center.
Depreciable Cost = Total Cost - Land Cost
Depreciable Cost = $50 million - $5 million = $45 million

Step 2: Determine the depreciation period.
Assuming the shopping center has a useful life of 39 years (which is common for commercial properties in the U.S.), the depreciation period started in July 2014 and ended in November 2017. This is a period of 3 years and 5 months (July 2014 to November 2017).

Step 3: Calculate the annual depreciation.
Annual Depreciation = Depreciable Cost / Useful Life
Annual Depreciation = $45 million / 39 years = $1,153,846 per year

Step 4: Calculate the total depreciation charges through 2017.
For the first year (July 2014 - June 2015), there are 12 months of depreciation.
For the second and third years (July 2015 - June 2017), there are 24 months of depreciation.
For the last year (July 2017 - November 2017), there are 5 months of depreciation.

Total Depreciation = (12 + 24 + 5) months / 12 months per year * Annual Depreciation
Total Depreciation = 41 months / 12 months per year * $1,153,846 per year
Total Depreciation = 3.42 years * $1,153,846 per year = $3,945,957

So, the total depreciation charges through 2017 for Paragon Properties' shopping center are approximately $3,945,957.

The options are A. $3,945,957 $3,848,400 C. $4,615,200 D. $3,563,100

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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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Course: Business Research MethodsWhat are the three types of budgets in organizations whereresearch is purchased, and cost containment is crucial? List anddescribe each one, including its advantage

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The advantage of this type of budget is that it offers cost control and provides a consistent framework for making investment decisions.

Flexible budget: The flexible budget fluctuates based on market conditions and other external factors that could impact research expenses. Its advantage is that it is adaptable to environmental conditions, allowing the organization to stay competitive and make quick adjustments to its research investment.Zero-based budget: In this type of budget, the organization starts from scratch, re-examining its expenses and investments for the fiscal year. The advantage of this type of budget is that it allows for a more thorough review of expenses, eliminating any unnecessary expenditures and allowing for better cost containment.

Business Research Methods is the systematic and objective process of gathering, recording, and analyzing data to provide insight into a business problem. It helps in making better decisions by collecting and analyzing data.

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what is the future value of $1,800 in 19 years at an apr of 7.1 percent compounded semiannually? (do not round intermediate calculations and round your answer to 2 decimal places

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The future value of $1,800 in 19 years at an APR of 7.1 percent compounded semiannually is $5,017.04.

When interest is compounded, it means that interest is earned not only on the initial principal, but also on the accumulated interest from previous periods. The interest earned in each period is added to the principal to form a new base on which interest is calculated in the next period.

We can use the formula for future value of a present sum with compound interest;

FV = PV × [tex](1+r/n)^{(nXt)}[/tex]

where PV is the present value, r is the annual percentage rate, n is the number of compounding periods per year, t is the number of years, and FV is the future value.

Substituting the given values, we get:

FV = 1800 × [tex](1+0.071/2)^{(2X19)}[/tex]

FV = 1800 × (1 + 0.0355)³⁸

FV = 1800 × 2.7878

FV = $5,017.04

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PLEASE HELP QUICKLY
Question 2 (2 points)
An individual who would like to become an entrepreneurial database administrator would most likely start a business by
(A) freelance writing for differenT companies
(B) creating a startup computer repair business
(C) offering database development and design services
(D) begin painting abstract art​

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Answer:

C. offering database development and design services

A 20 year bond has an annual effective yield rate of 6.00%. coupons are paid semi-annually at 5.75%. the bond is redeemed at par value of 10,000 at maturity. how much would the price increase if the yield rate changes to 6.25% convertible semi-annually

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The price of the bond would decrease by approximately $44.60 if the yield rate changes to 6.25% convertible semi-annually.

The bond has a face value of $10,000, and a yield rate of 6.00% per annum, paid semi-annually at 5.75%. This means that the bond pays a coupon of $287.50 every six months (5.75% of $10,000/2). We can use the formula for the present value of a bond to calculate its price:

Price = (C/((1 + r/n)^nt)) + (F/((1 + r/n)^nt))

where C is the coupon payment, r is the yield rate, n is the number of coupon payments per year, t is the number of years, and F is the face value.

Using this formula, we can calculate that the price of the bond is $10,358.99.

If the yield rate changes to 6.25%, we can calculate the new price of the bond using the same formula:

Price = (C/((1 + r/n)^nt)) + (F/((1 + r/n)^nt))

where r is now 6.25%. Plugging in the numbers, we get a new price of $10,314.39.

The price of the bond has therefore decreased by $44.60.

To elaborate further, when the yield rate increases, the present value of the bond decreases because the fixed coupon payments become less attractive compared to the new higher rates available in the market. In other words, if a new bond is issued with a higher yield rate, investors will demand a higher rate of return from the existing bond to compensate for the difference in yield.

When we calculate the new price of the bond using the higher yield rate of 6.25%, we can see that the price decreases by $44.60, which is a small decrease relative to the face value of $10,000. This suggests that the bond is relatively insensitive to changes in yield rates and is therefore less volatile than other bonds with longer maturities or lower coupon rates.

It is also worth noting that the bond is callable, meaning that the issuer has the right to redeem the bond before maturity. This feature may affect the price of the bond and should be taken into account when analyzing its risk and return profile.

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question content arealean manufacturing philosophy reduces all of the following except a.conversion costs b.setup time c.lead time d.inventory

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A real lean manufacturing philosophy reduces all of the following except conversion costs. The correct option is "A".

Lean manufacturing is a philosophy that seeks to minimize waste and maximize efficiency in production processes. It emphasizes the elimination of non-value-added activities and focuses on the continuous improvement of processes.

In the context of manufacturing, the goal of lean is to create a flow of products or services that is smooth, predictable, and reliable.One of the main principles of lean manufacturing is to reduce waste, which includes reducing setup time, lead time, and inventory. By reducing setup time, manufacturers can change over their production lines more quickly, allowing them to produce smaller batches and respond more quickly to customer demands.

The correct option is "A".

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Preferred qualifications/attributes: high school or equivalent, homecare experience 1 year, CNA, Driver’s License2. For each qualification/attribute listed, how would you assess the qualification/attribute?o How will you measure it? (be specific and as detailed as possible)o Why did you decide to measure it this way? (Include discussion of alternatives and why this measure is the optimal option.) In your discussion, remember to take into account some of the factors including the effectiveness of the method, organizational cost and impact, and the candidate experience.

Answers

To assess the preferred qualifications/attributes for the role, you can use high school or equivalent, homecare experience, CNA (Certified Nursing Assistant) certification, and driver's license.

To assess the preferred qualifications/attributes for the role, you can use the following methods:

1. High school or equivalent:
- Measure it by reviewing the candidate's resume or application form to check if they have completed high school or have an equivalent diploma, like a GED.
- This method is chosen as it is a straightforward way to verify educational background, ensuring the candidate meets the minimum educational requirement for the role.

2. Homecare experience (1 year):
- Measure it by asking the candidate to provide a detailed work history, including dates and responsibilities, during the interview or on their resume.
- This method allows you to confirm their relevant experience and gauge their familiarity with homecare tasks, ensuring they have the necessary skills for the job.

3. CNA (Certified Nursing Assistant) certification:
- Measure it by requesting a copy of the candidate's CNA certification, which can be verified through the issuing organization if needed.
- This method ensures the candidate has completed the required training and is certified to perform their role as a nursing assistant, ensuring their competence in the field.

4. Driver's License:
- Measure it by asking the candidate to provide a copy of their valid driver's license or mention their license number in their application.
- This method is chosen as it verifies the candidate's ability to drive, which may be essential for transportation or running errands as part of their duties.

These can be used to assess the preferred qualifications/attributes for the role. These assessment methods are considered optimal due to their effectiveness in verifying the candidate's qualifications, the minimal organizational cost and impact, and a positive candidate experience during the application process.

Alternative methods, such as skill assessments or written exams, may be more time-consuming and costly, while not necessarily providing the same level of insight into the candidate's qualifications for the role.

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You run a perpetual encabulator machine, which generates revenues averaging $20 million per year. Raw material costs are 50% of revenues. These costs are variable−they are always proportional to revenues. There are no other operating costs. The cost of capital is 9%. Your firm’s long-term borrowing rate is 6%. Now you are approached by Studebaker Capital Corp. , which proposes a fixed price contract to supply raw material at $10 million per year for 10 years. A. What happens to the operating leverage and business risk of the encabulator machine if you agree to this fixed-price contract?B. Calculate the present value of the encabulator machine with and without the fixed price contract

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Agreeing to the fixed-price contract reduces operating leverage and business risk, but eliminates profitability. The present value of the machine with the contract is zero.

A. If you agree to the fixed-price contract, your operating leverage will decrease, and your business risk will also decrease. Operating leverage refers to the ratio of fixed costs to variable costs in a company's operations. By agreeing to a fixed-price contract, you are reducing the variable cost component of your business. This reduction in variable costs will result in a decrease in the operating leverage of your company, as the proportion of fixed costs in the company's operations will increase. This shift towards fixed costs will lead to a decrease in the overall business risk of the company, as the company's profitability will be less sensitive to changes in revenues.

B. The present value of the perpetual encapsulator machine can be calculated using the discounted cash flow (DCF) method. Without the fixed-price contract, the annual revenues of the company are $20 million, and the variable cost component is 50% of the revenues, which is $10 million. Thus, the annual cash flow generated by the machine is $10 million. Using a discount rate of 9%, the present value of the machine is:

PV = $10 million / 0.09 = $111.11 million

With the fixed-price contract, the company's raw material costs are fixed at $10 million per year, and the annual cash flow generated by the machine is $10 million (revenues) - $10 million (fixed costs) = $0 million. In other words, the company is generating zero cash flows from operations. Using a discount rate of 6%, the present value of the machine is:

PV = $0 million / 0.06 = $0

As you can see, the fixed-price contract reduces the present value of the machine to zero. This is because the fixed-price contract eliminates the variable cash flows generated by the machine, and the company is left with only fixed costs. Therefore, the fixed-price contract is not a financially viable option for the company, as it eliminates the profitability of the machine.

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A company is considering the purchase of new equipment for $84,000. The projected annual net cash flows are $33,300. The machine has a useful life of 3 years and no salvage value. Management of the company requires a 9% return on investment. The present value of an annuity of $1 for various periods follows: PeriodPresent value of an annuity of $1 at 9. 917421. 759132. 5313 What is the net present value of this machine assuming all cash flows occur at year-end

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Since the NPV is negative, it means that the investment in the new equipment is not worth it as the cost of the investment exceeds the present value of the expected cash flows. The company should consider other options or reassess their projections before making a decision on purchasing the equipment.

To calculate the net present value (NPV) of this machine, we need to discount the projected annual net cash flows back to their present value using the present value of an annuity of $1 for each year.

First, we need to calculate the total discounted cash flows for each year:

Year 1: $33,300 / 0.9174 = $36,288.47
Year 2: $33,300 / 1.7591 = $18,917.31
Year 3: $33,300 / 2.5313 = $13,157.62

Next, we need to calculate the total discounted cash flows over the 3-year period:

Total discounted cash flows = $36,288.47 + $18,917.31 + $13,157.62 = $68,363.40

Now, we can calculate the net present value by subtracting the initial cost of the machine from the total discounted cash flows:

NPV = $68,363.40 - $84,000 = -$15,636.60

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true or false? group purchasing organizations (gpos) have been found to save healthcare organizations a significant amount on supplies, which account for almost 30% of their total healthcare budget.

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True. Group purchasing organizations (GPOs) have been found to save healthcare organizations a significant amount on supplies, which account for almost 30% of their total healthcare budget. GPOs negotiate contracts with suppliers on behalf of their member healthcare organizations, leveraging the combined purchasing power of these organizations to secure lower prices and better terms.

By aggregating demand and negotiating prices, GPOs can achieve cost savings of up to 10-20% on supplies.
In addition to cost savings, GPOs provide other benefits to their members, including access to a wider range of suppliers, streamlined procurement processes, and improved supply chain management. GPOs can also help healthcare organizations meet regulatory requirements, such as those related to healthcare disparities and environmental sustainability.
Despite these benefits, GPOs have faced criticism from some quarters, particularly around concerns about transparency and conflicts of interest. Critics argue that GPOs may not always act in the best interests of their member organizations, and may prioritize the interests of their supplier partners instead. However, many GPOs have implemented measures to address these concerns, such as disclosing their financial relationships with suppliers and implementing strict ethical guidelines.
Overall, while there are valid concerns about the role of GPOs in the healthcare supply chain, there is evidence to suggest that they can play an important role in helping healthcare organizations save money and improve their supply chain management.

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Kabuz is working in a factory, the standard time fixed by the company for the employees is 9 hours and the rate per hour is 2 RO. Khalid worked for 7 hours. What is his total earnings as per Bedeaux plan
a. 17.0
b. 13.0
c. 19.75
d. 17.5

Answers

Kabuz is working in a factory, the standard time fixed by the company for the employees is 9 hours and the rate per hour is 2 RO. Khalid worked for 7 hours. The total earnings as per Bedeaux plan is d. 17.5

As per Bedeaux's plan, Khalid worked for seven hours, and the standard time for the employees is nine hours, so Khalid worked for two hours less than the standard time, according to the Bedeaux plan. As a result, the bonus rate would be 20 percent of his hourly earnings. Bedeaux plan:If the workers work for less than the standard time, the bonus rate will be added to their hourly earnings.

The formula for calculating the workers' earnings according to the Bedeaux plan is as follows: Earnings = (hourly rate x hours worked) + (bonus rate x hourly rate x (standard time - hours worked))

Therefore, Khalid's earnings for seven hours of work are: Earnings = (hourly rate x hours worked) + (bonus rate x hourly rate x (standard time - hours worked))

Earnings = (2 x 7) + (0.2 x 2 x (9 - 7))Earnings = 14 + (0.4)Earnings = 14.4 RO.

Hence, Khalid's total earnings as per Bedeaux's plan are 14.4 RO, which is option D (17.5) in decimal notation.

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K. canopy, the proprietor of canopy services, withdrew $5,900 from the business during the current year. the entry to close the withdrawals account at the end of the year is:

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Assuming that the withdrawals account is a temporary capital account that needs to be closed at the end of the year, the entry to close the withdrawals account would be:

Debit: Withdrawals account for $5,900

Credit: K. Canopy, Capital account for $5,900

This entry effectively transfers the balance of the withdrawals account to the capital account of the owner, K. Canopy.

This reflects the fact that the withdrawals account represents the owner's draws or personal use of business funds, which are not considered expenses of the business. By closing the withdrawals account, the business's financial statements will reflect the true profit or loss of the business for the year.

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suppose the chester company shifts focus to only competing in the thrift and nano segments, while competing on price by reducing costs and passing the savings to the customers, what strategy would they be implementing? select : 1 save answer broad differentiation broad cost leader niche differentiation niche cost leader\

Answers

The strategy that the Chester Company would be implementing if it shifts focus to only competing in the thrift is called niche cost leadership. Correct option is D.

Niche cost leadership involves targeting a narrow market segment with a lower cost structure than competitors. This allows the company to offer products or services at lower prices while maintaining a competitive advantage in the market.

By reducing costs and passing the savings on to customers, the Chester Company would be able to attract price-sensitive consumers in the thrift and nano segments.

This strategy is different from broad cost leadership, which involves targeting a larger market with a lower cost structure than competitors.

Niche cost leadership allows a company to focus on a specific market segment and provide a specialized product or service at a lower cost than competitors in that segment.

Overall, niche cost leadership is an effective strategy for companies that want to achieve a competitive advantage in a specific market segment while offering lower prices to price-sensitive customers.

Correct option is D.

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Complete question is:

suppose the chester company shifts focus to only competing in the thrift and nano segments, while competing on price by reducing costs and passing the savings to the customers, what strategy would they be implementing?

a) broad differentiation

b) broad cost leader

c) niche differentiation

d) niche cost leader

Theory Enterprises uses a standard cost system and prepared the following budget for May when 24,000 machine hours of activity were anticipated: variable overhead, $48,000; fixed overhead: $240,000. Actual data for May were: Standard machine hours allowed for output attained: 25,000 Actual machine hours worked: 24,000 Variable overhead incurred: $50,000 Fixed overhead incurred: $250,000 The fixed-overhead budget and volume variances for Theory are: Fixed-Overhead Budget Variance Fixed-Overhead Volume Variance A. $ 0 $ 10,000 negative B. $ 10,000 favorable $ 0 C. $ 10,000 favorable $ 10,000 positive D. $ 10,000 unfavorable $ 0 E. $ 10,000 unfavorable $ 10,000 negative\

Answers

The answer is option B. $10,000 favorable for the fixed-overhead budget variance and $0 for the fixed-overhead volume variance.

To calculate the fixed-overhead budget and volume variances, we need to first calculate the standard fixed overhead cost per machine hour.

Fixed overhead rate per machine hour = Fixed overhead budgeted / Machine hours budgeted

= $240,000 / 24,000 machine hours

= $10 per machine hour

Now, we can calculate the fixed-overhead budget variance:

Fixed-overhead budget variance = Actual fixed overhead cost incurred - Budgeted fixed overhead cost

= $250,000 - ($10 x 24,000)

= $250,000 - $240,000

= $10,000 unfavorable

Next, we can calculate the fixed-overhead volume variance:

Fixed-overhead volume variance = Fixed overhead rate per machine hour x (Standard hours allowed for output attained - Machine hours budgeted)

= $10 x (25,000 - 24,000)

= $10,000 favorable

Therefore, the answer is option B. $10,000 favorable for the fixed-overhead budget variance and $0 for the fixed-overhead volume variance.

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which of the following influences can affect spending decisions? a. a. Friends
b. advertising
c. your values
d. all of these can influence your spending decision 

Answers

Answer:

all of these can influence your spending decision

Write an answer for this question in not less than (200 words), by using this case (Sachsen LB, Germany 2007)1. write the collapse that happened in this case and the effect of the collapse on the overall economy on a regional or global scale?please provide me the link of the information you will get.

Answers

The collapse of Sachsen LB in Germany in 2007 had significant effects on the overall economy, both on a regional and global scale. Sachsen LB was a German public-sector bank that faced severe difficulties due to its exposure to the US subprime mortgage market.

The bank had invested heavily in mortgage-backed securities (MBS) and collateralized debt obligations (CDOs) that were linked to the US housing market, which collapsed in 2007. The immediate effect of the Sachsen LB collapse was a loss of confidence in the German banking sector. Investors and depositors became concerned about the stability of other banks with similar investments, leading to a tightening of credit conditions and a reduction in lending activities.

This, in turn, contributed to an economic slowdown in Germany and the wider Eurozone, as businesses and consumers faced challenges in accessing credit. On a global scale, the collapse of Sachsen LB was one of the early indicators of the impending financial crisis that would become known as the Global Financial Crisis (GFC) of 2008. The failure of Sachsen LB, along with similar failures of other financial institutions worldwide, highlighted the systemic risks in the global financial system, and the interconnectedness of markets and institutions.


To summarize, the collapse of Sachsen LB in 2007 had far-reaching effects on the overall economy. It contributed to a loss of confidence in the banking sector in Germany and the Eurozone, leading to an economic slowdown. Furthermore, it served as a harbinger of the Global Financial Crisis that followed in 2008, impacting economies on a global scale.

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Sam and barbara negotiate for the sale of 100 acres of land. they orally agree on a price of $100,000, one half in cash at closing and the other half 90 days after closing. barbara conscientiously sends a follow-up letter to sam in which all the terms are included which she signs. sam never responds. when the closing date arrives, sam refuses to transfer the title to the property. barbara sues. this contract is:

Answers

Enforceable by Barbara, because she sent a letter sufficient against herself, which binds Sam unless Sam objects, which he did not. Sam and Barbara negotiate for the sale of 100 acres of land.

Enforcement is often accomplished through coercive means or by utilizing power disparities to constrain action. Some scholars, such as Kate Andrias, have also argued that institutions enforce rules when deciding "when and how to apply" laws and regulations.

Despite the fact that Sam never replied to the letter, the agreement might be understood as being accepted by him because he didn't raise any objections or reply to its requirements. Barbara can thus enforce the contract. The written agreement was formed after the oral agreement and helps to clarify its provisions, thus the parole evidence rule does not apply in this case.

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which of the following is true concerning the materials price variance? group of answer choices none of these. it is the difference between the actual and standard unit price of an input multiplied by the number of inputs used. it is the difference between the actual and standard unit price of an output multiplied by the number of inputs purchased. it is the difference between the actual and standard unit price of an output multiplied by the number of inputs used. it is the difference between the actual and standard unit price of an input multiplied by the number of inputs purchased.

Answers

The true statement concerning the materials price variance is that it is the difference between the actual and standard unit price of an input multiplied by the number of inputs used.

This means that the variance is calculated based on the actual quantity of materials used in production, rather than the quantity of materials purchased. Option C


For example, if a company uses 100 units of raw materials to produce 1,000 units of output and the actual price paid for the raw materials is $5 per unit, while the standard price is $4 per unit, the materials price variance would be calculated as follows:
Materials price variance = (actual price - standard price) x actual quantity
Materials price variance = ($5 - $4) x 100
Materials price variance = $100 (unfavorable)
In this case, the unfavorable variance of $100 indicates that the company paid more than it should have for the raw materials used in production.
In conclusion, the materials price variance is an important tool used by managers to evaluate the efficiency of their purchasing and production processes.

By monitoring this variance, managers can identify areas where costs can be reduced and efficiency can be improved. Option C

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stine company purchased machinery with a list price of $96,000. the company was given a 10% discount by the manufacturer. they paid $600 for shipping and sales tax of $4,500. stine estimates that the machinery will have a useful life of 10 years and a residual value of $30,000. if stine uses straight-line depreciation, annual depreciation will be question 1 options: $6,150. $6,108. $9,150. $5,640.

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The annual depreciation expense for the machinery is $6,150. Option A

To calculate the annual depreciation of the machinery purchased by Stine Company, we need to first determine the cost basis of the machinery.

The cost basis is the purchase price plus any additional costs associated with acquiring and placing the machinery into service.

In this case, the purchase price of the machinery is $96,000, but Stine received a 10% discount from the manufacturer, which reduces the purchase price to $86,400. Additionally, Stine paid $600 for shipping and $4,500 for sales tax, bringing the total cost basis to $91,500.
Next, we need to determine the depreciable basis, which is the cost basis of the machinery minus the estimated residual value.

The estimated residual value in this case is $30,000, so the depreciable basis is $61,500 ($91,500 - $30,000).
Using straight-line depreciation, we divide the depreciable basis by the useful life of the machinery to determine the annual depreciation expense.

In this case, the useful life is 10 years, so the annual depreciation expense is $6,150 ($61,500 ÷ 10 years). Option A
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A certain U. S. Government savings bond can be purchased for​ $7,500. This bond will be worth​ $10,000 when it matures in 5 years. As an​ alternative, a​ 60-month certificate of deposit​ (CD) can be purchased for​ $7,500 from a local​ bank, and the CD yields​ 6. 25% per year. Which is the better investment if your personal MARR is 5​% per​ year? Assume annual compounding for CD

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Savings bond, the present worth (PV) can be calculated using the formula:

PV = FV / (1 + i)^n

We can calculate the present worth of the savings bond as follows:

PV = $10,000 / (1 + 0.05) ^ 5

= $7,671.78

For the CD, we can use the formula for the future value (FV) of a lump sum investment with annual compounding:

Calculation of future value of the CD as follows:

FV = $7,500 × (1 + 0.0625) ^ 5

= $9,772.16

To calculate the present worth of the CD, we need to discount the future value back to the present value using the same formula as for the savings bond:

PV = $9,772.16 / (1 + 0.05) ^ 5

= $7,348.56

Comparing the two present worth values, we can see that the savings bond has a higher present worth, so it would be the better investment. Therefore, if your personal MARR is 5% per year, the U.S. Government savings bond would be the better investment compared to the 60-month CD offered by the local bank.

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sts, inc., needs a particular type of brick to line its kilns in order to safely achieve the high temperatures needed for the unusually strong steel it produces. the clay to make this brick is very rare, and only two brick plants in the united states make this type of brick. sts has decided to buy one of these brick plants. this is an example of: group of answer choices forward integration. virtual integration. backward integration. horizontal integration.

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This is an example of backward integration. Backward integration is a type of vertical integration strategy in which a company acquires a supplier or manufacturer to control the supply chain and ensure the availability of key inputs or resources.

In this case, STS, Inc. is acquiring one of the brick plants that make the rare type of brick needed to line its kilns. By owning the brick plant, STS, Inc. can ensure a steady supply of the rare brick, control the quality of the brick, and reduce the risk of supply chain disruptions. This type of backward integration is often used by companies to secure critical inputs or resources, reduce costs, and gain greater control over their supply chains.

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If Shelves Unlimited makes a batch of 250 book shelves, how much time will be required onthe Router?

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Without knowing the time taken by the router, it is not possible to provide a specific answer.

To determine the time required on the router for Shelves Unlimited to make a batch of 250 bookshelves, you will need the following information:

1. The time it takes for the router to work on one bookshelf.

Once you have this information, you can calculate the total time required for the router to work on the entire batch of 250 bookshelves.

Here's a step-by-step explanation:

Step 1: Obtain the time it takes for the router to work on one bookshelf.
Let's assume it takes 'x' minutes to complete one bookshelf.

Step 2: Multiply the time for one bookshelf by the total number of bookshelves in the batch.
Total time required = x minutes/bookshelf * 250 bookshelves

Without the exact time taken by the router to work on a single bookshelf, we cannot provide a specific answer. However, once you have that information, you can use the steps above to calculate the total time required for the router to work on a batch of 250 bookshelves.

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Exam Practice - Analysis of Path-goal theory case study
You are assigned by the Managing Director of Faxxcom, a mobile phone production company to look into the problems. You have talked to three managers. The first one is Bob, A department’s manager, and has a set of leadership challenges. Bob is a supportive leader as seen through his interactions with workers. He remembers his followers’ birthdays, takes them out for lunch, and praises their performance. However, this approach does not suit their task characteristics as outlined in the path-goal model. Often times, his workers are unsure what and how to do their work. They seem to have ambiguous targets to achieve and have to work under a lot of pressure. Their work environment transforms on a regular basis, so they require a supervisor who can explain the targets. Additionally, these workers feel insecure since they do not know how to cope with the changes which is shown in the way they complain to each other about their work. This scenario requires a directive leader who will provide structure and guide them in their daily tasks. Bob ought to get more involved in his subordinates’ tasks so as deal with this challenge.
The second manager is Arthur who is Department B’s manager, and he has different leadership challenges. His employees are dull and uninterested to work. They also know their tasks inside out. The path goal theory states that directive leadership is suitable to dogmatic subordinates who have unclear, complex and ambiguous tasks. However, B department’s workers are already confident about their ability to complete tasks. Additionally, they seem to have an internal locus of control. Therefore, the last thing they need is a directive leader, yet Arthur has selected the directive leadership style. His behaviour is incompatible with his employees and well as their work environment. Thus, Arthur needs to minimize his level of involvement in the workers’ work. He should behave more like Bob by dealing with his subordinates’ human needs. Arthur ought to work on his interpersonal relationship by relating to his subordinates. These workers need a human touch because they prefer affiliation and interpersonal relationship, which is the perfect scenario for supportive leadership.
Lastly, Carol, is a part-time assistant manager who comes to support the factory of Faxxcom during the peak production seasons for departments A & B, seems to have mastered her situation and her employees quite well. She is a participative leader in certain circumstances, a supportive leader at other times, and an achievement-oriented supervisor in certain circumstances. She knows when to solicit for ideas or when to support workers. Carol represents the ultimate path-goal leader; she works on employees’ personal needs while focusing on the ultimate goal in the enterprise. She also eliminates obstacles and clarifies path in the way that the matter has been described in the theory.
Questions
What are the leadership problems for departments A & B under Bob’s and Arthur? (explain it in detail)

Answers

The leadership problems for Department A under Bob's management are mainly due to his overly supportive leadership style. While he is good at building personal relationships with his employees, he fails to provide them with clear targets and guidance on how to perform their tasks.

What are the leadership problems for departments A & B

This leads to ambiguity and insecurity among the workers, who struggle to cope with the ever-changing work environment.

The employees in Department A require a more directive leader who can provide structure and guidance in their daily tasks to address these issues.

On the other hand, Department B under Arthur's management faces a different set of challenges. Arthur employs a directive leadership style, which is not suitable for his employees who already have a good understanding of their tasks and possess an internal locus of control.

This mismatch between Arthur's leadership style and his employees' needs results in the workers feeling uninterested and demotivated.

Department B would benefit from a more supportive leader like Bob, who can focus on the interpersonal relationships and human needs of the employees, creating a better work environment.

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The continuous cycle of improving job performance through defining performance, monitoring and evaluating performance, reviewing performance, and providing consequences is known as _____. multiple choice question.

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The continuous cycle of improving job performance through defining performance, monitoring and evaluating performance, reviewing performance, and providing consequences is known as the performance management cycle.

It is a strategic approach to managing employee performance that aligns organizational goals with individual objectives, and aims to improve employee productivity, engagement, and development.

The performance management cycle begins with setting performance expectations and goals that are specific, measurable, achievable, relevant, and time-bound.

Once performance expectations are defined, managers can monitor and evaluate employee performance using various methods such as self-assessments, peer evaluations, and supervisor ratings. This information is then used to review employee performance and provide feedback, coaching, and development opportunities.

Consequences are an integral part of the performance management cycle as they serve as a motivator for employees to achieve their goals and improve their performance.

Consequences can be positive or negative and may include rewards such as bonuses, promotions, and recognition or corrective actions such as training, coaching, and disciplinary measures.

Overall, the performance management cycle is a continuous process that helps organizations to improve employee performance, achieve their goals, and enhance organizational effectiveness.

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According to patrick dawson and andriopoulos (2017), the _____ factor refers to the past, present, and future in which an organization functions.

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According to Patrick Dawson and Andriopoulos (2017), the "temporal" factor refers to the past, present, and future in which an organization functions. Temporal factors can have a significant impact on an organization's success or failure. Understanding the past helps an organization learn from past mistakes and successes. Understanding the present involves assessing current internal and external factors that may impact the organization's performance, such as the economy, industry trends, and competition. Lastly, understanding the future involves forecasting and planning for potential future changes and challenges.

Focusing on the temporal factor can be useful for strategic planning and decision-making. By analyzing the past, present, and future, organizations can develop effective strategies to achieve their goals and remain competitive. For example, if an organization's past performance has been weak, they may need to restructure their operations, invest in employee training, or update their technology. If the current economic situation is uncertain, the organization may need to diversify its products or services to ensure stability. Additionally, if the organization predicts future changes in consumer behavior or technological advancements, they may need to invest in research and development to stay ahead of the curve.

Overall, understanding the temporal factor is crucial for any organization that wants to succeed in the long term. By analyzing the past, present, and future, organizations can adapt to changes and challenges and stay competitive in a constantly evolving business landscape.

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