which of the following would increase aggregate demand? group of answer choices a deficit in the government budget an increase in taxes an increase in government borrowing a surplus in the government budget a decrease in government spending previousnext

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Answer 1

The deficit in the government budget and an increase in taxes would increase aggregate demand.

A government budget is a document prepared by a government and/or other political body that outlines the expected tax revenues and proposed spending/expenditures for the next financial year. In most parliamentary systems, budgets are submitted to parliament and often require parliamentary approval.

A government budget is a document that presents the projected revenues and expenditures of a government agency for the financial year. Government budgets often require legal approval and are subject to political pressure from competing interest groups for resources.

A budget is a spending plan based on income and expenses. In other words, it is an estimate of how much money you can make over a period of time. B. Earn and spend for a month or a year.

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if economic profit for a firm is negative:

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If economic profit for a firm is negative then the firm should exit the industry in the long run.

A profit is a difference between the revenue from an economic entity's outputs and the opportunity costs of its inputs. It is the same as total revenue fewer total outlays, which entails both direct and indirect costs.

It is distinct from accounting profit in that it only refers to the costs that are explicitly stated on a company's financial statements. Accounting profit is calculated by subtracting the company's entire revenue from its explicit costs.  

When examining a corporation, an economist considers all opportunity costs, both explicit and implicit. Economic profit is therefore less than accounting profit. According to economic theory, a company's total revenue must exceed its opportunity cost to be profitable.

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benchmark definition, 4th edition (bmd4): foreign direct investment: by partner country and by industry

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benchmark definition, 4th edition (bmd4): foreign direct investment:  financial flows by partner country and by industry.

Benchmarking is the practice of comparing commercial enterprise procedures and performance metrics to industry bests and quality practices from different corporations. Dimensions generally measured are pleasant, time and price.

Benchmarking is used to measure overall performance the usage of a selected indicator (cost according to unit of degree, productivity in keeping with unit of measure, cycle time of x according to unit of degree or defects in line with unit of degree) resulting in a metric of performance this is then in comparison to others.

Also known as "great exercise benchmarking" or "process benchmarking", this method is used in control in which corporations evaluate diverse components in their techniques on the subject of nice-exercise groups' techniques, normally within a peer institution defined for the functions of evaluation.

This then permits groups to expand plans on how to make enhancements or adapt unique satisfactory practices, typically with the aim of growing some aspect of performance. Benchmarking can be a one-off event, however, is regularly handled as a non-stop method in which groups constantly are seeking for to improve their practices.

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assuming that icebreaker designates the forward contract as a cash flow hedge of a foreign currency payable, prepare journal entries for the import purchase and foreign currency forward contract in u.s. dollars. a-2. what is the impact on 2020 net income? a-3. what is the impact on 2021 net income? a-4. what is the impact on net income over the two accounting periods?

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The net impact on its net income in 2020 resulting from a fluctuation in the value of the won is : $250 decrease in net income.

Why do you use the term "net income"?

Net income is the amount earned by a person or a company after costs, allowances, and taxes have been subtracted. In the world of business, net income is the amount that remains after all costs, such as payroll, the price of goods or raw materials, and taxes, have been paid.

First step is to calculate the Discount on forward contract

Discount on forward contract=[($0.0035 − $0.0034) × 10 million

Discount on forward contract=$0.0001 × 10 million

Discount on forward contract= $1,000

Second step is to amortized the Discount on forward contract

Amortization of discount on forward contract=$1,000 / 4 months

Amortization of discount on forward contract=$250 per month

Based on the above calculation foreign exchange loss of the amount of $250 will be recognized on December 31, 2020.

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which time period describes the marketing era immediately after the development of mass-production assembly lines?

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The practice of marketing era has been around in 1930s  with marketing in the present. for a while. That is a lot of time! There is no denying that marketing has changed and advanced over the years.

Mass-production assembly lines the Industrial Revolution ushered in the mass production era, which lasted from the 1860s until the 1920s. Products were mass-produced and affordably priced. Businesses often only made one product at a time. Businesses also had the attitude that "if created, someone would buy" at this time, which increased profitability. Businesses could sell everything they made given the prevailing marketing eras.

THE 7 ERAS OF MARKETING

Simple Trade Era (Pre-Industrial Revolution)

Mass Production Era (1860s-1920s)

Sales Era (1920s-1940s)

Marketing Department Era (1940s-1960s)

Marketing Company Era (1960s-1990s)

Relationship Marketing Era (1990s-2010)

Social/Mobile Marketing Era (2010-Present)

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what is organizational commitment? multiple choice question. the extent to which an employee identifies with an organization and is committed to its goals the extent to which you feel positive or negative about various aspects of your work

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Organizational commitment is a strong predictor of performance.

What is true of organizational commitment is that Organizational commitment is a strong predictor of performance?

Organisational commitment demonstrates the bond that employees experience with their organisation.

Broadly speaking, employees who are committed to their organisation generally feel a connection with their organisation, feel that they fit in and, feel they understand the goals of the organisation.  

It is obvious that organizational commitment is a product of motivation as only motivated employees demonstrate organizational commitment

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match the type of retail store location with its correct description. central business district central business district drop zone empty. regional shopping center regional shopping center drop zone empty. community shopping center community shopping center drop zone empty. strip mall strip mall drop zone empty. power center power center drop zone empty. clusters of stores located in neighborhoods to serve people who are within a 5- to 10-minute drive serve customers who are within a 10- to-20-minute drive; contain one primary store and 20 to 40 smaller outlets huge shopping strip with multiple anchor stores and a supermarket the oldest type of retail setting; a community's downtown area large shopping areas of 50 to 150 stores that contain two or three anchor stores

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A power center consists of a huge shopping strip with multiple anchor stores and a supermarket.

The terms "power center" and "big-box center" refer to shopping centers with an average gross leasable area of 250,000 to 600,000 square feet (23,000 to 56,000 m2), three or more big box anchor tenants, and a variety of smaller retailers. The anchor tenants typically occupy 75–90% of the center’s space.

As the first power center in history, 280 Metro Centre in Colman, California is credited.

Merritt Sher, a local real estate developer, opened the 280 Metro Centre in 1986 as an outdoor strip mall with big-box retailers and category killers as its main tenants.

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What is the example of financial statement?

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Answer:

three major financial statement reports are the balance sheet, income statement, and statement of cash flows.

A country's financial system includes its banks, nonbank lenders; securities markets; pension, mutual, and other investment funds; insurers; and market infrastructures such as central clearing counterparties, payment providers, and central banks, as well as its regulatory and supervisory authorities

What is financial statement?Financial statements are documents that describe a company's operations and financial performance. Government organizations, accounting firms, etc. frequently audit financial statements to ensure accuracy and for tax, financing, or investing purposes.The income statement, balance sheet, and statement of cash flows are required financial statements. These three statements are informative tools that traders can use to analyze a company's financial strength and provide a quick picture of a company's financial health and underlying value.

hence,Financial statements are documents that describe a company's operations and financial performance.

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suppose an employee with 77 years of education has been with the company for 1010 years (note that education years are the number of years after 8th8th grade). according to this model, what is his estimated annual salary?

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From the provided least-squares line Predicted value of projected salary is equal to 38720.16 (11433.70 + 3312.68*7 + 819.54*5)

Daily operating costs connected with keeping a commercial operation running are called overhead costs.

The expenses incurred by a company that are not directly involved in the creation of a commodity or service are known as overhead costs.

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when amazon broadened its focus from being the world's biggest online bookstore to being the world's biggest online retail store, which element of strategic planning did this represent?

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The "mission statement" describes the goals of your company in relation to your industry or the wider world. It often includes the main industries and target markets for your company, significant products, and what sets you apart from your rivals.

What are the Main Industries?

Due to the constantly changing environment, only the greatest companies can survive for years in the online retailing industry. Amazon has proven that it fits in this category as a tenacious business with consistent development despite all odds. Due to the strategic implementation of its vision and goal statements, it has been in charge of its functions since 1994 and has attracted a sizable clientele base globally.The mission theoretically outlines the measures that the company believes are doable and relevant to achieving this vision. In the instance of Amazon, the company's mission statement focuses entirely on the attraction of the total service that it offers to its clientele. It specifically highlights the company's cost-effective and other consumer-friendly characteristics.

The mission, vision, and core values of this company, which are crucial to the smooth operation of its business, are a major factor in the success of the model it has chosen. These principles are important because of the wide range of products that Amazon sells because they help ensure that the company stays true to its mission and vision statements.

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real estate professionals handle many documents related to real estate transactions. which one of the items listed below is one of the most important in detecting mortgage fraud?

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Real estate professionals handle many documents related to real estate transactions.  Original sales agreement and any addenda of the items listed below is one of the most important in detecting mortgage fraud .

Why are you considered a real estate professional?

The following are the two requirements you must fulfill to work in real estate.You must provide more than half of the personal services you provide in any business during the course of the year in a real estate venture in which you have a major interest. A real estate trade or business requires at least 750 hours of labour each year.

Why is real estate a career?

Working in real estate allows you to be flexible and determine your own schedule. With no restrictions on how much intelligent, hard-working men and women can make, income directly reflects your efforts. Real estate success requires individuals who are goal-oriented, persistent, driven by their own ambition, and people-oriented.

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What is the term used to describe the first Monday after Black Friday?

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The Monday following Thanksgiving in the United States is referred to as Cyber Monday in marketing terms.

It was developed by businesses as a way to entice customers to shop online. The phrase was first used on November 28, 2005, in a Shop.org press release titled "'Cyber Monday' Quickly Becoming One of the Biggest Online Shopping Days of the Year," by Ellen Davis of the National Retail Federation and Scott Silverman.  The Monday following Thanksgiving is known as Cyber Monday, and depending on the year, the date can range from November 26 to December 2.

Cyber Monday, which has evolved into the online version of Black Friday, gives smaller retail websites a chance to compete with bigger companies.

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is the extent to which employees have positive or negative feelings about various aspects of their work. multiple choice job satisfaction organizational commitment job performance employee engagement

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The  extent to which employees have positive or negative feelings about various aspects of their work is a) job satisfaction

A worker's level of enjoyment with their work is referred to as their job satisfaction. This surpasses their daily responsibilities to address employee happiness with team members and management, organizational rule satisfaction, and the effect of their procedure on employees' personal lives.

Job satisfaction generally refers to the way one views their work, the positive aspects that help a person to feel valued or give a sense of purpose, as opposed to the negative aspects, such as long hours or unpleasant duties, or feeling underappreciated by a senior. Thus, job satisfaction represents the happiness and positive feelings a person has about their job, including the positive feelings and opinions people have about their place of employment.

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In determining the effectiveness of sales promotions, which of the following metrics is NOT used by marketers?

In-store customer traffic
Consumer interactions (e.g., sweepstakes entries, samples distributed)
Incremental sales lift
Website bounce rate
Redemption rates and cost per redemption

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In determining the effectiveness of sales promotions, Website bounce rate metrics is NOT used by marketers.

What is website bounce rate?

The percentage of all sessions on your site where users only viewed a single page and sent a single request to the analytics server is known as the bounce rate, which is calculated as single-page sessions divided by all sessions.

In web traffic analysis, the phrase "bounce rate" is used from Internet marketing. It displays the percentage of site visitors who arrive, "bounce," and then exit the site without viewing any other pages. By calculating the number of visits to a single page and dividing that number by the overall number of visits, the bounce rate is determined. Then it is shown as a percentage of all visits.

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What is the apr (interest rate) on this card for purchases made during the first six months that a cardholder has this card?.

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A credit card with 0% APR does not charge interest for six to 21 months. You won't pay interest on new purchases, balance transfers, or both during the introductory no-interest period (depending on the card).

How is the APR of your credit card calculated?

The APR for your credit card is typically listed near the end of your monthly statement.The statement will include a section with the heading "Interest Charge Calculation" or something similar.You will also see how much of your balance will be used to calculate your monthly interest charge in the statement section.

What is the purchase APR?

If you have a credit card balance, the annual percentage rate, or APR, is the interest rate you will pay each year. Your interest rate can fluctuate over time thanks to variable APRs found on some credit cards.

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discharging bonded indebtedness, replacing worn-out equipment, or purchasing plant expansion are some of the uses of:

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Discharging bonded indebtedness, replacing worn-out equipment, or purchasing plant expansion are some of the uses of the sinking fund.

Bonded indebtedness way and in an official manner performed composed arrangement representing a promise by a part of management to pay to another a particularized total of money, at a particularized date or dates not a completely individual period in the future.

A sinking fund is a clever habit to preserve money for a particular purchase by setting aside to some extent slices each month. Sinking funds work in this manner: Every period, you'll set money aside in individual or diversified classifications expected used afterward. A sinking fund adjoins a piece of safety to an allied bond issue for financiers.

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suppose the economy is initially at a long-run equilibrium. the fed then increases the money supply. in the following three diagrams, assume the resulting inflation is unexpected. a. shift the appropriate curve or curves to show the initial short-run adjustment. then place the points for short-run equilibrium and long-run equilibrium in their appropriate places.

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Due to increasing money supply aggregate demand increase that increases inflation and RGDP. Due to increasing inflation, unemployment rate decrease. SRAS curve move from point A to point B in the short run. Due to increasing inflation, workers demanding for more wages and other side firms try to get the benefits of higher demand and price level. Due to these reasons producers cut production that decrease aggregate supply. In the long run production cut or decreasing aggregate supply increases inflation and SRPC curve shift to the right from SRPC1 to SRPC2 (point C).

What is the Phillips curve in economics?The Phillips curve is an economic concept that describes the relationship between inflation (how much prices are rising each year) and a country's unemployment rate.Hiring more Americans means more money to spend in their wallets. Businesses are responding to this growing demand primarily by hiring more people and increasing production. Many have had to raise wages to recruit more workers, and the pool of available labor is shrinking as more jobs are found. Businesses then often have to pass on these higher prices to consumers.  Of course, higher wages and more money are good for Americans' finances, unless inflation spikes and weakens purchasing power. This is where the Phillips curve comes into play. Guide economists and politicians alike to find a “happy middle ground” where employment is strong and inflation is stable.

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the stock of wiley united has a beta of 0.92. the market risk premium is 8.4 percent and the risk-free rate is 3.2 percent. what is the expected return on this stock? group of answer choices 12.01 percent 10.93 percent 11.11 percent 8.87 percent 11.52 percent

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The market beta, which quantifies the stock's volatility in relation to movements in the market, is always 1. To calculate the needed return, the market risk premium is multiplied by the stock beta and added to the risk-free return.

We calculate beta because...

Levered beta takes into account both company risk and debt-related risk. However, unlevered beta is calculated to remove additional risk from debt in order to examine pure business risk A stock's anticipated movement in relation to changes in the entire market is measured by the concept of beta. A stock with a beta larger than 1.0 is thought to be more volatile than the overall market, whereas one with a beta below 1.0 is thought to be less volatile.

Explanation:

The estimated return on the stock for Billingsley is Option c. 10.93%.

Expected return equals the sum of the risk-free return and the beta risk premium.

Return anticipated: 3.2% + (0.92 * 8.4%)

Return anticipated: 10.93%

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Which of the following are correct regarding why management uses internal controls?

a. Protect assets.
b. Reduce vendor payables.
c. Uphold company policies.
d. Increase revenues
e. Promote efficient operations
f. Ensure reliable accounting.

Answers

The options that are correct regarding why management uses internal controls are: (a) Protect assets (c) Uphold company policies (e) Promote efficient operations (f) Ensure reliable accounting.

The rules and procedures used to protect assets, ensure correct accounting, promote efficient operations, and uphold corporate policies make up a company's internal control system. For large corporations, it won't be sufficient to maintain order and prevent all losses.

Effective internal controls are necessary to ensure the accomplishment of goals and objectives. They provide dependable financial information for management decisions. They make sure that pertinent laws and regulations are followed in order to lessen the likelihood of public scandals.

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Which of the following statements is true about a stock's alpha?

a. It represents the difference between a stock's fair expected value and the risk premium on the market portfolio.
b. Fairly priced stocks have zero alphas
c. Overpriced stocks have positive alphas
d. It represents the difference between a stock's fair expected value and its actual expected value
e. Fairly priced stocks have positive alphas Submit

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The statement is true about a stock’s Alpha is fairly priced stock have zero alphas.

It's actually simpler to discuss beta first because it's a measure of volatility in relation to a benchmark. When compared to an index like the S&P 500, it assesses the systematic risk of a security or a portfolio. Numerous growth stocks would have beta values above 1, likely much higher. Due to how little a T-bill's prices fluctuate in relation to the market as a whole, its beta would be close to zero.

After adjusting for market-related volatility and unforeseen fluctuations, alpha is the excess return on an investment. The five main risk management indicators for bonds, stocks, and mutual funds include alpha. In a sense, it informs investors as to whether an asset has consistently performed better or worse than what its beta predicts.

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Why did keynes believe that fiscal policy was more powerful/effective than monetary policy?.

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Keynes believe that fiscal policy was more powerful/effective than monetary policy because the impact of an increase in spending or a cut in taxes would be multiplied by stimulating plug in demand for consumption items by households.

Fiscal policy may be defined as the usage of government spending and taxation to persuade the economy. Governments generally use economic coverage to sell robust and sustainable increases and decreases in poverty. Fiscal policy is used for spending and taxation to influence the economy by government. Governments commonly use fiscal policy to promote strong and sustainable growth and reduce poverty. There are three kinds of fiscal policy namely neutral policy, expansionary policy,and contractionary policy.

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n terms of the build-borrow-buy framework, a firm's internal resources are considered to be supportive of internal development when they?

a) are different from those that need to be developed and superior to those of competitors in the targeted area.
b) similar to those that need to be developed and superior to those of competitors in the targeted area.
c) different from those that need to be developed and inferior to those of competitors in the targeted area.
d) similar to those that need to be developed and inferior to those of competitors in the targeted area.

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When a company's internal resources support internal development, it is said to be doing so. Comparable to those that still need to be developed and superior to those of rivals in the chosen field. Option B is correct

Internal support refers to the majority of employment assistance for a person with a disability that is supplied by an employer or employees of the employer, as opposed to a job coach or another individual from outside the employer.  Increasing production, creating new goods or services, or using other developmental techniques are typically included. Organic (or internal) growth occurs when a company expands from within, for instance, by increasing the number of business units, locations, or product lines. Organic growth expands on the company's existing resources and capabilities. This is typically the only strategy of expansion employed by businesses.

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the outlook for growth in global trade appears to be

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The outlook for growth in global trade appears to be brighter every day.

WTO economists now expect global product trade volumes will grow by way of three.5% in 2022—slightly better than the 3.0% forecast in April.

For 2023, however, they foresee a 1.0% increase—down sharply from the preceding estimate of three.4%.

As of 2021, global exchange extent and price have elevated by four% and six% respectively on common seeing that 1995, whilst the WTO turned first mounted.

The sector's present-day MFN-applied price lists stand at a mean of 9%.

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The three questions of economics best help in making decisions about production

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These three issues are addressed by economic : (1) What products and services ought to be created to satisfy client demands? (2) Who should generate them and how should they be produced? 3) Who ought to be given commodities and services?

The economic system of a nation determines the answers to these queries.  How production and welfare increase over time, and a wide range of other complicated concerns that are extremely important to society. The social science of economics focuses on the analysis of resource scarcity. It examines variables that have an impact on how products and services are produced, distributed, and consumed in an economy.

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which incentive plan would enable employees to think like owners, taking a broad view of what they need to do in order to make the organization more effective? group of answer choices performance bonuses gainsharing the scanlon plan merit pay profit sharing

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The Incentive Plan that would enable employees to think like owners will be the plan of Profit sharing that is option E is correct.

Profit sharing is referred to as the technique used within an organization by higher level employees towards lower level employees to make them more focused towards their work. Whenever the company owns any profit, it is shared equally among all the employees. This enables them to think like as if they are working within their own company and whatever profit the company will earn they will also get a share. This helps in increasing the efficiency of company and no careless behavior is followed during the work. Even the employees start suggesting ideas about the betterment of the company and improvement in the policies of the company regarding product management.

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an investor owns $3,500 of adobe systems stock, $4,500 of dow chemical, and $4,500 of office depot. what are the portfolio weights of each stock? (round your answers to 4 decimal places.)

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The portfolio weights of each stock = 12500.

What are stocks?A stock, usually referred to as equity, is a type of investment that denotes ownership in a portion of the issuing company. Shares, also known as units of stock, entitle its owners to a share of the company's assets and income in proportion to the number of shares they possess.Most individual investors' portfolios are built on stocks, which are mostly bought and sold on stock exchanges.Government standards designed to shield investors from dishonest tactics must be followed during stock trades.Based on the proportion of shares an investor owns to the total number of outstanding shares, a shareholder is regarded as an owner of the issuing firm.If a corporation has 1,000 outstanding shares of stock and one shareholder has 100 of those shares, that shareholder would possess and be entitled to 10% of the company's assets and profits.

According to our question,

an investor owns $3,500 of adobe systems stock, $4,500 of dow chemical, and $4,500 of office depot.

3500 + 4500 + 4500

12500

Hence, The portfolio weights of each stock = 12500.

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$2000 are invested in a bank account at an interest rate of 6 percent per year. find the amount in the bank after 6 years if interest is compounded annually. find the amount in the bank after 6 years if interest is compounded quarterly. find the amount in the bank after 6 years if interest is compounded monthly. finally, find the amount in the bank after 6 years if interest is compounded continuously.

Answers

Part a: compounded annually (n = 1); A = $2,820.

Part b: compounded quarterly (n = 4); A = $2030.

Part c:  compounded monthly (n = 12); A = $2,010.

Part d: compounded continuously; A = $2866.

Define the concept of compound interest?

Compound interest simply refers to the fact that an investment, loan, or bank account's interest accrues exponentially over time as opposed to linearly over time. The word "compound" is crucial here.

The formula for determining the compound interest is-

CI = A - P

A = P(1 + r/100n)∧nt

A = amount after compoundingP = principal amount ($2,000)r = rate of interest (6%)n = umber of times compoundedt = time in years (6 years)

Part a: compounded annually (n = 1)

A = 2,000(1 + 6/100)∧6

A = 2,000 x 1.41

A = $2,820

Part b: compounded quarterly (n = 4)

A = 2,000(1 + 6/400)∧(6x4)

A = 2,000 x 1.015

A = $2030

Part c:  compounded monthly (n = 12)

A = 2,000(1 + 6/1200)∧(6x12)

A = 2,000 x 1.005

A = $2,010

Part d: compounded continuously

A = Pe∧(rt)

A = 2,000 x 2.72∧(0.06 x 6)

A = 2,000 x 1.433

A = $2866

Thus, the amount in the bank after 6 years are calculated.

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the overall goal of project planning is to establish a pragmatic strategy for controlling, tracking, and monitoring a complex technical project:

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The overall goal of project planning establish a pragmatic strategy for controlling, tracking, and monitoring a complex technical project.

A technical project is one that includes engineering factors, technical hardware components, software program elements, and or data control requirements.

Simply technical thing management appears to be a part of nearly every assignment.

Examples of an IT venture consist of net improvement, software program improvement, cellular app development, community configuration, software program implementation, hardware installation, database management, and IT emergency recovery.

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firms stop producing tapes and start producing compact discs because people prefer compact discs to tapes. this will a. make the distribution of outcome more equitable. b. make the economy more stable. c. improve efficiency. d. make the economy less stable.

Answers

Firms stop producing tapes and start producing compact discs in order to improve efficiency.

So, the correct option is C.

The theory of consumer preferences is a useful tool for marketers to comprehend what customers desire and how they respond to various marketing methods. Based on the requirements and desires of the customer, it aids them in developing successful marketing strategies. A consumer's contentment with a product or service is known as utility. A customer's brand preference is expressed when they regularly pick one brand over another.

In other words, they have been acquainted with the other brands, perhaps even tried a few of their items, and have decided that they prefer this particular brand. At least three different categories of brand preference measurement approaches exist: choosing a favorite brand covertly from a group of brands that are in competition. Self-reported favorite brands are revealed in survey questions.

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in a closed economy, saving and investment must be equal, but this is not the case in an open economy. in the following problem, you will explore how saving and investment are connected to the international flow of capital and goods in an economy. before delving into the relationship between these various components of an economy, you will be asked to recall some relationships between aggregate variables that will be useful in your analysis.

Answers

In an open economy, some of a country's output is sold within the country and some is exported to other countries.

Consumption of domestic goods and services (C), investment in domestic goods and services (I), government purchases of domestic goods and services (G), exports of domestic goods and services (E), and imports of goods and services (I) are the four components of expenditure in an open economy's output Y.As a result, the following factors contribute to the identity of the national income: Y is C, I, G, X, and M.

Y = C+I+G+X-M in an open economy model, where C is consumption; G represents government spending; I = money spent on investments; M represents imports, while X represents exports.

We obtain: by subtracting (C+T) from both sides of the preceding identity. I - (T-G) + X- M equals Y-C-T, where Y-C-T equals S, private savings.

When we arrange, we get: S + M + X + (T-G) = I; where (M-X) is capital outflow and (T-G) is public savings.

As a result, the sum of domestic investments (I) and net exports (X-M) or net capital outflows (NCO) is equal to national savings.

The table below shows how the following factors relate to one another:

Resulting from a Trade Surplus: A country experiences a trade surplus when its exports exceed its imports. As a result, (i) Net Exports > 0; (ii) Net Capital Outflow > 0; (iii) Investment = Saving, assuming that Savings here represent the sum of public and private savings; (iv) Exports > Imports; (v) C+I+G = Y

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A common term for projects that exceed original schedule and budget is​ ________.

Answers

Runway projects are a frequent word for initiatives that go above their initial scope, timeline, and budget.

What is a budget?

Plans for spending money that is based on income and expenses are called budgets. In other words, it's a projection of how much cash you'll have coming in and going out over a specific time frame, like a month or a year. (Alternatively, if you're keeping track of the money coming in and going out of your entire household, that's a family budget.)

Making a detailed list of all of your expenses or concentrating on just a few can both be done when budgeting. While some people favor handwriting their budgets, others use spreadsheets or budgeting apps. There is no ideal method of budgeting; what works for one person may not work for another.

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