Suppose you purchase one WFM May 100 call contract at $5 and write one WFM May 105 call contract at $2. The maximum loss you could suffer from your strategy is Select one:
a.$200.
b.$300.
c.zero.
d.$500.

Answers

Answer 1

Answer:

The correct answer is B that is $300

Explanation:

The amount of maximum loss which is suffered from the strategy is computed as:

Amount of maximum loss = (WFM May 100 call contract price + WFM May 105 call contract price) × 100

= (-$5 + $2) × 100

= -$3 × 100

= -$300

Note: Options contracts are for 100 shares of the stock, so the quoted premium is multiplied by 100.

Answer 2
Final answer:

The question relates to options trading, specifically a bull call spread strategy. The maximum loss from this strategy, given the investor bought a WFM May 100 call for $5 and wrote a WFM May 105 call for $2, would be the net outlay of $300.

Explanation:

In the given scenario, you purchase one WFM May 100 call contract for $5, which costs you $500 (as one contract represents 100 shares). Simultaneously, you write one WFM May 105 call contract at $2, earning you $200. This strategy is known as a bull call spread, which is a type of options strategy employed when the investor believes that the price of the underlying assets will rise moderately.

Your net outlay (or the initial cost) of this spread is $300 ($500 - $200). This will be your maximum possible loss if WFM closes below $100 at May expiration, as both options will expire worthless. Thereby, the correct answer is b. $300.

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Related Questions

Which NIMS Management Characteristic may include gathering, analyzing, and assessing weather service data from technical specialists?

A. Management by Objectives
B. Incident Facilities and Locations
C. Integrated Communications
D. Information and Intelligence Management

Answers

Answer:

Information and intelligence management

Explanation:

NIMs which stands for national incident management system.  it is a system that direct all sort of organisation whether is is government, private or non government to work for prevention , respond to any incident occurs.

it is collective effort from all above organisation for prevention of any incident.

Information and intelligence management is one main characteristics of NIMS which gather all important information regarding any incident.

five steps of this characteristics are

planning and direction of work

collection of raw information

processing work

analysis of information

and circulation of information through various source

A competitive capital market is important to society because it directs resources toward projects that

Answers

Answer:

create wealth

Explanation:

create wealth

A share of Citigroup stock represents:a.An IOU, or promise to pay, from Citigroup b.A right to require that Citigroup pays all profits as dividendsc.A risk-free investment vehicle in the long rund.A claim on Citigroup's assets that gives the purchaser a share of the corporationNow, compare one share of Citigroup's stock with one of its bonds. A share of Citigroup stock will be risky than a bond issued by Citigroup.

Answers

Final answer:

A share of Citigroup stock represents ownership in the firm, with returns potentially earned through dividends and capital gains. Stocks are riskier than bonds as they directly reflect the company's performance, offering both higher rewards and greater risks. Bonds provide a fixed return, making them more stable but with less profit potential.

Explanation:

A share of Citigroup stock represents firm ownership. When individuals purchase stock, they become part-owners, or shareholders, of the corporation. Owning 100% of a company's stock equates to owning the entire company, but in large firms like Citigroup, no single shareholder typically has a majority stake. Instead, ownership is spread across many shareholders, each holding a proportionally small part of the company. Stocks are a way for firms to raise financial capital and can lead to returns through dividends and capital gains.

Comparing Citigroup's stock with its bonds, a share of stock is generally riskier than a bond issued by the company. Stockholders benefit when the company performs well but also bear the losses if the company's value decreases. In contrast, bondholders receive a fixed interest payment regardless of the company's performance, making bonds a more stable investment. However, bondholders have less potential for profit compared to stockholders, who may benefit from rising stock prices in addition to receiving dividends.

Employees and customers are treated like a family at State Street Coffee House. Jason and Jill, the owners, work to encourage unity to increase their employees' job satisfaction and commitment. At their coffee house, Jason and Jill have built a(n)
a)market culture
b)goal-driven agenda
c)bureaucracy culture
d)clan culture
e)adhocracy culture

Answers

Answer: (D) Clan culture

Explanation:

The clan culture is one of the type of friendly type corporate environment in an organization and it is also known as collaborative culture. Clan culture is one of the element of corporate clan culture model.  

There are many types of advantage of clan culture in an organization are as follows:

Clear communication Increase in company productivityIncrease in organization growth

According to the question, Jason and the Jill are the owner of the company an they always encourage and also motivate their employees. They also try to increase the job satisfaction among the employees and they try to built the clan culture in the company.

Therefore, Option (D) is correct.

Swen Inc. is a global retail chain based in New York. It expands into France and sends Gerard, an American citizen and a trusted employee from its New York branch, to manage the operations in the new business unit. In this scenario, Gerard is most likely a(n) _____. a. host-country national b. boomerang employee c. third-country national d. expatriate manager

Answers

Answer:

The correct answer is D

Explanation:

Expatriate manager is the one or the workers who are migrated from their home country to the outside nations in order to earn more than the in the home country.

In this case, Company expands the operations in France where they sends Gerard who is a citizen of American. So, this is an expatriate manager as he was migrated to France.

Bellingham Inc had the following activity last year:
Sales $300,000;
Cost of goods sold $170,000;
Depreciation expense $25,000;
other selling and administrative expenses $95,000;
income tax expense $3,000.
What was the estimated net cash flow for the year?

Answers

Answer:

The net cash flow of the year amounts to $32,000

Explanation:

The net cash flow of the year is computed as:

Net cash flow = Net income + Depreciation

= $7,000 + $25,000

= $32,000

Where

Net Income is computed as:

Net Income = Sales - COGS (Cost of goods sold) - Depreciation expense - Selling and administrative expense - Income tax expense

= $300,000 - $170,000 - $25,000 - $95,000 - $3,000

= $7,000

In the first stage of the negotiation, Alisa explicitly expressed her surprise, frustration, and dissatisfaction that executives were receiving large bonuses when Katherine had said there was no money for salary increases.This behavior may be considered unprofessional by many people, but it is indeed a useful negotiation tactic. What type of tactic was she using?
a.Information exploitation
b.Clarifying interests
c.Showing emotions
d.Strengthening one's own position
e.Perfecting the deal

Answers

Answer:

c.Showing emotions

Explanation:

In this case, Alisa could not control her emotions at this situation which she feels is unfair and expressed the same as well.

Therefore, we can conclude that she was showing emotions.

Hall company had large amounts of funds to invest on a temporary basis. The board of directors decided to purchase securities and derivatives and assigned the future purchase and sale decisions to a responsible financial executive. The best person or persons to make periodic reviews of the investment activity would be :

Answers

Answer:

Investment committee or Board of Directors

Explanation:

Because the other in investment team together with finance team are directly involved in investment activities, they may not objectively review their jobs rather than an independent team.

This independent team should be in higher positions who can manage or adjust the jobs of investment team. Thus many corporations set up an investment committee or assign BOD ("board of directors) to periodically review the company's investment activity to make sure they're still aligning with the company's target.

A manufacturing firm identified that it would have difficulty sourcing raw materials locally, so it decided to relocate its production facilities. According to COSO, this decision represents which of the following responses to the risk?

Answers

Answer:

Risk reduction

Explanation:

The Committee of Sponsoring Organizations (COSO) developed an Integrated Framework for evaluating internal controls. The latest version (2017) is called the Enterprise Risk Management Integrated Framework. It is an updated version of the original framework developed in 1992.

Risk reduction is one of the four ways the COSO framework deals with potential risks. The company should take actions to reduce risk. Since it is difficult to avoid risk, sometimes it is better to just take action to reduce it.

In this case, the manufacturing firm knows it will face a lot of problems and potential risks due to a lack of availability of raw materials, so it will move its facilities to a place where raw materials are easily available.

Gregory is a manager in an insurance company and heads a team of 30 agents. In order to meet the company's target, every agent needs to increase his or her target for the month by 15 percent. Gregory promises his agents a bonus if the company's target is met. Which influence tactic is Gregory using?
A. Pressure
B. Ingratiation
C. Coalition
D. Personal appeal
E. Exchange

Answers

Answer:

E. Exchange

Explanation:

-Pressure: Is to force compliance by using intimidation.

-Ingratiation: Is becoming more likeable to ask for something.

-Coalition: Is to get people to help you to convince someone

-Personal appeal: Is to use friendship to ask for something

-Exchange: Is to offer or promise something to receive something else in return

According to this, the influence tactic that Gregory is using is Exchange because Gregory promised his agents a bonus if they meet the target.

Answer:

E) Exchange

Explanation:

I'll include a personal opinion here; Bonuses are probably the best way to increase productivity. You want to earn more money, then you must work harder and earn your bonus.

Exchange tactics are used to offer rewards in exchange for performing a certain way. In this case Gregory is offering a bonus in exchange for an increase in the sales volume. In order for an exchange tactic to be successful, the leader should offer something the other party values and wants. In this case everybody wants more money.

Which of the following would shift the demand for dollars in the market for foreign currency exchange to the right?
a. foreign citizens want to buy more U.S. goods and services at a given exchange rate
b. foreign citizens want to buy fewer U.S. goods and services at a given exchange rate
c. foreign citizens want to buy more U.S. bonds
d. foreign citizens want to by fewer U.S. bonds

Answers

Answer:

A) foreign citizens want to buy more U.S. goods and services at a given exchange rate

Explanation:

In a free floating exchange rate market, when foreign companies and individuals purchase more goods and services from the US, it mans that the US is exporting more. When any country exports more goods or services its currency appreciates since more people want it (law of supply and demand) in order to be able pay for US products or services.

Ziegler Corporation purchased 25,000 shares of common stock of the Sherman Corporation for $40 per share on January 2, 2014. Sherman Corporation had 100,000 shares of common stock outstanding during 2015, paid cash dividends of $90,000 during 2015, and reported net income of $300,000 for 2015. Ziegler Corporation should report revenue from investment for 2015 in the amount of:

Answers

Answer:

Ziegler Corporation should report revenue from investment for 2015 in the amount of $75,000

Explanation:

given data

purchased = 25,000 shares

common stock = $40 per share

common stock outstanding = 100,000 shares

paid cash dividends = $90,000

net income = $300,000

to find out

revenue from investment for 2015 in the amount of

solution

we first get here Investment in Sherman Corporation that is

Investment  = purchased ÷ common stock outstanding     ..........................1

put here value

Investment  = [tex]\frac{25,000}{100000}[/tex]

Investment = 25%  

so that income from investment will be here we get

income from investment = 25%   of net income ........................2

put here value

income from investment = 25%  × $300,000

income from investment = 0.25  × $300,000

income from investment = $75,000

so Ziegler Corporation should report revenue from investment for 2015 in the amount of $75,000

Final answer:

Ziegler Corporation should report $22,500 as revenue from investment for 2015, which represents a 25% share of the $90,000 dividends paid out by Sherman Corporation.

Explanation:

To determine the revenue from investment that Ziegler Corporation should report for 2015 from its investment in Sherman Corporation, we need to calculate the share of Sherman Corporation's dividends that Ziegler is entitled to. Since Ziegler owns 25,000 out of the 100,000 shares outstanding of Sherman, it has a 25% ownership stake. Therefore, Ziegler would be entitled to 25% of the total dividends paid by Sherman in 2015.

Sherman Corporation paid out $90,000 in dividends in 2015. To find out how much of that Ziegler Corporation would receive, we multiply the total dividends by Ziegler's ownership percentage:

Total Dividends x Ownership Stake = Revenue from Investment
$90,000 x 25% = $22,500

Thus, Ziegler Corporation should report $22,500 as revenue from investment for the year 2015.

Ronald is actively using social media to gather buying information. He prefers social media because of its ability to create personalized communication through online forums that initiate discussions with other consumers. He wants to be anonymous in his online presence, but he is unaware that his online activities are being tracked by marketers. Which ethical issues in marketing communication does this scenario best illustrate?

Answers

Answer:

consumer privacy

Explanation:

Consumer privacy issues refer to the right that a consumer's personal information should be protected even though he/she provided that information for common transactions (e.g. are online purchases, social media interactions, etc.). The companies which receive that personal information should handle it properly and not make it available to other companies.

For example, credit card companies should not share data collected on its customers' buying habits with other companies.

This is also the reason why social media companies request us to accept their terms and conditions before using their services. When we accept those terms we surrender all our privacy rights since social media companies sell our private information. It's not ethical, but it's the reason why FB, Twitter, IG, etc. are free.

Janette goes into a car dealership to buy a new car. The salesperson works with her to find the right model, and she agrees to buy a new car for $25,250. Just when she is ready to pay, the salesperson walks away for a minute and then comes back to inform her that the car she was ready to purchase can’t be sold for less than $25,750. She agrees to the extra $500 even though they had initially agreed on the $25,250 selling price. Janette has fallen for the ________ technique of gaining compliance.

Answers

Answer:

Janet has fallen for Foot in the floor technique.

Explanation:

The foot-in-the-door technique involves making a smaller request, which a person is likely to agree to, before making your larger request

If 75 percent of the employees of a certain company take a winter vacation, 40 percent take a winter and a summer vacation, and 20 percent take neither a winter nor a summer vacation, what percent of the employees take a summer vacation but not a winter vacation?A) 5%B) 15%C) 25%D) 35%E) 45%

Answers

Answer:

Summer vacation but not winter vacation = 5 %

so correct option is A) 5%

Explanation:

given data

winter vacation = 75 %

winter and a summer vacation = 40%

neither a winter nor a summer vacation = 20%

to find out

what percent of the employees take a summer vacation but not a winter vacation

solution

we know that total is 100 % so

Winter vacation + Summer vacation - Both vacation + Neither vacation  = 100 %   ......................1

put here value we get

Winter vacation + Summer vacation - Both vacation + Neither vacation  = 100 %

75 % + Summer vacation - 40%  +  20% = 100 %

summer vacation =  45 %

so we get now Summer vacation but not winter vacation that is

Summer vacation but not winter vacation =  Summer vacation - both winter and a summer vacation      ...................2

Summer vacation but not winter vacation = 45% - 40 %

Summer vacation but not winter vacation = 5 %

so correct option is A) 5%

"The customer is always right" explains Select one: a. All of the above are correct. b. persistent wage discrimination based on consumer preferences. c. compensating differentials. d. the higher wages paid to members of a union.

Answers

Answer:

A, all of the above are correct.

Matt owns a ski instruction school in the Berkshire Mountains, a dog training academy in Connecticut, and an investment house in Boston. He just told Chet, one of his most promising investment managers, to run the dog academy for six months. What technique is Matt using?VestibuleSurvival trainingJob rotationVirtual realityAssistant-To position.

Answers

Answer:

Job Rotation

Explanation:

Based on the information provided within the question it seems that the technique that Matt is using is called Job Rotation. This business technique refers to the act of employees rotating between job roles within the same company and taking all the responsibilities that are associated with that new role. Which is exactly what is happening in this scenario since Chet is switching to the ownership position within the business until Matt gets back, then they would rotate back.

_______ inflation can be explained by an ________ shift in the aggregate _________ curve.
a. Cost-push, rightward, supply
b. Demand-pull, leftward, demand
c. Demand-pull, leftward, supply
d. Cost-push, rightward, supply

Answers

Answer: Demand-pull, leftward, demand.

Explanation: DEMAND-PULL inflation can be explained by an LEFTWARD shift in the aggregate DEMAND curve.

In a Demand-pull inflation an increase demand leads to an equivalent increase in price which leads to a rise on the demand curve.

Final answer:

The correct answer is 'Cost-push inflation, leftward, supply', which indicates a situation where higher production costs cause the aggregate supply curve to shift left, leading to higher price levels.

Explanation:

The correct answer to the question is Cost-push inflation, which can be explained by a leftward shift in the aggregate supply curve. This leftward shift signifies that the supply of goods and services at every price level has decreased, typically due to increased production costs. Historical instances like the oil crisis of the 1970s are classic examples of cost-push inflation, where the abrupt increase in oil prices led to a surge in production costs for many industries, thereby reducing aggregate supply.

Cost-push inflation is not caused by an increase in demand for goods and services, but rather by an increase in the costs to produce those goods and services, which shifts the aggregate supply to the left.

In contrast, demand-pull inflation would be the result of an increase in aggregate demand, which is typically represented by a rightward shift in the aggregate demand curve. This occurs when there's an increase in overall spending in the economy, leading to greater real GDP and upward pressure on the price level, and is not associated with a shift in the supply curve.

In market A, a 4% increase in price reduces quantity demanded by 2%, so demand in market A is _____. In market B, a 3% increase in price reduces quantity demanded by 4%, so demand in market B is _____.

Answers

Answer:

Demand in market A is inelastic. Demand in market B is elastic.

Explanation:

Price elasticity of demand is the measure of the change in quantity demanded in relation to the change in price.

Elasticity = % change in quantity demanded / % change in price

When Elasticity < 1 (2% divided by 4%), demand is said to be inelastic: (quantity demanded changes less as price changes)

When Elasticity > 1 (4% divided by 3%), demand is said to be elastic: (quantity demanded changes more as price changes)

n​ mid-2017, an article in the Wall Street Journal noted​ that: ​"The Federal​ Reserve's interest-rate increases​ aren't having the desired effect of cooling off Wall​ Street's hot streak...where stocks have rallied to records this​ year..." ​Source: David​ Harrison, "Fed's Effort to Guide Markets​ Falls," Wall Street Journal​, June​ 11, 2017. Is cooling off rapid increases in stock prices part of the​ Fed's dual​ mandate?

Answers

Answer:

No

Explanation:

When Congress enacted the Federal Reserve Act in 1913, they stated the FED's mandates:

promote maximum employmentpromote stable price

The FED's main objective is to conduct monetary policy in order to stabilize the economy and promote economic growth.

By stabilizing the economy the FED will lower inflation rate, therefore stabilizing prices. When the FED promotes economic growth, the unemployment rate should decrease, hopefully reaching a full employment.

The Federal Reserve's dual mandate does not explicitly include controlling stock prices, focusing instead on maximizing employment and maintaining price stability. Still, fluctuations in asset prices are sometimes considered indirectly when the Fed adjusts the federal funds rate to influence economic activity.

Cooling off rapid increases in stock prices is not explicitly part of the Federal Reserve's dual mandate, which focuses on fostering maximum employment and price stability. However, the Federal Reserve may consider the effects of asset price fluctuations on the broader economy when implementing monetary policy. The Fed's main tool for this is influencing the federal funds rate, which affects economic activity by making financial conditions more or less accommodating. When the Fed engages in operations to adjust the federal funds rate, it does so with the intention of impacting longer-term interest rates and, by extension, financial markets, including the stock market.

However, the primary targets remain economic growth, inflation, and unemployment rates, rather than directly targeting asset prices like stocks and real estate. The lesson from historical Fed actions is that they adjust interest rates based on their economic modeling to anticipate the movements of the business cycle, hoping to stimulate the economy during a downturn with lower rates and to curb inflation during an upturn by raising rates.

The velocity of money is defined as A) real GDP divided by the money supply. B) nominal GDP divided by the money supply. C) real GDP times the money supply. D) nominal GDP times the money supply.

Answers

Answer:

B) nominal GDP divided by the money supply.

Explanation:

Velocity of money calculates the rate of turnover of money. It calculates how fast money changes hands.

Velocity = (price × agregrate output ) / money supply

Velocity = Nominal GDP / Money supply

If velocity is 2, it means the dollar is usually spent two times in purchasing goods and services.

Achieving the goal of price stability with low and steady inflation allows the Fed to achieve other​ goals, such as stable interest rates and stable foreign exchange rates. If the Fed fails to achieve low and steady​ inflation, why will it be hard to achieve stable interest​ rates? A. Because the real interest rate includes an inflation premium. B. Because high inflation leads to tremendous decreases of nominal interest rates.   C. Because low inflation leads to tremendous increases of nominal interest rates.   D. Because the nominal interest rate includes an inflation premium.

Answers

Answer:

The correct answer is D. Because the nominal interest rate includes an inflation premium.

Explanation:

If the prices of many of the items we buy go up, we lose purchasing power. In other words, with the money we have - income and savings - we cannot buy as much as before. This can trigger an upward spiral of prices. If everything becomes more expensive, we may have to request a salary increase from our company. To finance the increase in staff salaries, the company could react by raising its prices. If this happens in many companies, the prices of many items will rise more, which will feed the spiral. This situation makes planning savings and investments more difficult for individuals and businesses. In the face of a rapid loss of value, the public can lose confidence in the currency. These are just a few examples of the negative effects of high inflation rates.

When selling convenience goods such as tobacco, newspapers, chewing gum, and potato chips to convenience stores, companies often decide to sell through all available outlets. This is an example of ________ distribution
A) selective
B) intensive
C) broad-based
D) exclusive
E) luxury

Answers

Answer: intensive distribution

                 

Explanation: In simple words, it refers to a marketing strategy under which a company offers its product through as many outlets as possible in the market so that customers can easily find their product when in need.

The core objective of implementing thus Strategy is to make customer satisfied regarding the availability. These strategy is implemented for the products that already have a strong customer base.

Hence from the above we can conclude that the correct option is B.

When Alexander Company purchased supplies for cash of $500, it incorrectly recorded the journal entry as a credit to Supplies for $5,000 and a debit to Cash for $5,000. Before correcting this error:
a. Cash is overstated and Supplies is overstated.
b. Cash is understated and Supplies is understated.
c. Cash is understated and Supplies is overstated.
d. Cash is overstated and Supplies is understated

Answers

Answer:

d. Cash is overstated and supplies is understated

Explanation:

This is a journal entry question that tests understanding of the concept of journals and correction of errors.

There are two major errors in this case;

1. the amount has been recorded wrongly

2. the wrong entries have been made in the journals.

Cash is an asset having a natural Debit balance, when an asset is reducing in value, we Credit it. Thus when Cash is being paid for an item, cash reduces while the quantity or number of that item increases.

The correct entry would have been to Credit Cash for $500 as cash is being paid for office supplies, and increase office supplies by Debiting it to the tune of $500. ie.

CR cash $500

DR office Supplies $500.

By Debiting cash $5,000 and Crediting office supplies $5,000, what the journal is saying is that cash of $5,000 has been received and office supplies of $5,000 has been given or sold out.

Saying Alexander Company has received $5,000 when in actual fact it has paid $500 is overstating cash and saying Alexander Company has sold office supplies when it in fact purchased them is understating office supplies.

I trust this helps you understand the concept.

In the context of the service encounter triad, the trade-off between the service organization and contact personnel is one of: a. perceived control b. efficiency versus autonomy c. efficiency versus satisfaction d. autonomy versus satisfaction e. autonomy versus perceived control

Answers

Answer:

B) efficiency versus autonomy

Explanation:

The three parties that make up the service encounter triad are: the organization that provides the service, contact personnel (which are part of the organization) and the customers. For example, in a service encounter that tales place in a movie theater; a contact person (e.g. sales clerk) provides a service (e.g. movie ticket) to a customer.

A lot of physical vendors or clerks are being replaced by automated customer service machines that are cheaper for the company but have limited autonomy. For example, in movie theaters you can get your tickets from a machine, so unless you also buy a soda or candy, you don't need to interact with the sales clerk.

Lily has suffered severe injuries from a car accident. She would like to sue for compensation, but does not have enough funds on hand to retain an attorney on her own. What is the best type of fee arrangement for Lily?
a. Hourly fee
b. Contingency fee
c. Fixed fee
d. Administrative fee

Answers

Answer:

The correct answer is b. Contingency fee

Explanation:

Contingency fee agreements are generally used in cases where a victim seeks monetary damages due to an injury. There is an agreement called a contingency fee agreement, which allows an individual to obtain legal representation without having to pay in advance. Instead of having to pay in advance, the client will agree to pay the lawyer a percentage of what is guaranteed in case he wins the case. The contingency fee agreement will include any circumstances of payment and the amount of money the lawyer will charge at the end of the case.

The concept of having a contingent fee agreement is that the plaintiff will not have initial expenses. This should help relieve some of the stress that comes with being a victim of personal injury. The client will not pay any legal fee unless and until he wins and his lawyer will receive a percentage of the recovery based on his fee. There will be no legal fees for the lawyer if he does not win the case.

The perfectly competitive price and output level occur where

Answers

Answer:

It occur where MR = MC

Explanation:

Perfectly competitive organization or firm is the one who is price taker, which states that they must accept the price at which it sells the goods to consumer.

In a firm that is a perfectly competitive, the level of output  as well as the price happen where the Marginal Cost is equal to the Marginal Revenue.

It is stated as MR = MC.

lists two things that both increase the money supply?

Answers

Answer:

Decrease is taxes

Increase in government spending

Explanation:

Government policies that increases the money supply in an economy is known as expansionary fiscal policy. They are:

1. Decrease is taxes - when government reduces the tax rate, the amount paid as taxes falls and as a result individuals, companies have higher disposable income whuch can be used for consumption or saving. This increases the money supply in the economy.

2. Increase in government spending - if the government increases it's spending on public goods for example, money supply would increase. If the government constructs a road, labour would be employed and paid wages. This payment increases the income of Labour and money supply increases.

Central bank policies that increases money supply are known as expansionary monetary policies. They include:

1. Open market purchase: The central bank purchase securities from the open market to increase money supply.

2. Reduction in reserve requirement ratio : if the reserve requirement ratio is reduced , commercial banks would have more money to give out as loans and this would increase money supply.

A vending​ machine's coin box contains​ nickels, dimes, and quarters. The total number of coins in the box is 284. The number of dimes is three times the number of nickels and quarters together. If the box contains 27 dollars and 25 ​cents, find the number of​ nickels, dimes and quarters that it contains.

Answers

Answer:

there are 59 nickels, 12 quarters, and 213 dimes

Explanation:

let n = nickelslet q = quarterslet d = dimes

first step:

d = 3 (n + q) = 3n + 3q

d + n + q = 284

0.10d + 0.05n + 0.25q = 27.25

second step:

3n + 3q + n + q = 284

0.10 (3n + 3q) + 0.5n + 0.25q = 27.25

third step:

4n + 4q = 284

0.3n + 0.3q + 0.05n + 0.25q = 27.25

fourth step:

n + q = 71

0.35n + 0.55q = 27.25

fifth step:

replace q = 71 - n

0.35n + 0.55(71 - n) = 27.25

sixth step:

0.35n + 39.05 - 0.55n = 27.25

seventh step:

11.8 = 0.2n

eighth step:

n = 59

q = 71 - 59 = 12

d = 284 - n - q = 284 - 59 - 12 = 213

Final answer:

To solve the problem, characterize it through three equations: d = 3(n + q), n + d + q = 284, and 0.05n + 0.10d + 0.25q = 27.25. These equations can be solved for n, d, and q through substitution or elimination.

Explanation:

The problem statement gives us some key information to define our mathematical equations. Let's denote the number of nickels by 'n', the number of dimes by 'd', and the number of quarters by 'q'.

We know that 'd' is three times the total number of nickels and quarters, so we have an equation:

d = 3(n + q)

We also know the total count of all coins in the box is 284:

n + d + q = 284

Lastly, the total sum of money in the box $27.25, each nickel values $0.05, each dime - $0.10, and each quarter - $0.25, which gives us a third equation:

0.05n + 0.10d + 0.25q = 27.25

Using these three equations, we can solve for n, d, and q through substitution and elimination methods.

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Managerial accounting information
a) tends to be different from business to business based on management needs.
b) focuses on historical transactions excluding an budgets or forecasts for the future.
c) is prepared primarily for investors and creditors and is generally available to the public.
d) is governed by GMP.
e) All of the above.

Answers

Answer:

a) tends to be different from business to business based on management needs.  

Explanation:

In each specific business and industry there are different factors that are more important in one sector compared to another. Therefore, the managerial accounting information’s is prepared according to specific needs of the business.  

The statements used to present this information is based on the importance give for the managers to each one of the statements. As the final idea is to take decisions with these statements the managers select specific accounting information regarding the specific problem or strategy that they are facing.  

Other Questions
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