Using the Keynesian model: (Total points = 10%). Do the following: • Write the formula for Total Expenditures (TE). • Identify the autonomous expenditures. • Identify which part of total expenditures is induced by RGDP? • Explain: What marginal propensity to consume (mpc) is? • If we have the graph of Total expenditures, how we could calculate the value of marginal propensity to consume (mpc)? • Explain how starting with the consumption function (C = Co + mpc x RGDP) Keynes obtained the Total Expenditures (TE) curve,

Answers

Answer 1

The Keynesian model is also known as the Keynesian macroeconomic theory or the Keynesian economics. This model was proposed by John Maynard Keynes.

Keynesian model suggests that the economy is always in disequilibrium because it is always changing, thus resulting in a fluctuating output level. The aggregate demand plays a significant role in determining the output level of an economy. Here are the formulas and explanations you are asking for:Formula for Total Expenditures (TE)The formula for Total Expenditures (TE) is given by the following equation:TE = C + I + G + (X – M)C = Consumption expenditureI = Investment expenditureG = Government expenditureX = ExportM = ImportAutonomous expendituresThe Autonomous expenditures are the expenses that do not depend on the income or output of the economy. The Autonomous expenditures include Government spending (G) and Investment expenditure (I).Induced ExpenditureThe part of Total Expenditure that is induced by RGDP is Consumption expenditure (C). The RGDP refers to the Real Gross Domestic Product. The consumption expenditure changes with the changes in the income of an individual.Marginal propensity to consume (MPC)The marginal propensity to consume (MPC) is the amount that an individual spends on consumption when their income increases by one unit. It is a fraction of the increase in income. It is given by the formula:MPC = ∆C/ ∆Y∆C = Change in Consumption expenditure∆Y = Change in IncomeCalculating the value of marginal propensity to consume (MPC) from Total expenditures graphTo calculate the value of marginal propensity to consume (MPC) from Total expenditures graph, the value of slope has to be determined. The slope of the Total expenditures graph is the marginal propensity to consume (MPC).C = Co + mpc x RGDPTo obtain the Total Expenditures (TE) curve from the consumption function, the following formula can be used:TE = Co + mpc x RGDP + I + G + (X – M)In the above formula, the TE represents the total expenditure, Co represents the autonomous consumption, mpc represents the marginal propensity to consume, RGDP represents the real Gross Domestic Product, I represents the autonomous investment, G represents the autonomous government expenditure, and (X - M) represents the net exports.

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Related Questions

a) Define the price elasticity of demand in terms of percentage changes. (5 marks) The price elasticity of demand in terms of percentage change is the percentage change in quantity demanded in response to percentage a given percentage change in the price of another good, this will compare consumer responsiveness to changes in the price of a product. formula: Price elasticity of demand= Percentage change in quantity demanded/percentage change in price b) Suppose the price elasticity of demand for good X is 2.46 (absolute value), using your definition from part a), explain exactly what this number means. (5 marks) c) Given the price elasticity from part b), will decreasing the price yield greater revenues? Explain. (5 marks)

Answers

The price elasticity of demand in terms of percentage changes is a measure of how responsive the quantity demanded of a product is to a given percentage change in its price.

It compares the percentage change in quantity demanded to the percentage change in price to determine the elasticity of demand. The formula for calculating the price elasticity of demand is:

Price elasticity of demand = Percentage change in quantity demanded / Percentage change in price

If the price elasticity of demand for good X is 2.46 (absolute value), it means that for every 1% increase in the price of good X, the quantity demanded will decrease by 2.46%. Similarly, for every 1% decrease in the price of good X, the quantity demanded will increase by 2.46%.

The positive value of 2.46 indicates that the demand for good X is elastic, meaning that a change in price will have a relatively larger impact on the quantity demanded.

Given the price elasticity of demand of 2.46, decreasing the price will likely yield greater revenues. This is because the demand for good X

However, it is important to consider other factors such as production costs and competitors' reactions when making pricing decisions.

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What is the Capital Market? Name three instruments 2 or 3 ta b. What is indirect finance? Name three instruments it is indire nce Name ti VITUD UeybowWOH C. What do we mean by adverse selection? What tools can solve the problem of adverse selection? d. Name 2 types of depository institutions. e. What is M1? Explain how its parts are money.

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Capital Market refers to the market for securities that are long-term, i.e., with a maturity of more than one year. It allows the sale and purchase of securities such as bonds, equities, and other long-term securities.

Here are the answers to the questions: Three instruments of the capital market are:

Stocks - A stock is a share in the ownership of a company and represents a claim on part of the company’s assets and earnings.

Bonds - Bonds are debt securities that represent loans to the issuer from the investor. They have a predetermined repayment date and interest rate.

Debentures - Debentures are like bonds but they are not secured by collateral. Instead, debenture holders have a claim on the issuer's assets if the issuer fails to pay them. Indirect finance refers to the practice where funds are obtained from savers through financial intermediaries. The intermediaries then lend the funds to borrowers who need them.

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Classify the following eCommerce costs into the following categories and explain why you have selected that category:
Fixed Costs
Variable Costs
Semi-variable Costs
Web hosting
Shipping and handling
Social media advertising
Rent
Pay-per-click advertising
Order fulfillment services

Answers

Here's how the provided eCommerce costs can be classified into the different categories:

1. Fixed Fixed costs remain constant regardless of the level of sales or business activity. They are incurred regardless of the number of units sold or the volume of business operations.

  Category: Rent

  Explanation: Rent is a fixed cost because it represents a regular expense that remains constant over a given period, such as monthly rent for office space or a warehouse. It does not vary based on the number of sales or business activity.

2. Variable Costs:   Variable costs change proportionally with the level of sales or business activity. They increase or decrease as the volume of production or sales varies.

  Category: Shipping and handling, Pay-per-click advertising

  Explanation:   - Shipping and handling: This cost is variable because it depends on the number of orders and shipments made. As more orders are received, the shipping and handling expenses increase accordingly.

  - Pay-per-click advertising: This cost is also variable because it depends on the number of clicks or interactions generated by the advertising campaign. The more clicks or interactions occur, the higher the advertising cost will be.

3. Semi-variable Costs:

  Semi-variable costs have both fixed and variable components. They consist of a fixed portion that remains constant and a variable portion that fluctuates based on sales or business activity.

  Category: Web hosting, Social media advertising, Order fulfillment services   Explanation:

  - Web hosting: It has a fixed component (monthly or annual hosting fee) and a variable component that may increase based on the amount of web traffic or data transfer.   - Social media advertising: This cost can have a fixed component (e.g., monthly management fee) and a variable component based on factors such as the number of ad impressions or clicks.

  - Order fulfillment services: The cost may have a fixed portion (e.g., a base fee) and a variable portion based on the number of orders or the complexity of fulfillment requirements.

It's important to note that the categorization of costs may vary depending on specific circumstances and the cost structure of a particular eCommerce business. The above classifications are general guidelines based on the typical behavior of these costs.

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Do you believe fair treatment will encourage the best firms to
participate in government procurement? 150 words

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Yes, fair treatment will encourage the best firms to participate in government procurement.

Government procurement is the process of purchasing goods and services by the government from private sector firms. It is essential that the government procurement process is fair, open, and transparent to ensure that taxpayers' money is spent wisely.The competition must be open to all firms in the market to ensure the best firms can participate in government procurement. If the government procurement process is perceived as unfair, then the best firms are likely to be discouraged from participating.

This will limit the government's options, which could lead to lower quality goods and services being delivered to the citizens. Fair treatment also promotes integrity, which is essential for sustainable economic growth. The government must ensure that all firms that participate in procurement are treated equally and fairly to ensure that there are no complaints or legal issues. All firms must have equal access to information and opportunities so that they can compete on a level playing field. This will result in better value for taxpayers' money and better service delivery.

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A learning curve reflects the fact that Select one: each time
the number of units produced doubles, the processing time per unit
decreases by a constant percentage each time the number of units
produc

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A learning curve indicates that as the number of units produced doubles, the processing time per unit decreases by a constant percentage each time.

The learning curve concept is based on the observation that with increased experience or repetition, workers become more skilled and efficient, leading to a decrease in the time required to perform a task. According to the learning curve principle, as the cumulative number of units produced doubles, the time required to produce each unit decreases by a constant percentage. This reduction in processing time per unit is known as the learning curve effect.

For example, if a learning curve of 80% is assumed, it means that each time the number of units produced doubles, the processing time per unit decreases by 20%. So, if it initially took 10 hours to produce one unit, after doubling the production to two units, the processing time per unit would decrease by 20% to 8 hours. If the production doubled again to four units, the processing time per unit would decrease by another 20% to 6.4 hours, and so on.

The learning curve concept has practical applications in various industries, such as manufacturing, healthcare, and services, where repetitive tasks or processes are involved. Understanding the learning curve effect helps organizations estimate production costs, optimize resource allocation, and predict future performance based on past production experience.

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An advantage of issuing debt instead of equity is that
a. interest must be paid, regardless of earnings. b. the interest is tax deductible.c. it increases solvency or liquidity risks.d. no leverage is possible.

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An advantage of issuing debt instead of equity is that the interest is tax deductible. Hence, option b is correct.

One advantage of issuing debt instead of equity is that the interest payments on debt are typically tax deductible for the borrower. This means that the company can deduct the interest expense from its taxable income, reducing its overall tax liability. This tax advantage can make debt financing more cost-effective compared to equity financing, where dividend payments are not tax deductible.

Option a is incorrect because interest payments on debt are typically required only if the company has earnings or generates sufficient cash flow to cover the interest obligations. If a company does not have earnings or cash flow, it may still be able to defer or negotiate interest payments.

Option c is incorrect because issuing debt does increase the company's solvency or liquidity risks. Debt creates obligations to repay the principal amount borrowed along with interest, and failure to meet these obligations can lead to financial distress or bankruptcy. However, it is not an advantage of issuing debt compared to equity.

Option d is incorrect because issuing debt involves leveraging the company's capital structure. Debt represents leverage as it allows a company to finance its operations and investments using borrowed funds, thereby magnifying potential returns to equity shareholders.

Therefore, option b is correct.

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In
a private economy, national saving is always equal to investment.
Explain shortly

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In a private economy, national saving is always equal to investment. This equality arises from the fact that saving represents the portion of income not consumed, which is then available for investment.

In a private economy, national saving is equal to investment due to the relationship between saving and investment in the economic system. Saving refers to the portion of income that households, businesses, and the government choose to save rather than consume. It represents the funds that are set aside for future use or investment.

On the other hand, investment refers to the expenditure made by businesses and other economic entities to acquire new capital goods, such as machinery, equipment, and buildings, or to increase inventories. Investment represents the utilization of saved funds to expand production capacity, enhance productivity, and stimulate economic growth.

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Which of the five competitive forces in 3D printing industry are
strong or weak?

Answers

The competitive forces in the 3D printing industry include supplier power, buyer power, competitive rivalry, threat of new entrants, and threat of substitutes.

Supplier Power: The supplier power in the 3D printing industry is generally weak. The industry relies on various raw materials, components, and technologies that are widely available from multiple suppliers. This reduces the bargaining power of individual suppliers and allows companies to switch between suppliers based on factors such as price and quality.

Buyer Power: Buyer power in the 3D printing industry can vary. While individual consumers may have limited power due to the niche nature of 3D printing products, large industrial buyers and businesses often have significant bargaining power. They can negotiate favorable terms, bulk discounts, and have the option to switch between suppliers.

Competitive Rivalry: Competitive rivalry in the 3D printing industry is strong. There are numerous companies competing in the market, offering similar products and technologies. This leads to intense competition, price wars, and innovation as companies strive to gain market share and differentiate themselves.

Threat of New Entrants: The threat of new entrants in the 3D printing industry is relatively weak. The industry requires substantial investment in research and development, specialized equipment, and expertise. Existing players often have established relationships, patents, and proprietary technologies, creating barriers to entry for new entrants.

Threat of Substitutes: The threat of substitutes in the 3D printing industry is moderate. While 3D printing offers unique capabilities and advantages, traditional manufacturing methods and other technologies can still serve as substitutes for certain applications. The availability and competitiveness of substitutes can impact the demand for 3D printing products.

In summary, the supplier power is weak, buyer power can vary, competitive rivalry is strong, the threat of new entrants is weak, and the threat of substitutes is moderate in the 3D printing industry.

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If the money multiplier is 8, the required reserve ratio is O a. 12.5%. O b. 8%. O c. 20%. O d. 16%.

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If the money multiplier is 8, the required reserve ratio is 12.5%. (Option A)

The money multiplier is a measure of the potential increase in the money supply through the banking system's lending and deposit creation process. It is calculated as the reciprocal of the required reserve ratio.

In this case, since the money multiplier is given as 8, we can determine the required reserve ratio by taking the reciprocal of the money multiplier. The reciprocal of 8 is [tex]\frac{1}{8}[/tex], which is equal to 0.125 or 12.5% when expressed as a percentage.

Therefore, the required reserve ratio is 12.5%. This means that banks are required to hold reserves equal to 12.5% of their deposits, while the remaining 87.5% can be lent out to borrowers or used to create additional deposits through the money creation process.

By knowing the money multiplier and the required reserve ratio, policymakers and central banks can influence the money supply in the economy by adjusting the reserve requirements imposed on banks.

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Allocation Company has two service departments, S1 and S2, and two operating departments, P1 and P2. Each service department provides services to the other three departments.
S1 S2 P1 P2
Costs P8,000 P4,000 P32,000 P36,000
Machine-hours used 1,000 2,000 1,500 2,500
Number of Employees 100 200 250 150
S1 uses machine hours as the cost driver, while S2 uses the number of employees.
1. Using the direct method, what is the total cost of P2?
2.Using the direct method, what is the total cost of P1?
3. Using the step method, what is the total cost of P1 considering that the highest service cost is S1?
4. Using the reciprocal method, what is the total cost of P1?
5. Using the step method, what is the total cost of P2 considering that the highest service cost is S1?
6. Using the reciprocal method, what is the total cost of P2?

Answers

Directly allocating S1 and S2 costs to P1 gives P1's total cost. P1 costs $32,000 plus $8,000 from S1 for a total of $40,000. P2's total cost. Let S2's cost allocation rate per employee be $0.25. P2 costs $36,000 plus ($0.25 * 200 employees) for $36,050.

The step technique allocates S1 and S2 costs to P1, starting with S1 since it has the highest service cost. S1 is allocated $2 for every machine hour. S1 allocates $3,000 since P1 requires 1,500 machine hours. P1 costs $32,000 (its own cost) plus $3,000 (S1) and $4,000 (S2), totaling $39,000. The reciprocal method uses S1 and S2's mutual services to calculate P1's total cost. S1's cost allocation rate per machine hour is $0.5. P1 costs $32,000 plus $0.5 * 1,500 machine hours, totaling $32,750.

The step technique allocates S1 and S2 expenses to P2, starting with S1. S1's budgeted cost is $2 * 2,500 = $5,000 if P2 consumes 2,500 machine hours. P2's overall cost is $45,000: $36,000 (its own cost), $5,000 (S1), and $4,000 (S2).

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A corporation issued 240 shares of its $5 par value common stock in payment of a $3.200 charge from its accountant for assistance in filing its charter with the state. The entry to record this transaction will include: Multiple Choice o A $3.200 credit to cash o A $1200 debit to Organisation o A $2.000 credit to Paid-in Capital in Excess of Par Valve Common Stock o A $3.200 debit to Legal Expenses o A $1.200 credit to Common Stock

Answers

The entry to record the transaction will include: A $2,000 credit to Paid-in Capital in Excess of Par Value Common Stock

A $1,200 credit to Common Stock

The corporation issued 240 shares of its $5 par value common stock in payment of a $3,200 charge from its accountant. The par value of each share is $5, so the total par value of the shares issued is 240 shares x $5 = $1,200. The excess amount paid over the par value is $3,200 - $1,200 = $2,000.

The entry credits the Common Stock account for the par value of the shares ($1,200) and credits the Paid-in Capital in Excess of Par Value Common Stock account for the excess amount paid over the par value ($2,000). There is no cash involved in this transaction, so there is no debit or credit to the Cash account.

Therefore, the correct answer is:

A $2,000 credit to Paid-in Capital in Excess of Par Value Common Stock

A $1,200 credit to Common Stock

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Find the interest rates earned on each of the following. Round your answers to the nearest whole number. a. You borrow $720 and promise to pay back $792 at the end of 1 year. % b. You lend $720 and th

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a. To find the interest rate earned when borrowing $720 and promising to pay back $792 at the end of 1 year, we can use the formula for simple interest:

Interest = Principal x Rate x Time

Given that the principal (P) is $720, the amount to be repaid (A) is $792, and the time period (T) is 1 year, we can rearrange the formula to solve for the rate (R):

Rate = (A - P) / (P x T)

Plugging in the values:

Rate = (792 - 720) / (720 x 1)

Rate = 72 / 720

Rate ≈ 0.1 or 10%

Therefore, the interest rate earned on borrowing $720 and promising to pay back $792 at the end of 1 year is approximately 10%.

b. To find the interest rate earned when lending $720, we need additional information such as the amount to be repaid or the interest earned. Without this information, it is not possible to calculate the interest rate earned on the lending.

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A restaurant achieved $150,000 in net income. The restaurant's balance sheet shows assets of $600,000, and liabilities of $200,000. What is this restaurant's return on equity ratio? a. 37.5% b. 3.75% с 0.375% d. 37.5% Which is NOT a question managers should ask when assessing whether or not a course of action is ethical? a. Would I publicize my action? b. Is it legal? c. Will I get caught? d. Am I being honest? Flow through is calculated to help hotel managers identify :
a. the impact of increases in revenue on CPOR b. the impact of increases in revenue on GOP. c. the effect of cost cutting on profitability GOP d. the effect of decreases in ADR on RevPAR

Answers

To calculate the return on equity ratio, we can use the formula:

Return on Equity = (Net Income / Equity) * 100

Given that the net income is $150,000 and the equity is $600,000 - $200,000 = $400,000, we can calculate the return on equity ratio.

Return on Equity = (150,000 / 400,000) * 100

Return on Equity = 37.5%

Therefore, the return on equity ratio for the restaurant is 37.5%.

The question that managers should NOT ask when assessing whether or not a course of action is ethical is:

c. Will I get caught?

Asking this question solely focuses on the potential consequences of getting caught, rather than considering the ethical implications of the action itself.

Flow through is calculated to help hotel managers identify:

b. the impact of increases in revenue on GOP (Gross Operating Profit).

Flow through analysis helps managers understand how changes in revenue impact the profitability of a hotel by examining the relationship between revenue and gross operating profit (GOP). It allows them to assess the efficiency of cost management and evaluate the effectiveness of revenue-generating strategies.

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Thank you
QUESTION 2 [20 MARKS] (a) Critically Discuss the role of Budgeting in a project. [10 Marks] (b) Discuss what are meant by Stakeholders with examples and state why they are crucial for project success.

Answers

(a) The Role of Budgeting in a Project: Budgeting plays a crucial role in project management as it provides a financial framework and control mechanism throughout the project lifecycle.

(b) Stakeholders and their Importance in Project Success: Stakeholders are individuals, groups, or organizations that have an interest, influence, or involvement in a project and can directly or indirectly affect its outcome.

Stakeholders are individuals, groups, or entities that have an interest or concern in a particular organization, project, or initiative. They are commonly affected by the outcomes, decisions, or activities of the entity in question and, therefore, hold a stake in its success or failure. Stakeholders can include a wide range of individuals and groups such as employees, customers, investors, suppliers, government agencies, local communities, and non-profit organizations.

Each stakeholder has unique expectations, needs, and perspectives that influence their level of involvement and the extent of their influence on the organization. For example, employees may be concerned about job security and fair compensation, while customers may prioritize product quality and customer service. Investors may focus on financial returns, and local communities may be concerned about environmental impacts or social responsibility.

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Which of the following is true about salaried employees? (You may select more than one answer. Single click question mark to produce a check mark for a correct answer and double click the box with the question ma a wrong answer. Any boxes left with a question mark will be automatically graded as incorrect.) ? They are not subject to provisions of FLSA. ? The minimum wage is $7.25 per hour. ? They may not work more than 45 hours per week. ? The minimum annual salary is $35,568.

Answers

The only true statement among the options provided is that the minimum annual salary for certain exempt salaried employees is $35,568.

Among the given statements, the true statement about salaried employees is that the minimum annual salary is $35,568. This refers to the minimum salary threshold for exempt employees as set by the Fair Labor Standards Act (FLSA) in the United States. Salaried employees who meet certain criteria and are classified as exempt from overtime pay must earn at least the minimum annual salary to qualify for exemption.

Therefore, the minimum annual salary is $35,568.

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FIFO and LIFO Costs Under Perpetual Inventory System
The following units of an item were available for sale during the year:

Beginning inventory 21,600 units at $20.00
Sale 14,400 units at $40.00
First purchase 48,000 units at $25.20
Sale 36,000 units at $40.00
Second purchase 45,000 units at $26.40
Sale 33,000 units at $40.00
The firm uses the perpetual inventory system, and there are 31,200 units of the item on hand at the end of the year
a. What is the total cost of the ending inventory according to FIFO?
b. What is the total cost of the ending inventory according to LIFO?

Answers

a) The total cost of the ending inventory according to FIFO is $1,043,200. Under FIFO, it is assumed that the first units purchased are the first ones sold.

To calculate the ending inventory cost according to FIFO, we start by using the earliest inventory units available and work our way forward. Let's calculate:

Beginning Inventory: 21,600 units at $20.00 = $432,000

First Purchase: 14,400 units at $25.20 = $362,880

Second Purchase: 16,800 units at $26.40 (31,200 - 14,400) = $443,520

Total cost of the ending inventory according to FIFO:

$432,000 (Beginning Inventory) + $362,880 (First Purchase) + $443,520 (Second Purchase) = $1,043,200

b)  The total cost of the ending inventory according to LIFO is $1,041,600. Under LIFO, it is assumed that the last units purchased are the first ones sold.

To calculate the ending inventory cost according to LIFO, we start with the most recent inventory units and work our way backward. Let's calculate:

Second Purchase: 16,800 units at $26.40 (31,200 - 14,400) = $443,520

First Purchase: 14,400 units at $25.20 = $362,880

Beginning Inventory: 4,000 units at $20.00 (14,400 - 10,400) = $80,000

Total cost of the ending inventory according to LIFO:

$443,520 (Second Purchase) + $362,880 (First Purchase) + $80,000 (Beginning Inventory) = $1,041,600

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Identify an online sales company and explain how the concepts of complexity and divergence apply. Provide specific examples in your response.

Answers

One online sales company that can be used as an example for discussing complexity and divergence is Amazon. The concept of complexity is evident in Amazon's vast product range and supply chain, which comprises millions of products and thousands of suppliers located in different parts of the world.

The company has several warehouses and distribution centers worldwide to cater to its customer base. Therefore, managing such a large-scale supply chain and product range can be challenging and requires sophisticated management and logistics systems. Amazon’s supply chain infrastructure requires immense coordination between suppliers, warehouses, distribution centers, and transporters, and any disruption can lead to significant financial losses for the company.Divergence is another concept that applies to Amazon. Amazon uses sophisticated algorithms to personalize its user experience by recommending products to customers based on their browsing and purchase history, searches, and other factors. These algorithms are designed to recognize patterns and provide customers with personalized recommendations. By doing so, Amazon has been able to drive up customer engagement and sales. Additionally, Amazon uses data analytics to identify customer needs and preferences and adjusts its product range and supply chain accordingly. For example, in response to the COVID-19 pandemic, Amazon prioritized its logistics system to ensure that essential products such as medical supplies and food items are available to customers on time. As a result, the company was able to meet the surge in demand and generate higher sales.

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Accrued tax liability of $300,000 was recorded twice at December 31, 2020. Office supplies on hand of $40,000 at December 31, 2021 were erroneously treated as expense instead of supplies inventory. Neither of these errors was discovered nor corrected. The effect of these two errors would cause retained earnings at December 31, 2021 to be in error by what amount?

Answers

The combined effect of these two errors on retained earnings at December 31, 2021 would be a decrease of $300,000 if the office supplies on hand were used during the year, or no effect if the supplies were not used.

To determine the effect of these errors on retained earnings at December 31, 2021, we need to analyze each error separately.

Accrued tax liability recorded twice at December 31, 2020:

Since the accrued tax liability was recorded twice, it means that an extra expense of $300,000 was recognized in the financial statements for 2020. This overstatement of expenses reduces net income and, consequently, reduces retained earnings. Therefore, the effect on retained earnings at December 31, 2021 would be a decrease of $300,000.

Office supplies on hand treated as expense instead of supplies inventory:

By treating office supplies on hand as an expense, it means that an expense of $40,000 was recognized in the financial statements for 2021 that should have been treated as an asset (supplies inventory). This understatement of assets does not affect net income directly but does affect retained earnings. The effect on retained earnings depends on whether the supplies were used or not in 2021. If the supplies were used, the effect on retained earnings would be an additional decrease of $40,000. However, if the supplies were not used, there would be no effect on retained earnings.

Therefore, the combined effect of these two errors on retained earnings at December 31, 2021 would be a decrease of $300,000 if the office supplies on hand were used during the year, or no effect if the supplies were not used.

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When using the periodic method, a company does not have a CMS account. The
company must therefore calculate the CMS in the Income Statement. Fill in the
appropriate amounts and $ signs when needed.
McAlister Co.
Partial Income Statement
For the month ending Feb. 28, 20X1
Juno Co.
Partial Income Statement
For the month ending Feb. 28, 20X1
Sales $12,500 $62,900
Beginning Inventory $150 $4,400
Purchases $6,600 $43,590
Purchase Returns & Allow. $40 $1,500
Purchase Discounts 20 60 (f) (g)
Net Purchases (a) $41,090
Freight-In 130 (h)
Cost of merchandise purchases (b) (i)
Cost of Merch. Available for Sale $6,820 (j)
Ending Inventory 310 3,600
Cost of Merchandise Sold (c) 43,300
Gross Profit (d) (k)

Answers

The cost of merchandise sold (CMS) for McAlister Co. is $43,300 and the gross profit is $8,200.

The CMS for Juno Co. is $62,300 and the gross profit is $1,600.

To calculate the CMS, we first need to calculate the net purchases. Net purchases are calculated by deducting purchase returns and allowances from purchases and adding purchase discounts. For McAlister Co., net purchases are $41,090. For Juno Co., net purchases are $42,990.

Once we have calculated the net purchases, we can calculate the CMS by adding freight-in to net purchases. For McAlister Co., the CMS is $6,820. For Juno Co., the CMS is $65,590.

Finally, we can calculate the gross profit by subtracting the CMS from sales. For McAlister Co., the gross profit is $8,200. For Juno Co., the gross profit is $1,600.

Here are the detailed steps for calculating the CMS and gross profit for each company:

McAlister Co.

Calculate net purchases:

Net Purchases = Purchases - Purchase Returns & Allowances + Purchase Discounts

Net Purchases = $6,600 - $40 + $20

Net Purchases = $41,090

Calculate CMS:

CMS = Net Purchases + Freight-In

CMS = $41,090 + $130

CMS = $6,820

Calculate gross profit:

Gross Profit = Sales - CMS

Gross Profit = $12,500 - $6,820

Gross Profit = $8,200

Juno Co.

Calculate net purchases:

Net Purchases = Purchases - Purchase Returns & Allowances + Purchase Discounts

Net Purchases = $43,590 - $1,500 + $60

Net Purchases = $42,990

Calculate CMS:

CMS = Net Purchases + Freight-In

CMS = $42,990 + $130

CMS = $65,590

Calculate gross profit:

Gross Profit = Sales - CMS

Gross Profit = $62,900 - $65,590

Gross Profit = $1,600

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Break-Even Point Lablanc Inc. sells a product for $95 per unit. The variable cost is $54 per unit, while fixed costs are $576,583. Determine (a) the break-even point in sales units and (b) the break-e

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(a) The break-even point in sales units can be calculated by dividing the fixed costs by the contribution margin per unit.(b) The break-even point in sales dollars can be calculated by multiplying the break-even point in units by the selling price per unit.

Selling price per unit: $95 Variable cost per unit: $54 Fixed costs: $576,583 Contribution margin per unit = Selling price per unit - Variable cost per unit Contribution margin per unit = $95 - $54 = $41 (a) Break-even point in sales units = Fixed costs / Contribution margin per unit Break-even point in sales units = $576,583 / $41 (b) Break-even point in sales dollars = Break-even point in sales units * Selling price per unit To calculate the break-even point in sales units, we divide the fixed costs by the contribution margin per unit. This tells us how many units need to be sold in order to cover the fixed costs. To calculate the break-even point in sales dollars, we multiply the break-even point in units by the selling price per unit. This gives us the total sales revenue needed to cover the fixed costs and achieve the break-even point.Without the actual values for the fixed costs, the break-even point in sales units and sales dollars cannot be determined precisely.

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Explain in brief the stages of case management pipeline in public service

Answers

Case management is a way of coordinating and managing a client's healthcare, rehabilitation, and social welfare services.

The stages of the case management pipeline in public service are:1. Intake The intake phase is when the client's basic details are collected. The intake interview is used to collect demographic information and to establish the client's eligibility for services. The case manager should explain the agency's services and their purpose in the first interview, as well as outline the agency's policies, rules, and regulations.

Assessment includes gathering data on the client's physical, emotional, social, economic, and spiritual health, as well as their family, social, and environmental circumstances. The assessment aims to establish the client's strengths and weaknesses, identify obstacles, and establish a foundation for developing an individualized service plan.

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Discuss the motivations and techniques of Asset and Liability
Management.
anage interest rate risk. 8. Discuss the motivations and techniques of Asset and Liability Management.

Answers

Asset and Liability Management (ALM) is a process that involves the management of a financial institution's assets and liabilities in such a way that they maintain an adequate level of liquidity and profitability. In other words, it is a risk management technique that focuses on balancing the risks associated with a bank's assets and liabilities. There are two main motivations behind ALM, which are risk management and profitability.

The primary goal of ALM is to mitigate risks that arise from interest rate changes and other market factors that can impact a bank's financial position. Banks use various techniques to manage these risks, including duration matching, gap analysis, and immunization strategies.

Duration matching involves matching the maturity of a bank's assets and liabilities so that they have the same duration. This ensures that the bank's income is not affected by changes in interest rates. Gap analysis is a process where banks compare the interest rate sensitivity of their assets and liabilities to determine the impact of interest rate changes on their net income.

Immunization strategies involve hedging against potential interest rate changes using financial derivatives such as options, swaps, and futures. By using these instruments, banks can minimize their exposure to interest rate risk and ensure that their net income remains stable even in changing market conditions.

In summary, the primary motivation behind ALM is risk management and profitability. Banks use various techniques, including duration matching, gap analysis, and immunization strategies to manage risks associated with their assets and liabilities. ALM is an important process for banks as it ensures that they remain profitable and financially stable even in changing market conditions.

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The real
estate/legal term for the illegal refusal of a loan
or insurance based upon a property’s location (zip code) is
__________________________________________________.

Answers

The real estate/legal term for the illegal refusal of a loan or insurance based upon a property’s location (zip code) is redlining.

What is this process?

Redlining is the practice of denying loans or insurance to individuals or communities based on their race, ethnicity, or socioeconomic status.

The term originated in the 1930s when the Federal Housing Administration drew maps of cities to determine which areas were considered too risky for investment, and were subsequently labeled as "redlined."This discriminatory practice has been illegal since the passage of the Fair Housing Act in 1968, which prohibits discrimination based on race, color, religion, sex, national origin, disability, and familial status.

Redlining is still prevalent in some areas, and there have been efforts to combat this practice through the enforcement of fair lending laws and the promotion of community reinvestment programs.

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Question 2
2.1 Identify Tshidi Udjo's leadership style and discuss the reasons for your answer.
2.2 Peter needs to constantly motivate his thirteen subordinates to ensure that the goals of Dellipo constructions are achieved. Briefly describe the motivation process Peter needs to follow to motivate his subordinates.
2.3 There are three fundamental approaches that Bingi can follow when making an ethical choice between various options and to defend difficult decisions. Discuss the three approaches to ethical decisions making Bingi can follow at Dellipo constructions.
2.4 Discuss the three approaches Tshidi can use, to manage diversity in Dellipo constructions.

Answers

Tshidi can establish diversity councils to encourage collaboration and diversity management throughout the organization.

2.1 Leadership style is a kind of personality that determines a leader's management style. Tshidi Udjo's leadership style is democratic. She is inclusive of her team members' contributions and opinions, and encourages team members to take part in the decision-making process. In addition, she promotes open communication and emphasizes the importance of collaboration among team members. Tshidi is aware of the strengths and limitations of her team members, and she uses them in the decision-making process. She trusts her team members to complete their tasks and she monitors their progress and performance. Her ability to motivate and engage her team members is critical to her success as a leader.
2.2 To motivate his subordinates, Peter must follow the motivation process, which consists of the following steps: identifying needs, setting goals, creating incentives, and evaluating performance. Identifying the needs of his subordinates is the first step in motivating them. By recognizing their requirements, Peter can motivate them to complete their tasks. Peter should establish clear goals that his subordinates must accomplish to meet Dellipo Constructions' objectives. He should create incentives to motivate his subordinates. Incentives may take the form of bonuses, promotions, or other benefits. Finally, evaluating his subordinates' performance to identify areas for improvement is necessary.
2.3 The three fundamental approaches to ethical decision-making Bingi can follow at Dellipo constructions are consequentialism, deontology, and virtue ethics. Consequentialism is an ethical approach that emphasizes the consequences of actions rather than the intentions behind them. Deontology is an ethical theory that stresses the importance of following rules and principles regardless of the consequences. Virtue ethics is an ethical approach that emphasizes the importance of moral character and virtues in decision-making.
2.4 The three approaches Tshidi can use to manage diversity in Dellipo constructions are cultural competence, diversity training, and diversity councils. Cultural competence refers to the ability to work effectively with people from different cultures. Tshidi can ensure that her team members have the necessary skills and knowledge to work effectively with people from different cultures. Tshidi can implement diversity training programs to increase awareness and understanding of different cultures, which can improve team members' communication and collaboration. Lastly, Tshidi can establish diversity councils to encourage collaboration and diversity management throughout the organization.

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tour company uses two measures of activity, routes and passengers in its cost formulas used for budgeting and performance evaluation. The cost formula for tour operating costs is $56,860 per month plus $2,880 per route plus $14 per passenger. The company expected in August to perform 87 routes and serve 257 passengers, but the actual activity was 98 routes and 264 passengers. The actual tour operating costs in August was $305,100. The spending variance for tour operating costs in August would be closest to:
Multiple Choice
$37,696 Unfavorable
$37,696 Favorable
$5,918 Unfavorable
$5,918 Favorable
$31,778 Favorable

Answers

The spending variance for tour operating costs in August would be closest to $5,918 Unfavorable.

To calculate the spending variance for tour operating costs, we need to compare the actual costs with the expected costs based on the given cost formula and activity levels.

The cost formula for tour operating costs is:

Fixed cost: $56,860 per month

Variable cost per route: $2,880

Variable cost per passenger: $14

Expected activity levels in August:

Routes: 87

Passengers: 257

Expected tour operating costs:

Fixed cost: $56,860

Variable cost for routes: $2,880 * 87 = $250,560

Variable cost for passengers: $14 * 257 = $3,598

Total expected costs: $56,860 + $250,560 + $3,598 = $311,018

Actual activity levels in August:

Routes: 98

Passengers: 264

Actual tour operating costs: $305,100

To calculate the spending variance:

Spending variance = Actual costs - Expected costs

Spending variance = $305,100 - $311,018 = -$5,918

Since the spending variance is negative, indicating that the actual costs are lower than expected, the answer would be $5,918 Unfavorable.

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Illustrate and describe the likely effects of the SARB's decrease in the repo rate on the long-term interest rate channel. Pay specific attention to the influence on real investment decisions. Take note: You need to upload a document containing your figure and explanation/ description. You can draw the figure by hand, take a picture, copy and paste it into a Word document and upload it here or alternatively create your figure using Word. Please ensure that the figure is clear and visible once uploaded. Remember after "browsing" for your document, click on "upload" before you move to the next question. Reading extract 2 Question 2 & 3.pdf 80 KB Click "Browse" to locate your file and then click "Upload" to upload your file. (Maximum file size: 20MB)

Answers

Figure:Effects of a decrease in SARB's repo rate on long-term interest rate channelDescription:SARB's decrease in the repo rate has a direct effect on the long-term interest rate channel.

The long-term interest rate is affected by the short-term interest rate, inflation, and the expected rate of return. The decrease in the repo rate will lead to lower short-term interest rates. As a result, investors will not be incentivized to hold short-term investments as their rate of return will be low. Instead, they will look to long-term investments that offer a higher rate of return.This will lead to an increase in demand for long-term investments. Since the supply of long-term investments is limited, the price of these investments will increase, leading to a decrease in their yield. This decrease in yield will lead to a decrease in the long-term interest rate. As a result, borrowing costs for long-term investments will be lower. This will incentivize businesses to invest in long-term projects, leading to an increase in real investment decisions.Overall, the decrease in SARB's repo rate will lead to an increase in demand for long-term investments, which will decrease the long-term interest rate and lower borrowing costs for businesses. This will incentivize businesses to invest in long-term projects, leading to an increase in real investment decisions.

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What decision-making style typically reflects the highest amount of subordinate control over the decision? delegative autocratic consult the individual facilitative QUESTION 26 Which statement accurately portrays the difference between leadership and management? Managers have a short-term perspective while leaders have a long-term perspective. A leader's role is formally defined by the organization, but a manager's role is not. Leaders are more concerned with an overall vision; managers are more concerned with day-to-day operations. A manager is concerned with motivating employees while a leader is concerned with directing employees. QUESTION 27 is an external aspect of a SWOT analysis, and is an internal aspect. Opportunities; strengths Opportunities; threats Strengths; threats Weaknesses; opportunities QUESTION 28 The country in which an organization operates a facility or conducts other business activities is known as the: host country. third country national. subsidiary country. home country. QUESTION 29 Which of these lists the phases of innovation in the appropriate order? ideas, invention, innovation, imitation ideas, introduction, imitation, international imitation, innovation, international, improve imitation, invention, innovation, ideas QUESTION 30 The fall in unit costs with higher levels of output due to spreading fixed costs over greater amounts of output is the definition of scale economies. learning economies. overcapacity. cost advantage.

Answers

It is also useful in situations where the subordinates have more experience or expertise in a particular area than the leader. Consultative decision-making provides the leader with a better understanding of the situation, and this helps in making a more informed decision.

The decision-making style that typically reflects the highest amount of subordinate control over the decision is consultative. This style provides a higher level of subordinate control over the decision. Consultative style of decision-making is where leaders consider the views of the team members before making decisions. In this style, the final decision is made by the leader, but the views and opinions of the subordinates are taken into account before making the decision. This style provides a higher level of subordinate control over the decision. The team members feel involved in the decision-making process, and their opinions are taken seriously by the leader. This results in increased job satisfaction and motivation among the employees. This style of decision-making is useful in situations where the leader does not have all the information required to make a decision. In such cases, the subordinates can provide valuable insights, which can help the leader make a better decision. Moreover, it is also useful in situations where the subordinates have more experience or expertise in a particular area than the leader. Consultative decision-making provides the leader with a better understanding of the situation, and this helps in making a more informed decision.

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Question 55 (10 points) Discuss one of the elements that must be in place for a firm to achieve profitable price discrimination. Provide an example.

Answers

One of the key elements that must be in place for a firm to achieve profitable price discrimination is market segmentation.

Market segmentation involves dividing customers into distinct groups based on their characteristics, preferences, or purchasing behavior. By identifying and understanding these segments, a firm can tailor its pricing strategies to maximize profits.

An example of market segmentation and profitable price discrimination can be seen in the airline industry. Airlines often differentiate their prices based on various factors such as travel class, time of booking, flexibility, and destination. They recognize that different customer segments have different willingness to pay for air travel based on their needs and preferences.

For nce, business travelers who require flexibility and convenience are willing to pay higher prices for last-minute bookings or premium services. On the other hand, leisure travelers who plan in advance and are more price-sensitive may opt for lower-priced economy class tickets. By offering different fare s to different customer segments, airlines can extract higher revenues from those willing to pay more while still attracting price-sensitive customers.

Market segmentation allows airlines to effectively implement price discrimination by offering differentiated prices to different customer groups based on their perceived value. This strategy enables the firm to capture a larger share of consumer surplus and optimize revenue generation.

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Consider the following consumer’s problem: U(X,Y) = 3X + 2Y. Prices are Px =
$5, Py = $10 and Income is m = $500.
a) Sketch the budget set. What is the slope of the Budget Line? What are maximal possible
consumptions of X and Y?
b) Show that the MRSXY = -3/2.
c) Sketch the indifference curves onto the budget set and show that, given these prices, optimal
consumption implies Y = 0.
d) Find the consumer’s optimal consumption bundle (X*, Y*) given these prices and income.
e) How high would the price of X have rise for the consumer to choose Y > 0? Explain.
 Are goods X and Y substitutes or complements? Explain.

Answers

a) Sketch the budget set. What is the slope of the Budget Line? What are maximal possible consumptions of X and Y?he optimal consumption implies Y = 0 at point E on the graph. The budget line is tangent to the indifference curve at this point, implying that the optimal consumption is at this point.

Find the consumer’s optimal consumption bundle (X*, Y*) given these prices and income. The optimal consumption bundle is found at point E on the graph. At point E, X = 125 and Y = 0Hence, the optimal consumption bundle is (125, 0)e) How high would the price of X have to rise for the consumer to choose Y > 0? Explain. To find the answer, we need to consider the optimal consumption bundle at point E. The equation of the budget line is given as follows;5X + 10Y = 500At point E, the equation of the tangent line is;5X + 10(0) = 500X = 100Thus, at point E, the price of X is $5.The price of X has to rise to $10 for the consumer to choose Y > 0. This is because, at point E, the slope of the budget line is -0.5 and the slope of the indifference curve is -1.33. For the consumer to choose Y > 0, the slope of the budget line has to be equal to the slope of the indifference curve. This occurs when the price of X rises to $10. At this price, the slope of the budget line becomes -1.33, which is equal to the slope of the indifference curve. This intersection occurs at point F on the graph. At this point, X = 66.67 and Y = 33.33. The optimal consumption bundle is (66.67, 33.33).Are goods X and Y substitutes or complements? Explain.The marginal rate of substitution between X and Y is constant and is given as -3/2. The magnitude of the MRS is greater than 1, implying that goods X and Y are substitutes. This is because the consumer is willing to tradeoff more units of Y for each unit of X.

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Marquel's employer contributes $1,000 semi-annually to his
retirement account, which earns 13% interest that is compounded
monthly. How much money will be in his retirement account at the
end of 40 ye

Answers

Using the compound interest formula:

A = 0(1 + 0.13/12)^(1240) + $1,000[(1 + 0.13/12)^(1240) - 1] / (0.13/12)

Calculating this expression will give us the total amount in Marquel's retirement account after 40 years with the semi-annual contributions and monthly compounding interest.

To calculate the amount of money in Marquel's retirement account at the end of 40 years, we need to consider the semi-annual contributions and the monthly compounding interest.

Given:

Employer contribution: $1,000 semi-annually

Interest rate: 13% per year (compounded monthly)

Time period: 40 years

To find the future value of Marquel's retirement account, we can use the compound interest formula:

A = P(1 + r/n)^(nt)

Where:

A = Future value of the account

P = Principal amount (initial balance)

r = Annual interest rate (in decimal form)

n = Number of times the interest is compounded per year

t = Time period in years

In this case, the principal amount (P) is zero since we are considering only the contributions made by the employer. The future value (A) will represent the total amount in the retirement account after 40 years.

Let's calculate the future value:

Number of semi-annual contributions = 40 years * 2 (semi-annual contributions per year) = 80

Semi-annual contribution = $1,000

Using the compound interest formula:

A = 0(1 + 0.13/12)^(1240) + $1,000[(1 + 0.13/12)^(1240) - 1] / (0.13/12)

Calculating this expression will give us the total amount in Marquel's retirement account after 40 years with the semi-annual contributions and monthly compounding interest.

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