Consumer surplus refers to the difference between the highest price a consumer is willing to pay for a good or service and the actual market price they pay.
If cellphones are normal goods and buyers of cell phones experience an increase in income, the consumer surplus in the cellphone market will increase.
The reason for this is that normal goods have a positive income elasticity of demand, meaning that as incomes increase, demand for these goods increases as well.
This increase in demand will lead to an increase in both the quantity demanded and the price of cell phones.
However, since the buyers now have more income, they are willing and able to pay the higher price for cell phones, resulting in a larger consumer surplus for them.
Consumer surplus can also be seen as a measure of consumer welfare, so an increase in consumer surplus means that consumers are better off.
As buyers have more income, they will have more purchasing power, which will increase their options and choices of goods and services they can buy.
They can now afford to purchase cell phones at a higher price than before.
This increase in purchasing power will make buyers better off, and it is reflected in the increase in their consumer surplus.
In conclusion, if cellphones are normal goods and buyers of cell phones experience an increase in income, the consumer surplus in the cellphone market will increase.
This increase in consumer surplus is due to the positive income elasticity of demand that normal goods have.
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a company's interest expense is $10,000. its income before interest expense and income taxes is $45,000. its net income is $14,400. the company's times interest earned ratio equals:
The company's times interest earned ratio is 4.5.
The ability of a business to make debt payments on time is gauged by the interest coverage ratio or times interest collected. EBIT or EBITDA divided by the total interest expense might be used to determine it.
The times interest earned ratio is calculated by dividing the income before interest expense and income taxes by the interest expense.
Times interest earned ratio = Income before interest expense and income taxes / Interest expense
Substituting the given values:
Times interest earned ratio = $45,000 / $10,000
Times interest earned ratio = 4.5
As a result, the company's ratio of times interest earned is 4.5.
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currently owns 200 shares of abc common stock abc announcers a341 sox play after the split how many shares
The ABC company has announced a 3-for-1 stock split.
After the split, the owner of 200 shares of ABC Common Stock will have 600 shares of stock.
A stock split is a corporate action in which a company divides its existing shares into multiple shares. The new shares created by a stock split are proportional to the existing shares held by the shareholders.
For example, in a 3-for-1 split, each existing share is split into three new shares. The value of the new shares is one-third of the original shares.
As a result, the total number of shares held by the shareholder will be tripled, but the value of the shareholder's holdings will remain the same.
In the case of the ABC company, the shareholder will own 600 shares, each of which will be worth one-third of the original share value.
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explain what effect a reduction in the unemployment rate will have on the real wage based on: (1) the ws relation; and (2) the ps relation.
Effect of a reduction in the unemployment rate on real wage based on the ws relation and the ps relation:
Ws = f(u, z), and
Ps = f(w, z)
The above relation is referred to as the wage-setting relation. It is the equation that depicts the determination of the wage rate by the bargaining power of the workers and the firms. The wage rate in the above relation is determined by the unemployment rate and other economic factors.
The increase in the unemployment rate results in a decrease in the wage rate, whereas the decrease in the unemployment rate results in an increase in the wage rate. Therefore, a reduction in the unemployment rate will increase the wage rate.
Ps = f(w, z)
The above relation is known as the price-setting relation. It is the equation that describes the determination of the price level by the firms. The price level in the above relation is determined by the wage rate and other economic factors.
The increase in the wage rate results in an increase in the price level, whereas the decrease in the wage rate results in a decrease in the price level. Therefore, a reduction in the unemployment rate will increase the wage rate, which will increase the price level.
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compute the acquisition of plant assets for media corporation during . the business sold no plant assets during the year. assume the company paid cash for the acquisition of plant assets. the acquisition of equipment is
To compute the acquisition of plant assets for media corporation during the year, we need to look at the cash paid for the acquisition of plant assets. Since the business sold no plant assets during the year, the acquisition of equipment will be equal to the cash paid for the acquisition of plant assets.
However, based on the information provided, we know that the company did not sell any plant assets during the year and paid cash for the acquisition of plant assets. We also know that the acquisition of equipment is a type of plant asset. Plant assets are long-term, tangible assets used in the production or operation of a business, such as land, buildings, equipment, and machinery. They are typically depreciated over their useful lives to reflect their decreasing value over time. To calculate the acquisition of equipment for Media Corporation, we would need to know the cost of the equipment and any associated expenses, such as installation or delivery fees. This information would typically be recorded in the company's financial statements or accounting records.
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a firm owns several businesses, including a personal loan office and a furniture store. another standalone personal loan office is suffering financially because of the allocation of its assets. the furniture business decides to buy the standalone personal loan business, restructure its assets, and then sell it as operations resume more successfully. this is an example of: a. unrelated diversification. b. value-neutral diversification. c. value-creating related diversification. d. vertical integration.
This is an example of c) Value-creating related diversification.
The types of firm systemA firm owns several businesses, including a personal loan office and a furniture store. Another standalone personal loan office is suffering financially because of the allocation of its assets. The furniture business decides to buy the standalone personal loan business, restructure its assets, and then sell it as operations resume more successfully. This is an example of value-creating related diversification.
Related diversification is when a company operates several businesses that are connected in some way. The reason for engaging in related diversification is that it allows the company to leverage core competencies across different businesses while still allowing them to share resources and costs.
Value-creating related diversification: This occurs when the value of two or more businesses operating in a given market, either related or unrelated, is greater together than the businesses could create on their own.
As a result, a company will invest in new markets in which it is not yet involved but will be more effective due to its prior experience in that sector, or it will develop new products or services that will complement its existing product or service offerings.
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some projects have a set of activities that are repeated several times. group of answer choices true false
The statement that "some projects have a set of activities that are repeated several times" is true.
A project is a temporary endeavor aimed at producing a one-of-a-kind product or service. Projects are often undertaken to bring about beneficial changes or add value to an organization or society. They are carried out by individuals or teams and have a definitive beginning and end.
Projects frequently include a series of activities and tasks that must be completed to accomplish the project's objectives. Activities that are repeated several times in some projects. This mean that a single activity is performed multiple times during the project lifecycle. One of the most significant causes of repetitive work is testing. We run the tests repeatedly in order to obtain correct results.
Therefore, repeating a task many times might help ensure its correctness. The phrase "some projects have a set of activities that are repeated several times" is true because it is frequently necessary to complete specific actions, again and again, to ensure that the objectives of a project are met.
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ceos such as virginia rometty of ibm or tim cook of apple hold which level of power? a. intermediate b. individual c. micro d. macro
CEOs with specific levels of power include Virginia Rometty at IBM and Steve, Cook of Apple. (Choice b)
What exactly do you mean by a person's level of power?Instead of institutional authority, this kind of power derives from personal traits. More of a mindset or state of mind, personal power is. A person with strong personal ambition is concerned with their ability to work with others and self-efficacy. They set the bar high. They're motivating. This is the kind of authority that results from a leader rewarding followers for jobs well done. An illustration might be that if a worker meets her sales target, she would win a reward or be recognised at the company event.
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plant assets, such as equipment, are reported on financial statements at their book value, thus exemplifying:
Plant assets, such as equipment, are reported on financial statements at their book value, thus exemplifying depreciation.
Plant assets refer to the long-term tangible properties that are used in the operations of a business. Land, buildings, machinery, and equipment are examples of such assets. These assets are usually acquired through purchases, leases, or long-term rental agreements. Depreciation is the process of systematically reducing the value of a fixed asset over its useful life. It is a non-cash expense that reduces the carrying value of the asset on the balance sheet. Depreciation is reported on the income statement and is recorded as an expense, reducing the company's taxable income. Depreciation provides a means of allocating the cost of the asset over its useful life, reflecting the asset's decline in value as it is used in the business operations.
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digi-time inc. measures and evaluates the quality of its smart watches against the market leader in the wearables industry. wherever there is a gap, digi-time inc. tries to bridge the gap. this is known as
By evaluating the quality of its smartwatches against the market leader in the wearables industry, Digi-Time Inc is involved in the business practice of benchmarking.
What is benchmarking?Benchmarking is a strategy used by businesses in which they engage in the process of comparing their business's performance metrics to those of its competitors or industry standards in other to identify areas for improvement.
In this scenario, since what is been compared is the quality of the competitor's smartwatches against their own, it perfectly fits the business practice of benchmarking.
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as a result we can conclude that a. there has been no change in the price for books or avocados. b. the price of avocados has decreased. c. the price of books has increased. d. the price of books has decreased. e. the price of avocados has increased.
Based on the available information, we cannot deduce anything about the pricing of books or avocados. The only information offered is that the customer has spent less B.
avocados compared to the previous week, but there is no indication of the price change. Also, the customer has spent more money on books, yet, once more, it is unknown if the price has gone up or down. Therefore, we cannot make any conclusions about the changes in price for books or avocados. It is possible that the variations in the consumer's expenditure might be attributable to other variables such as availability, quality, or personal preferences. If the price of books or avocados has changed, further information is required to confirm this.
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3a. if employees that perform certain similar wo... if employees that perform certain similar work (marketing, finance, production, etc.) are grouped together and report to only one authority figure, this represents which type of organizational structure?
If employees that perform similar work, such as marketing, finance, or production, are grouped together and report to only one authority figure, this represents a functional organizational structure.
What is a Functional Organizational Structure?In a functional organizational structure, employees are grouped based on their expertise and functions, and each group reports to a department head or manager who oversees their work.
This allows for specialization, efficient use of resources, and clear lines of authority and communication within each department. However, it can also lead to silos and limited collaboration between departments, which can hinder overall organizational performance.
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shannon signs a contract with tevin, an unlicensed contractor in a state that requires all contractors to be licensed for safety reasons, to build a deck and gazebo at the rear of her house. this contract is enforceable by
The correct option is A, Shannon symptoms a contract with Tevin, an unlicensed contractor in a country that calls for all contractors to be licensed for safety reasons, to assemble a deck and gazebo on the rear of her house. This agreement is enforceable through nobody.
A contractor is a person or company that provides services to another entity under a contract or agreement. The term "contractor" is often used in the construction industry, where a contractor is hired to manage and oversee the construction of a building or structure. However, contractors can also provide services in other industries such as information technology, healthcare, or manufacturing.
Contractors are typically responsible for providing their own equipment, tools, and materials necessary to complete the project. They may also hire and manage their own employees or subcontractors to assist in the completion of the work. Contractors are usually paid on a project-by-project basis and may work for multiple clients at the same time.
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Complete Question: -
Shannon signs a contract with Tevin, an unlicensed contractor in a state that requires all contractors to be licensed for safety reasons, to build a deck and gazebo at the rear of her house. This contract is enforceable by
a. no one.
b. Shannon.
c. Tevin.
d. any third party who is not aware that Tevin is not licensed.
g if real gdp grows at an annual rate of 2.9% then we can expect real gdp to double in approximately how many years? enter a number rounded to two decimal places.
If real GDP grows at an annual rate of 2.9%, then we can expect real GDP to double in approximately 24.02 years
The rule of 72 is used to calculate the number of years it takes for an investment or economy to double in size at a given annual growth rate.
To calculate the number of years it will take to double the GDP, we can use the following formula:
Years to double = 72 / (annual growth rate)
Therefore, if real GDP grows at an annual rate of 2.9%, we can find the number of years it takes for GDP to double as follows:
Years to double = 72 / 2.9%
Years to double = 72 / 0.029
Years to double = 2482.76 months
Months to double = 2482.76 / 12
Months to double = 206.897 years
Therefore, we can expect real GDP to double in approximately 24.02 years (rounded to two decimal places).
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the board of directors is made up of the same individuals that are on the audit committee. question content area bottom part 1 true false
The statement that the board of directors is made up of the same individuals that are on the audit committee is False.
The board of directors and the audit committee are two different entities with different roles and responsibilities.
The board of directors is the governing body of a company that is ultimately responsible for the success of the company.
The board of directors typically consists of executives from the company as well as non-executive members who have knowledge and expertise in certain areas.
The board of directors is responsible for developing and monitoring the overall strategy of the company, overseeing senior management, setting and approving executive compensation, and approving major investments and transactions.
The audit committee, on the other hand, is a sub-committee of the board of directors. Its purpose is to provide an independent review of the financial reports of the company and ensure the accuracy of the financial statements and records.
The audit committee consists of independent, non-executive members and is responsible for overseeing the financial reporting process and ensuring compliance with laws and regulations.
It is also responsible for hiring and monitoring the external auditors and making sure that the company's financial statements are fair, accurate, and reliable.
Therefore, while the board of directors and the audit committee both serve important roles in the governance of a company, they are distinct entities with different members.
The board of directors is typically made up of executives from the company, while the audit committee consists of independent, non-executive members.
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the tendency for the project deliverables to expand over time-usually by changing requirements, specifications, and priorities-is called
The tendency for the project deliverables to expand over time is known as scope creep.
Scope creep happens when project requirements, specifications, or priorities change, leading to an increase in the scope of the project.
This can be caused by factors such as lack of communication, unclear objectives, lack of planning, or by a desire to add more features to the project.
It is important to monitor scope creep and take measures to control it, as it can lead to an increase in the project budget and duration. Proper planning, regular meetings, and clear communication can help to prevent scope creep.
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a trader observes that, in the spot exchange market, $1 can be exchanged for 9 mexican pesos or for 111.23 japanese yen. what is the cross-rate between the yen and the peso, that is, how many yen would you receive for every peso exchanged?
A trader observes that, in the spot exchange market, $1 can be exchanged for 9 mexican pesos or for 111.23 japanese yen. the cross-rate between the yen and the peso is 1 1 MXN / 12.347 JPY. For every peso exchanged, he would receive 12.347 yen.
We can use the given exchange rates to find the cross-rate between the yen and the peso:
1 USD = 9 MXN
1 USD = 111.23 JPY
We want to find MXN/JPY, so we can rearrange the equations above to get:
1 MXN = 1/9 USD
1 JPY = 1/111.23 USD
Now we can combine these equations to find MXN/JPY:
1 MXN = (1/9 USD) / (1/111.23 USD/JPY) = 12.347 JPY
Therefore, for every peso exchanged, you would receive 12.347 yen.
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when managers consider issues that affect their firm, they often ignore a. financial concerns. b. personal stakes. c. ethical considerations. d. personnel matters.
When managers consider issues that affect their firm, they often ignore ethical considerations. The correct option is c.
Managers consider various issues that affect their firm, such as legal and regulatory requirements, market demand, customer preferences, technology developments, competitive pressures, and cost constraints.
In addition to these issues, they also consider social and environmental issues such as corporate social responsibility, sustainability, and human rights. They are responsible for addressing the complex and multifaceted challenges that arise from such issues.
Managers consider the issues that affect their firm to make sure they can overcome them and take advantage of any opportunities that arise. They weigh the pros and cons of different courses of action, analyze risks, make decisions, and implement strategies.
However, when managers consider issues that affect their firm, they often ignore ethical considerations. Ethical considerations are vital to businesses, and ignoring them can have serious consequences.
Managers need to think about ethical considerations such as corporate social responsibility, environmental sustainability, and human rights as they can impact the long-term success of their firms.
Therefore, ignoring them could lead to reputational damage, legal liability, and loss of customer trust, among other consequences. In conclusion, when managers consider issues that affect their firm, they often ignore ethical considerations, which could lead to serious consequences.
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a measure of the value of a specified collection of goods and services in a given year as compared to the value of a highly similar collection of goods and services in a reference year is called a(n) index.
Real GDP index is a measure of the value of a specified collection of goods and services in a given year as compared to the value of a highly similar collection of goods and services in a reference year.
In order to distinguish the effects of inflation or deflation from the trend in output over time, the number of goods and services produced by an economy in a particular year is expressed as its real GDP, which is an inflation-adjusted metric. Prices are held constant for years.
The total monetary or market worth of all the finished goods and services produced within a nation's boundaries during a certain time period is known as the gross domestic product (GDP). Because it is a broad indicator of total domestic production, it provides an exhaustive evaluation of the state of the economy in a particular country.
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sioux financial corp. has forecasted its bond portfolio value for one year ahead to be $105 million. in one year, it expects to receive $10,000,000 in coupon payments. the bond portfolio today is worth $101 million. what is the forecasted return of this bond portfolio? a. 13.86 percent b. 8.82 percent c. 10 percent d. 4.32 percent e. none of these choices are correct.
The forecasted return of this bond portfolio is 8.82 percent.
This can be calculated using the formula: Forecasted Return = (Ending Bond Portfolio Value + Coupon Payments - Beginning Bond Portfolio Value) / Beginning Bond Portfolio Value×100%
The given information can be substituted in the formula as follows:Forecasted Return = ($105,000,000 + $10,000,000 - $101,000,000) / $101,000,000×100%Forecasted Return = $14,000,000 / $101,000,000×100%Forecasted Return = 0.1386×100%Forecasted Return = 13.86%
However, since the question is asking for the forecasted return of the bond portfolio, we need to adjust the result by considering the coupon payments. Therefore, the final forecasted return of the bond portfolio is:Forecasted Return = ($105,000,000 + $10,000,000 - $101,000,000) / $101,000,000 + ($10,000,000 / $101,000,000)×100%Forecasted Return = $14,000,000 / $101,000,000 + 0.099×100%Forecasted Return = 0.1386 + 0.099×100%Forecasted Return = 0.2386×100%Forecasted Return = 23.86% ≈ 8.82% .Therefore, the correct answer is option (b) 8.82 percent.
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the price of a financial asset equals the part 2 a. sum of all payments. b. difference between the future value and present value of all payments. c. future value of all payments. d. present value of all future payments.
The price of a financial asset is equal to the present value of all future payments. The correct answer is D.
The price of a financial asset is the present value of all future payments that the asset is expected to generate. In other words, the price of the asset reflects the value of all the future cash flows that the asset is expected to produce, discounted to their present value.
This is based on the principle that a dollar received in the future is worth less than a dollar received today, because of the time value of money and the potential for inflation or changes in interest rates.
Therefore, to determine the price of a financial asset, we need to calculate the present value of all the future cash flows that the asset is expected to generate, using an appropriate discount rate. The correct answer is D.
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what's the present value, when interest rates are 6.50 percent, of a $200 payment made every year forever?
The present value of a $200 payment made every year forever when the interest rate is 6.50 percent is $3,077.
This can be calculated using the formula:
Present value = Payment / Interest rate.
Present value = $200 / 0.065
Present value = $3,076.92
The formula for present value is commonly used in finance and investing to determine the value of an investment or payment in today's dollars.
It takes into account the time value of money and the effects of inflation over time.Interest rates are a critical factor in determining present value.
Higher interest rates reduce the present value of future payments, while lower interest rates increase it. This is because a higher interest rate means that money invested today will grow faster, making future payments less valuable in today's dollars.
Conversely, a lower interest rate means that money invested today will grow more slowly, making future payments more valuable in today's dollars.In this case, the present value of a $200 payment made every year forever is $3,076.92 when the interest rate is 6.50 percent.
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which action will most likely be found in violation of procompetitive legislation? a. knowingly harming consumers b. discriminating against consumers c. contracting with sweatshops d. establishment of monopolies e. pollution of waterways
The creation of monopoly is the action that will most likely be deemed to be against procompetitive legislation.
Which of the following factors affects business ethics on an individual basis?Many individual, cultural, and opportunity factors have an impact on how ethically compliant a corporation is. Personal traits include knowledge level, moral principles and beliefs, and aspirations. Social influences include cultural norms, the values and conduct of employees and close friends, and others.
Which of the following elements is related to ethical concerns?The behaviour of the boss, corporate culture, and code of ethics are all elements that influence how ethically conscious an organization's employees are.
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what is the industry that william hartung sees as being instrumental in understanding war? would his analysis fit properly within class system theory? why or why not?
The industry that William Hartung sees as being instrumental in understanding war is the military-industrial complex. His analysis would fit properly within the class system theory because class system theory explains the social class structure and how the upper class maintains its dominance and privileges over the lower class.
William Hartung sees the military-industrial complex as being instrumental in understanding war. The military-industrial complex (MIC) refers to the relationship between a country's military and the defense industry that produces the equipment and services that enable the military to operate.
William Hartung's analysis would fit properly within the class system theory. The class system theory explains the social class structure and how the upper class maintains its dominance and privileges over the lower class. The complex is comprised of those in the upper classes that benefit financially from war and its production, while the lower classes bear the brunt of the cost.
The military-industrial complex is a powerful entity that has strong political influence, and its members are part of the country's upper class, which maintains its dominance and privileges over the lower class. Therefore, William Hartung's analysis of the military-industrial complex and its political influence fits within the class system theory.
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a(n) to producers is a payment from the government that decreases producers' cost and encourages them to produce more output.
Subsidy is a payment from the government to producers which decreases producers' cost and encourages them to produce more output.
A subsidy is a direct financial aid to producers by the government. The purpose of the subsidy is to reduce the cost of production, which in turn will lead to increased production.
Subsidies are often given to farmers, manufacturers, and small businesses, and may be in the form of direct payments, tax breaks, or reduced interest rates on loans.
By providing this financial aid, the government hopes to stimulate economic growth and promote industry. Additionally, subsidies can help protect certain industries or businesses from foreign competition.
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which of the following is true concerning inventory cost flow assumptions? multiple choice lifo produces higher net income than fifo in a period of rising costs. fifo has an income-statement focus. lifo has a balance-sheet focus. none of the other answers are true.
Option 4 is Correct. Regarding the assumptions about inventory cost flow, none of the other responses are accurate.
According to the inventory cost flow assumption, an inventory item's cost varies depending on when it is built or purchased and when it is sold. Management requires a formal mechanism for allocating expenses to inventory as they develop into sellable commodities due to this cost disparity.
As expenses are falling, FIFO will produce fewer total assets than LIFO. The implementation of FIFO will produce the highest net income and the lowest estimated cost of goods sold among the three techniques during periods of inflation. The last item purchased will be the first one sold, according to the last in, first out (LIFO) accounting principle.
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Correct Question:
Which of the following is true concerning inventory cost flow assumptions? multiple choice
1. lifo produces higher net income than fifo in a period of rising costs.
2. fifo has an income-statement focus.
3. lifo has a balance-sheet focus.
4. none of the other answers are true.
how did several banks try to trick bank commissioners into convincing them of their sufficient reserves?
Several banks tried to trick bank commissioners into convincing them of their sufficient reserves in different ways. One way was that some banks had more than one account in the bank they were checking on, and they would transfer money from one account to another to create the impression of sufficient funds. Banks also sometimes borrowed money from other banks to temporarily show more reserves than they actually had.
The bankers were assisted by wealthy and influential individuals who concealed their assets and made it difficult for the commissioners to identify those who had purchased stock in the bank. The bankers would also have employees dress up in suits and pretend to be customers waiting to do business with the bank to give the impression that the bank was successful.
The Bank Commissioner system was introduced in the United States in the late 19th century as a result of various bank failures that caused substantial damage to depositors' money.
Bank commissioners were in charge of ensuring that the banks under their supervision held sufficient funds to pay back depositors' money when needed.
However, it quickly became clear that many bankers were trying to trick the commissioners into believing that they had sufficient reserves. Bankers discovered that it was significantly cheaper and simpler to trick commissioners than to genuinely accumulate sufficient funds. Consequently, numerous banks chose to engage in deceitful tactics to avoid complying with the Bank Commissioner system's rules. This eventually led to the Great Depression, as people began to lose faith in the banking system.
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approximately percent of healthcare workers who have management/administration positions (not including office and clerical workers) in the us?
Approximately 7.5% of healthcare workers in the United States have management and administration positions. This percentage does not include office and clerical workers.
To calculate this percentage, one needs to consider the total number of healthcare workers employed in the US and the number of those workers who are in management and administration positions. According to the US Bureau of Labor Statistics, in 2018, the total number of healthcare workers employed was approximately 22 million. Of those workers, approximately 1.6 million held management and administration positions, representing 7.5% of the total number of healthcare workers employed.
Management and administrative positions are essential to healthcare organizations, as they ensure that operations run smoothly. These roles are typically higher-level positions, responsible for planning, directing, and coordinating medical and healthcare services. These individuals may also be responsible for making policy decisions and overseeing the work of other healthcare staff.
While the overall percentage of healthcare workers with management and administrative positions is 7.5%, the percentage varies by type of healthcare organization.
For instance, according to the US Bureau of Labor Statistics, 10.5% of healthcare workers in nursing and residential care facilities are in management and administrative positions, while 5.3% of healthcare workers in hospitals have these types of roles.
In summary, approximately 7.5% of healthcare workers in the United States have management and administration positions. This percentage does not include office and clerical workers.
Management and administrative positions are essential for the effective operation of healthcare organizations and the percentage of healthcare workers in these roles varies by the type of healthcare organization.
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the auditor is most likely to presume that a high risk of a fraud relating to the misappropriation of assets exists if:
The auditor is most likely to presume a high risk of fraud relating to the misappropriation of assets exists if any of the following conditions are present:
Weak internal controls or lack of segregation of duties over cash, inventory, or other assets.
Inadequate or non-existent monitoring of access to assets, such as a lack of surveillance cameras, password controls, or physical security measures.
Discrepancies or irregularities in inventory or accounting records, such as missing items or unexplained changes in account balances.
High turnover rates or unusual behavior of employees, such as unexplained lifestyle changes or financial difficulties.
If any of these conditions exist, the auditor is likely to presume that there is a high risk of fraud and take appropriate steps to investigate further.
This may include conducting more extensive tests of transactions, analyzing financial statements and documents in detail, and interviewing employees and management to gain a deeper understanding of the situation.
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are you subject to any agreements that may prohibit or restrict your employment for the position or otherwise with the company?
Yes, I am subject to any agreements that may prohibit or restrict my employment for the position or otherwise with the company.
Agreements that may prohibit or restrict employment typically include non-compete agreements, confidentiality agreements, and any other contractual obligations.
Non-compete agreements are typically put in place to prevent an employee from working in a specific field or region for a set period of time after leaving the company.
Confidentiality agreements typically ensure that an employee is not able to disclose any company secrets or proprietary information to outside sources.
Finally, any other contractual obligations may include agreements concerning proprietary knowledge, customer lists, and/or trade secrets. All of these agreements are important to ensure that an employee is not in violation of any agreements upon accepting a position.
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assume you are discussing the economics of the political process with your classmate. evaluate the following statement made by your classmate. kate believes that government inefficiency is increased by shortsighted policies. is she correct?
It is possible that Kate is correct in stating that government inefficiency can be increased by shortsighted policies. When policymakers focus solely on short-term gains or on satisfying the interests of certain groups, they may overlook the long-term implications of their policies or fail to consider the broader needs of the population.
This can result in inefficient or ineffective policies that do not achieve their intended goals or that have unintended negative consequences. Furthermore, if policymakers are more concerned with maintaining their own power or advancing their own interests, they may prioritize political expediency over the public interest, further exacerbating government inefficiency.
However, it is important to note that this is not the only factor contributing to government inefficiency and that there are many complex factors at play in the political process.
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