in order to assess the performance of their firms and their supply chains, what do managers need to do to determine the needs of those customers?

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Answer 1

In order to assess performance of their firms and their supply chains, managers study the data of customers to determine needs of those customers.

What is a supply chain?

A supply chain, in the context of commerce, is a network of facilities that purchases raw materials, transforms them into intermediate goods, and then distributes those commodities to customers to produce finished items. In order to supply a good or service to a customer, a network of businesses, people, events, activities, data, and resources is needed. Natural resources, raw materials, and components must be transformed into a finished product as part of supply chain activities before being delivered to the final consumer. A typical supply chain starts with the ecological, biological, and political management of natural resources, then moves on to the human extraction of raw materials, which includes a number of production links, before continuing with a number of layers of storage facilities, each getting smaller and located in increasingly remote locations, before reaching the consumer.

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New classical economists believe that an increase in deficit financing by the government willa. reduce government spending.b. increase consumption. c. reduce future taxes. d. increase savings.

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Option D. New classical economists argue that an increase in deficit financing by the government will cause an increase in savings, as households anticipate that taxes will have to be paid in the future to pay off the debt.

The Effects of Deficit Financing on Savings According to New Classical Economics

Option D. Increase savings.

New classical economists believe that an increase in deficit financing by the government will increase savings.

This is because households anticipate that taxes will have to be paid in the future to pay off the debt. As a result, households are likely to save more in order to build a buffer for when the taxes come due.

This increased savings then leads to a lower level of aggregate demand, which in turn can lead to a decrease in inflationary pressures. In addition, if the government is able to borrow at a lower rate than would be available in the private market, an increase in deficit financing can lead to a lower cost of capital, which can stimulate investment and economic growth.

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flu shots provide a positive externality. suppose that the market for vaccinations is perfectly competitive. without government intervention in the vaccination market, which of the following statements is correct? a. a per-shot tax could turn an inefficient situation into an efficient one. b. the current output level is inefficiently high. c. at the current output level, the marginal social cost exceeds the marginal private cost. d. at the current output level, the marginal social benefit exceeds the marginal private benefit.

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The following statements is correct: at the current output level, the marginal social benefit exceeds the marginal private benefit. Therefore, the correct option is D.

When finding the equilibrium output level in a completely competitive market with no government intervention, the market will only examine private costs and benefits. Because positive externalities (benefits to others in society) are not taken into account by individual consumers and producers, vaccination rates are inefficiently low.

To obtain a level of vaccination that is socially efficient, the production should be higher, closer to the point where marginal social benefit equals marginal social cost.

Thus, the ideal selection is option D.

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What is an example of budget deficit?

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An example of a budget deficit:

If a country's GDP during the year of 2010 was $1,000,000, revenues were $300,000 and expenditures were $500,000, the deficit is calculated by subtracting $300,000 - $500,000 equals = -$200,000 which represents the deficit for the year 2010.What is a budget deficit?

It is a negative situation in which a country's expenditures exceed its financial income, which brings with it a series of negative consequences that directly affect the economy.

The budget deficit mainly generates inflation that affects consumers, which is why the purchasing power of people is reduced to less money as it implies the increase of prices in goods or services which generates a loss in the value of money.

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sandy sold 2 acres of land to her daughter, tara. sandy's basis in the land was $800 and she sold the land for $500. after owning the land for a year, tara sold it to an unrelated party for $700. tara's recognized gain on the land is $

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Tara's recognized gain on the land is $0 can deduct the gain to the extent of the loss in the original related party transaction. You must recoup your gain from the sale of Section 1245.

Property as ordinary income to the extent that your earlier depreciation deductions on the item were greater than or equal to the gain. Ordinary income tax rates apply to any gain up to the amount of the previously taken transaction. The widget costs $150 to buy from the company. The gain is calculated as the sale price ($150) less the adjusted tax basis ($25), or $125. Of that sum of $125, $75 is a gain subject to ordinary income tax under section 1245 and $50 is a gain subject to capital gains tax under section 1231.

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gilliam industries records revenue of $6.4 million for an accounting period. in that same accounting period, they have a beginning balance of $392,000 and an ending balance of $439,000 in the accounts receivable account. how should the cash flows from operating activities be adjusted to account for these items? why? assume gilliam uses the indirect method.

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By employing the indirect method, Gilliam will only need to make the necessary adjustments to account for the change in accounts receivable, which will reduce cash flows from operating operations by $47,000.

An indirect method is what?

Gilliam computes the following using the indirect method:

Record sales totaled $6.4 million.

Balance at the start =$392,000. Balance at the conclusion = $439,000.

=$47,000 must be added to the cash flow to account for the items.

One of two accounting techniques that are used to produce a cash flow statement is referred to as the indirect method. This approach makes use of changes in balance sheet line items. Additionally, it changes the cash method of accounting from the accrual method in the operating section of the cash flow statement.

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lucas is a 25% partner in the lcs partnership. on january 1, lcs distributes $40,000 cash and land with a $32,000 fair value (inside basis $16,000). lcs has no liabilities at the date of the distribution. lucas' basis in lcs is $32,000. what is the amount and character of lucas' gain or loss on the liquidating distribution?

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Lucas has a loss of $4,000 on the liquidation. The character of the gain or loss is a capital loss.

Calculate Lucas' Distribution:

Lucas' share of the distribution is 25% of $40,000 cash + 25% of $32,000 land = $20,000 cash + $8,000 land

Calculate Lucas' Basis in LSC:

Lucas' basis in the partnership is $32,000.

Calculate Lucas' Gain or Loss on Liquidation:

Lucas' gain or loss on liquidation is the difference between the amount of the distribution and the basis of the partnership.

Lucas' gain or loss on liquidation = Distribution - Basis

Lucas' gain or loss on liquidation = $20,000 cash + $8,000 land - $32,000 basis

Lucas' gain or loss on liquidation = -$4,000

Therefore, Lucas has a loss of $4,000 on the liquidation. The character of the gain or loss is a capital loss.

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When all authorized shares of stock have the same rights and characteristics, the stock is called _______ stock.

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When all authorized shares of stock have the same rights and characteristics, the stock is called common stock. Common stock is a type of security that denotes ownership in a company.

Common stock holders decide on corporate policies and appoint the board of directors. Long-term rates of return are often higher with this type of stock ownership. The rights of common shareholders to a company's assets in the case of liquidation, however, begin only after preferred shareholders, bondholders, and other debt holders have been fully compensated. In the stockholders' equity section of a firm's balance sheet, common stock is disclosed.

Common stock serves as a residual claim to current and future profits of a corporation. Shareholders are therefore referred to as a company's partial owners. This does not imply that stockholders can enter a firm's offices and assert ownership of some of the chairs, desks, or computers. The firm itself, which is a legal entity, is the owner of these items. Instead, this residual claim belongs to the stockholders. Common stock is traded on securities exchanges and is available for purchase and sale by both investors and traders. Common stock holders may be eligible to earn dividends.

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the difference between refactoring and re-engineering is: (select one) question 6 options: re-engineering is implemented before the system is placed in production, while refactoring is applied during requirements elicitation refactoring is a continuous process of improvement, while re-engineering takes place after the system has been in production for a long time re-engineering and refactoring are used to restructure most of the system to meet new requirements, since they require similar amount of effort

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Refactoring is a continuous process of improvement, while re-engineering takes place after the system has been in production for a long time.

What distinguishes refactoring from restructuring?

Any reorganization of a system's constituent pieces is restructuring. It's a pretty broad term that doesn't suggest any specific method of restructuring. Refactoring is an extremely specialized approach built on the use of minor behavior-preserving modifications (themselves called refactorings).

Data reengineering: What is it?

By unifying data definitions and enabling source code reduction, data reengineering increases the lifespan of current systems. As a first step in data modeling, database technology migration, and as a phase in the reverse engineering process, it can also offer an accurate data model.

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describe the five general cultural factors leading toward growth in global business and the four specific business factors. describe the interconnection among these factors.

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The major factors leading toward growth in the global business are Global communication and transportation technologies.

Explain global business.

An company that conducts its business operations globally is known as a global business. On the other hand, global business, according to Inc. Magazine, refers to the trade of products and services globally.

A corporation that conducts business throughout the majority of the world's nations is known as a global business or multinational. Although the business may have its main activities and headquarters in one nation, its goods and services are used all over the world. The Coca-Cola Company and Sony Electronics are two examples of international corporations.

One advantage of a worldwide company is that it can employ more people, which successfully aids the government in combating unemployment.

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n one year, you meet 52 people who are each unemployed for one week and eight people who are each unemployed for the whole year. what percentage of the unemployment spells you encountered ended within one week and therefore was short term, and what percentage of the unemployment you encountered in a given week was long term? a.52% was short term; 13.3% was long term b.52% was short term; 88.9% was long term c.86.7% was short term; 13.3% was long term d.86.7% was short term; 88.9% was long term

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Your short-term unemployment rate, which ended after a week, was 86.7 percent, and your long-term unemployment rate, which lasted longer than a week, was 88.9 percent.

What does it mean to be unemployed for a long time or briefly?

Even if a person had looked for work in the prior four weeks, long-term unemployment is defined as being jobless for more than 27 weeks. Its effects are noticeably worse than those of short-term unemployment.

What are some remedies for unemployment?

Industrial activity must be decentralized in order to reduce unemployment. If industrial activity are concentrated in one place, there will be fewer employment opportunities there. As a result, the government should take action to encourage decentralization.

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What is the purpose of Congress power to tax and spend money?

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Congress has the authority to levy and collect taxes under Article I, Section 8, Clause 1 of the Constitution in order "to pay the Debts and provide for the common Defense and General Welfare

The United States v. Butler, 297 U.S. 1 (1936), mandated that Congress must use its taxing and spending authority for the "public good." Congress has the authority to impose obligations on states through its spending authority, The Congress shall have the authority to impose and collect taxes, duties, imposts, and excises in order to pay debts,

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gordon company has had bonds payable of $15,000 outstanding for several years. on january 1, 2021, when there was an unamortized discount of $2,500 and a remaining life of 5 years, its 80% owned subsidiary, jacobson company, purchased the bonds in the open market for $18,000. the bonds pay 7% interest annually on december 31. the companies use the straight-line method to amortize interest revenue and expense. compute the consolidated gain or loss on a consolidated income statement for 2021. a) $5,500 gain. b) $5,500 loss. c) $3,000 gain. d) $3,000 loss. e) no gain or loss. a. d b. a c. c d. b e. e

Answers

B) The 2021 consolidated income statement with a loss of $5,500

On an income statement, how are losses represented?

This is typically depicted in one of two ways on the income statement: either the losses are included in a small section following the expenses or both the gains and losses are included in their own section following the expenses. They both have the same effect on the company's net income.

How does the consolidated income statement get its numbers?

Take the sum of your revenues and the revenues of your subsidiary. Deduct the deals made among you and your auxiliary to decide solidified income. Add $40,000 and $20,000 to the example from the previous step to get $60,000 Consolidated revenue equals $52,000 when $8,000 is subtracted from $60,000.

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some u.s. multinationals add a premium percentage for risk to the discount rate when evaluating potential foreign investments. critics argue that this practice

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Some U.S. multinationals add a premium percentage for risk to the discount rate when evaluating potential foreign investments. critics argue that this practice penalizes early cash flows too heavily.

Foreign investment refers back to the funding in home organizations and belongings of another united states of america by way of a foreign investor. huge multinational organizations will are searching for new opportunities for monetary increase with the aid of opening branches and increasing their investments in different countries.

FDI creates new jobs and greater opportunities as investors build new organizations in foreign countries. this can result in an boom in earnings and mor shopping electricity to locals, which in flip ends in an standard enhance in targetted economies.

There are three varieties of FDI in India: overseas portfolio investment (FPI), foreign institutional funding (FIIs) and automated approval of programs from overseas organizations under the automated route.

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a firm will increase its spending on advertising until a) the marginal benefit of advertising is zero. b) it has monopolized the market. c) the marginal benefit of advertising equals the marginal cost of advertising. d) it has deterred all future entry.

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A firm will increase its spending on advertising until it has monopolized the market.

A monopoly, as described by Irving Fisher, is a market with the "absence of opposition", growing a state of affairs wherein a specific man or woman or business enterprise is the only dealer of a selected issue. This contrasts with a monopsony which relates to a unmarried entity's manage of a marketplace to purchase an amazing or provider, and with oligopoly and duopoly which consists of a few dealers dominating a marketplace.[1] Monopolies are for this reason characterised by using a lack of economic opposition to supply the best or carrier, a lack of possible replacement items, and the opportunity of a high monopoly price well above the vendor's marginal fee that ends in a high monopoly profit.

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reynoso corporation manufactures titanium and aluminum tennis racquets. reynoso's total overhead costs consist of assembly costs and inspection costs. the following information is available: cost titanium aluminum total cost assembly 500 mach. hours 500 mach. hours $45,000 inspections 350 150 $75,000 2,100 labor hours 1,900 labor hours reynoso is considering switching from one overhead rate based on labor hours to activity-based costing. using activity-based costing, how much inspections cost is assigned to titanium racquets? group of answer choices $30,000. $47,500. $50,000. $52,500.

Answers

$52,500 is inspections cost is assigned to titanium racquets.

$75,000 / (350 + 150) = $150; $150 x 350 = $52,500.

How much does project overhead cost?

Office space, utilities, directors and executives, benefits, insurance, taxes, and other costs may be included in the project's overhead costs. These expenses are typically thought of as fixed expenses that apply to all projects across the entire organization.

How are overhead costs calculated?

Divide the indirect costs by the direct costs, then multiply by 100 to get the overhead rate. If your overhead rate is 20%, then means that 20% of your company's income is spent on the creation of products or the provision of services. An efficient business will generate more revenue with a lower overhead rate.

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in order to succeed in being creative and agile, innovative firm teams must hold the team accountable true or false

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True, in order to succeed in being creative and agile, innovative firm teams must hold the team accountable.

What does Innovative farm mean?

A company that is innovative is one that consistently develops new products, services, or processes that provide unique value to customers. These companies typically have a strong research and development arm that works to identify customer needs, develop new ideas and solutions, and quickly bring them to market. Innovative businesses frequently disrupt established markets by introducing technologies or strategies that challenge the status quo.

What does research mean?

The process of discovering, interpreting, and revising facts, theories, applications, and interpretations of information is known as research. It is a type of research that entails gathering and organizing information, analyzing and interpreting data, synthesizing new ideas, and drawing conclusions based on the findings. Surveys, experiments, interviews, and other methods may be used in qualitative or quantitative research.

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when the mortgage banker originates a home loan, she actually creates two assets: the loan and the servicing rights. servicing fees typically range from:

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Contracts to service financial assets include liabilities and loans. Depending on mortgage the payments paid to the servicer are anticipated to be more or less than adequate recompense for the servicing.

They are either assets or liabilities. They are not considered to be financial assets and liabilities. Servicing Rights refers to the contractual, possessory, or other rights of the Seller or any other Person arising under the Custody Agreement, a Servicing Agreement, or in any other way, to manage or service a Purchased Asset or to possess associated Records. The house that was bought with the money from the mortgage frequently serves as the collateral for loans.

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performance appraisals are used most widely as a basis for a. determining training needs b. discharging decisions c. deciding compensation d. directing performance improvement

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Performance appraisals are used most widely as a basis for a. determining training needsAn employee's performance is regularly reviewed in order to assess his level of personal growth and contribution.The correct option is D. directing performance.

To the company's advancement. Companies conduct performance reviews to identify whether employees are deserving of pay increases, compensation reductions, promotions, more training, and, in extreme circumstances, employment termination. The following are some examples of performance appraisals. The 360-degree feedback appraisal, in which the employee's peers, superiors in the company, and subordinates provide feedback on the employee's performance.Peer assessment, in which the employee's peers provide feedback on his performance. A self-evaluation in which the worker expresses his individual assessment of his level of performance.

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A financial statement that reports the assets, liabilities, and stockholders' (owner's) equity at a specific date is the:
a. Balance Sheet
b. Income Statement
c. Statement of Cash Flows

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A financial statement that reports the assets, liabilities, and stockholders' (owner's) equity at a specific date is the Balance Sheet. Correct answer: letter A.

The balance sheet is a financial statement that gives a snapshot of a company's financial position at a specific date. It shows how much of the company's assets are financed by debt, and how much is financed by owners' equity.

Balance sheet benefits

Improved asset liquidity: can provide a detailed view of all assets and liabilities, which can be used to assess the liquidity of a business in order to optimise its asset management.Assessing financial health: can be used to assess a business’s financial health. Having an accurate and up-to-date balance sheet gives financial managers and investors a clear picture of the company’s overall financial health.Identifying areas for improvement: can be used to identify areas of strength and weakness and areas of opportunity for improvement. By assessing the balance sheet in detail, businesses can pinpoint areas that need improvement and prioritize their efforts accordingly.Securing financing: Banks and other financial institutions often use a balance sheet as one of the criteria for evaluating a business’s ability to secure financing. Having an accurate and up-to-date balance sheet can help a business secure financing for growth and development.

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an external governance mechanism that makes a poorly managed company vulnerable to takeover by outside investors is known as .

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A market under corporate control is an external governance mechanism that makes a poorly run firm susceptible to acquisition by outside investors.

According to governance experts, a propensity for short-termism is one of the most important problems in a market-based corporate governance structure. Targets for quarterly earnings established by sell-side analysts on Wall Street are handled by public companies. Companies can use a variety of accounting techniques to routinely meet or exceed Wall Street estimates, which will increase the value of their shares.

A quarterly earnings shortfall, however, might result in a dramatic drop in the stock price and send the management of the company looking for a quick fix. Governance specialists advise doing away with profit forecasts as a method to encourage a long-term perspective on a company's objectives and offer businesses more time to achieve them.

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suppose you are deciding whether to spend your tax rebate check on a new laptop or a new smartphone. you are dealing with the concept of

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When calculating a tax rebate, the aforementioned notion considers opportunity costs. Opportunity cost is the benefit that was forfeited because a specific alternative wasn't chosen.

Opportunity cost analysis plays a big role in determining a company's capital structure. A firm must pay expenses when issuing both debt and equity capital to compensate lenders and shareholders for the risk of their investments, but each has an opportunity cost as well.

For instance, funds used to settle debts cannot be used to invest in stocks or bonds that have the potential to yield a profit. The company must decide if growing through debt leverage will produce larger profits than it could get through investing.

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When can elicitation techniques be used?

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Elicitation is the process of learning about and gradually elaborating on the needs of our stakeholders and clients. In order to delve deeper into what is unspoken,

Elicitation involves a collection of procedures that go beyond what is said, what the evidence indicates, and what everyone believes. The procedure aids the team in transforming their concepts into specifications that will bring a product or  into compliance with what delights the customer and advances the organizational strategy. Regardless of whether we're trying to fix a bug, comprehend the specifications for an enhancement request, or create a brand-new product, service, or procedure, we elicit.

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when a union bargains successfully with employers, in that industry, a.both wages and unemployment increase. b.wages increase and unemployment decreases. c.wages decrease and unemployment increases. d.both wages and unemployment decrease.

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Union bargains successfully with employer to increase the wages and decrease unemployment.

Through collective bargaining, employees negotiate contracts with their employers to establish their terms of employment, including compensation, benefits, working conditions, hours, leave, workplace health and safety regulations, methods of juggling work and family obligations, and more. Composite bargaining, concessionary bargaining, distributive bargaining, integrative bargaining, and productivity negotiations are the five primary categories of collective bargaining.

Through the process of collective bargaining, the union and employer can discuss proposals, share ideas, work together to address difficulties, and come to a written agreement. The majority of the time, negotiations take place just before a contract is about to end.

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budgeting and saving math quiz question 9 of 10: you set your entertainment budget to $100 per month. eating out costs $35, movies cost $15, and concerts cost $60. can you eat out, go to a movie, and go to a concert in the same month, while staying within your budget?

Answers

Answer:

No.

Explanation:

To find our answer, we need to add all the prices together. So, we need to solve the equation 35 + 15 + 60. This gives us 110, which is 10 dollars over our budget. So the answer to the question is no, you would not be able to do all 3 things and stay in budget.

a real estate agent signs a contract with a non-licensed individual. in that contract, the real estate licensee agrees to pay the non-licensed individual $50 for every referred person that signs a listing contract. what type of contract is this?

Answers

Void is the type of contract. A void contract is a formal agreement that is effectively illegitimate and unenforceable from the moment it is created

A void contract is a contract that is unenforceable from the moment it is formed. Both invalidity treaties and invalidity treaties are invalid, but invalidity treaties cannot be ratified. In a legal sense, a void contract is treated as if it was never made and is unenforceable in court. For example, a contract between a drug dealer and a buyer is void simply because the terms of the contract are illegal. In such cases, neither party will be able to enforce the contract in court.

A void contract means that neither party can enforce the contract at the time it was made because the contract was never made. Therefore, neither party can assert any rights or enforce any obligations under the contract. A void contract is different from a void contract.

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if carissa dalton has a $270,000 home insured for $208,000, based on the 80 percent coinsurance provision, how much would the insurance company pay on a claim of $10,500? assume there is no deductible. (do not round intermediate calculations. round your answer to 2 decimal places.)

Answers

Because the insurance coverage is less than what the coinsurance clause requires. Therefore, the insurance company's payment was $10,111.12

Coinsurance, often known as splitting or spreading risk across several parties, is a term used in the insurance industry.

Home Value = $270,000

Insurance Amount = $208,000

Coinsurance provision = 80%

Claim Amount = $10,500

As per coinsurance, the Amount of required insurance = Coinsurance percentage * Home Value

Amount = 80% * 270000

Therefore, as per coinsurance, the amount of required insurance = $216,000

The amount of insurance is less than that required by the coinsurance provision. So,

Amount paid by insurance company = (Insurance Amount / Required insurance) * Claim

Amount = (208000 / 216000) * 10500

Amount = $10,111.12

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You have a net lease. Your rent is $1,000 per month. Taxes and maintenance total $500 per month. What is your total monthly payment?.

Answers

Answer:

1,500

Explanation:

1,000 + 500

which of the following financial institutions would be most willing to swap variable-rate payments for fixed-rate payments in order to reduce exposure to interest rate risk? group of answer choices one whose assets and liabilities are equally interest-rate sensitive one whose assets are more interest-rate sensitive than its liabilities one whose liabilities are more interest-rate sensitive than its assets one whose gap ratio is equal to 1.0

Answers

Financial institutions that have assets that are more interest rate sensitive than their obligations would be more willing to switch from variable-rate payments to fixed-rate payments in order to lower their exposure to interest rate risk.

If a bank's obligations are more rate-sensitive than its assets are, what happens?

When an institution's interest rate-sensitive assets exceed its interest rate-sensitive liabilities, this is known as a positive gap, or one higher than one. When a bank has a positive gap, rising interest rates are expected to result in higher profits or revenues.

Which investments are vulnerable to changes in interest rates?

Bonds, loans, and leases are the three main types of bank assets that are most susceptible to interest rate changes in terms of value. These assets are either repriced or revalued in response to changes in interest rates.

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an example of monopolistic competition is the market. a soft-drink b restaurant c breakfast cereal d automobile e electricity

Answers

An example of monopolistic competition is the restaurant market. The Option B is correct.

What is a monopolistic competition?

Basically, a monopolistic competition refers to a type of imperfect competition where there are many producers competing against each other but the selling products that are differentiated from one another and hence are not perfect substitutes

The monopolistic competition exists when many companies offer competing products or services that are similar but not perfect, substitutes. The overall barriers to entry in a monopolistic competitive industry are low and the decisions of any one firm do not directly affect its competitors. The competing companies, therein the market, differentiate themselves based on pricing and marketing decisions.

In conclusion, a restaurants, hair salons, household items, and clothing are examples of industries with monopolistic competition. Some items like dish soap or hamburgers are sold, marketed, and priced by many competing companies.

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nikki g's corporation's 10-year bonds are currently yielding a return of 9.25 percent. the expected inflation premium is 2.0 percent annually and the real interest rate is expected to be 3.10 percent annually over the next 10 years. the liquidity risk premium on nikki g's bonds is 0.1 percent. the maturity risk premium is 0.10 percent on two-year securities and increases by 0.05 percent for each additional year to maturity. calculate the default risk premium on nikki g's 10-year bonds.

Answers

The 10-year bonds issued by nikki g's firm at 3.55% currently have a return of 9.25 percent. Over the following ten years, a 2.0 percent annual inflation premium is anticipated and a 3.10 percent annual real interest rate.

How can I calculate the inflation premium?

I = r + is the Fisher equation, where r stands for real interest rate, I for nominal interest rate, and for inflation rate. The inflation premium appears in the Fisher equation as.

How does the premium for inflation impact interest rates?

Rising inflation means that interest payments lose purchasing power over time, and when the principal is paid back after a number of years, it will buy far less than it did when the investor first bought the bond.

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Both the Mississippi Constitution of 1817 and the US Constitution if you were designing ui for a hotel registration system. what are the two primary task objects there? What does autosomal mean? borrowers tend to prefer: multiple choice real interest rates that exceed nominal interest rates. inflation rates that are less than nominal interest rates. inflation rates that exceed nominal interest rates. inflation rates that are equal to zero. on a hot summer day, you make a glass of refreshing sweet iced tea by combining boiling water, tea, sugar, and ice. what type of change occurs and how do you know? arrange the organic compounds from most soluble in water to least soluble in water.a. CH3CH3b. CH3OCH3c. CH3CH2OH1. most soluble in water2. least soluble in water the client tells the nurse of difficulty swallowing and asks if the medication tablet can be crushed before swallowing. what will the nurse need to advise the client? What term describes the northernmost of the two large continents produced by the breakup of pangaea? Why do bones need to have osteoclasts? Create an equivalent expression for ( 1.4 / 1.2)1.4/1.21.2/1.41.4/1.21.2/1.4 jerry loves fresh herbs. he has planted many herbs seeds over the years (basil, thyme, oregano) and has always had a good herb garden. for the last couple years, however, he must have been doing something wrong because his seeds have not sprouted. when spring rolled around this year, jerry didn`t even bother planting his herb seeds. what behavioral procedure explains this decrease in jerry`s behavior of planting herbs? If Triangle ABC has been translated 4 units to the right into Triangle DEF, what are the coordinates of Point E? HELP PLEASE!!!!!!!! APPLY THE DISTRIBUTIVE PROPERTY USING THE GCF TO WRITE EQUIVALENT EXPRESSION. 0.3x - 2.7 HELP PLEASE!!!!! Your level of physical fitness directly affects how you cope with chronic depression.FalseTrue i need this quick ?????????????????????????????????????????? What did the magna carta of 1215 share with the english bill of rights, the american declaration of independence, and the french declaration of rights of man and citizen?. FILL IN THE BLANK. Imagine a population of birds in which first-year birds can either (1) find a mate and raise an average of three offspring or (2) stay in their parents' territory and help the parents raise two more offspring than the parents would have been able to raise without any help. Based on the theory of kin selection, we would expect that _____. a transformer has a 240 v primary and a 120 v secondary. with a 30 ohm load connected, what is the primary voltamps? A self-serve frozen yogurt store made these graphs to study the data collected about its customers' purchases. Which statement is true?A circle graph is divided into 5 unequal parts. From largest to smallest, the parts are: Chocolate, 38 percent. Strawberry, 30 percent. Vanilla, 22 percent. Other, 10 percent. A line graph is entitled Yogurt Sales in 2011. It shows Month and Units Sold. January, 1000. February, just below 1000. March, between 1000 and 2000. April, just above 3000. May, between 4000 and 5000. June, 5000. July, between 5000 and 6000. August, 6000. September, just below 6000. October, 5000. November, 3000. December, just above 1000. A stem and leaf plot is entitled Ounces Sold Last Friday. It shows two leaves labeled, Leaf (3 to 4 p.m.) and Leaf (7 to 8 p.m.). Leaf (3 to 4 p.m.): Stem, 0; leaf, 6, 6, 8, 8, 8, 9, 9. Stem, 1; leaf, 0, 0, 1, 2, 5. Stem, 2; leaf, 3. Stem, 3; leaf, blank. Leaf (7 to 8 p.m.): Stem, 0; leaf, 7, 8. Stem, 1; leaf, 2, 2, 4, 6, 6, 6, 8. Stem, 2; leaf, 0, 0, 0, 5. Stem, 3; leaf, 2. Find how many years it takes for money to quadruple when invested at an annual interest rate of 1.8% compounded continuously.