most people encounter operations only in profit making organizations. T/F

Answers

Answer 1

False. While operations are commonly associated with profit-making organizations, they are also found in non-profit organizations, government agencies, and other types of entities. Operations refer to the ongoing activities and processes that are necessary for the organization to function, regardless of its purpose or structure. This includes things like production, procurement, logistics, quality control, and customer service, among other things. Therefore, the statement that most people encounter operations only in profit-making organizations is not true.

Operations are not limited to profit-making organizations. Both profit and non-profit organizations have operations, which include the processes, systems, and activities used to create and deliver their goods or services. Operations play a crucial role in achieving the goals of both types of organizations.

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Related Questions

current tax laws have which of the following effects?group of answer choicesfavor dividends since dividends are tax-deductible for the paying corporation whereas retained earnings, which produce capital gains, are not dividends because there are no capital gains taxes on not favor dividends or capital gains for most people because different people are in different tax not favor capital gains because the tax must be paid as the value of the stock increases, whether or not the stock is capital gains because the tax does not have to be paid until the stock is sold.

Answers

The effects of current tax laws on dividends and capital gains depend on individual circumstances and corporate tax strategies. It's essential to consult with a tax professional to understand how these laws affect your specific situation.

Current tax laws can have different effects on dividends and capital gains depending on the individual's tax bracket and the corporation's tax situation. Generally, tax laws favor dividends since they are tax-deductible for the corporation, while retained earnings that generate capital gains are not. This means that corporations may choose to pay out dividends to shareholders rather than keep earnings to invest in the company.

However, for individuals, the tax treatment of dividends and capital gains may vary. Some people may not favor dividends because they are subject to ordinary income tax rates, while capital gains may be taxed at a lower rate for certain taxpayers.

On the other hand, others may not favor capital gains because the tax must be paid as the stock increases in value, regardless of whether or not the stock is sold.

Overall, the effects of current tax laws on dividends and capital gains depend on individual circumstances and corporate tax strategies. It's essential to consult with a tax professional to understand how these laws affect your specific situation.

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Correct question is " Current tax laws have which of the following effects?

group of answer choices favor dividends since dividends are tax-deductible for the paying corporation whereas retained earnings, which produce capital gains, are not dividends because there are no capital gains taxes on not favor dividends or capital gains for most people because different people are in different tax not favor capital gains because the tax must be paid as the value of the stock increases, whether or not the stock is capital gains because the tax does not have to be paid until the stock is sold."

Which of the following is a reason for corporations to invest in fitness and wellness programs for their employees?
Higher health insurance costs
Higher compensation costs for workers
The "one size fits all" approach
Increased employee productivity

Answers

One reason for corporations to invest in fitness and wellness programs for their employees is increased employee productivity.

When employees are healthy and active, they tend to have more energy and focus, which can translate into improved performance at work. Additionally, regular exercise has been linked to reduced stress levels and better mental health, which can also contribute to higher productivity. In contrast, failing to invest in employee wellness can result in higher health insurance costs due to increased rates of chronic illnesses and other health problems. It may also lead to higher compensation costs for workers who experience reduced job satisfaction and are more likely to leave the company. Finally, a "one size fits all" approach to wellness may not be effective since different employees have different needs and preferences.

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other qualified plan. if their joint agi before any ira deduction is $144,900, compute their agi. multiple choice $137,900 $130,900 $138,900 $144,900

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To compute their Adjusted Gross Income (AGI), we need to subtract the IRA deduction from their joint AGI.

Since the problem states that their joint AGI before any IRA deduction is $144,900, we would need to know the amount of the IRA deduction to calculate their AGI accurately. Without that information, we cannot determine their AGI.

Please provide the amount of the IRA deduction so that we can calculate their AGI.

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assume that banks lend out all their excess reserves. currently, the total reserves that banks hold equal $32.8 billion. if the federal reserve decreases its reserve requirement from 10 percent to 8 percent, then there is potential for the whole banking system to raise the money supply by:

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The potential increase in the money supply can be calculated by using the money multiplier formula. In this case, the initial reserve requirement is 10 percent, and the new reserve requirement is 8 percent.

The potential increase in the money supply can be calculated as the reciprocal of the reserve requirement change. Therefore, the potential increase in the money supply would be:

1 / (0.10 - 0.08) = 1 / 0.02 = 50

This means that the whole banking system has the potential to raise the money supply by a factor of 50.

When the reserve requirement is lowered, banks are required to hold a smaller portion of their deposits as reserves. This gives them more freedom to lend out excess reserves, which increases the money supply through the process of fractional reserve banking. By decreasing the reserve requirement from 10 percent to 8 percent, the potential increase in the money supply is calculated as the reciprocal of the reserve requirement change, resulting in a factor of 50. This means that for every dollar of excess reserves banks lend out, the money supply can potentially increase by 50 dollars.

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a trade of securities between a bank and an insurance company without using the services of a broker-dealer would take place on the fourth market first market third market second market

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A trade of securities between a bank and an insurance company without involving a broker-dealer would take place on the over-the-counter (OTC) market, commonly known as the third market.

The securities market is commonly divided into different markets based on where the trading takes place and the entities involved. The first market refers to the exchange market, where securities are traded on organized exchanges such as the New York Stock Exchange (NYSE). This market involves the direct trading of securities between buyers and sellers on the exchange floor.

The second market, also known as the dealer market, involves the trading of securities between broker-dealers and institutional investors. This market is typically conducted over-the-counter (OTC) through a network of dealers. The third market, often referred to as the OTC market, is where trading occurs directly between institutional investors without the involvement of an exchange. This market allows for the trading of securities outside of the organized exchanges and involves transactions between entities such as banks, insurance companies, and other institutional investors.

In the given scenario, a trade of securities between a bank and an insurance company without using the services of a broker-dealer would likely take place on the OTC market or the third market. This allows the two parties to directly negotiate and execute the trade without going through an exchange or involving a broker-dealer intermediary.

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1a. How effective has Apple inc been in using its assets? Provide examples
1b. How solvent is the company? explain
1c. Explain how effective has Apple Inc been in generating returns to its shareholders?

Answers

1a. Apple Inc has been highly effective in utilizing its assets to drive growth and profitability.

1b. Apple Inc is highly solvent, with a strong balance sheet and healthy cash reserves.

1c. Apple Inc has been highly effective in generating returns for its shareholders.

1a. Apple Inc has been highly effective in utilizing its assets to drive growth and profitability. The company has consistently invested in research and development to introduce innovative products such as the iPhone, iPad, and MacBook. These products have enabled the company to capture a significant share of the smartphone and computer markets, generating significant revenue and profits. Furthermore, Apple has effectively utilized its brand recognition and marketing expertise to create a loyal customer base that continues to purchase Apple products.

1b. Apple Inc is highly solvent, with a strong balance sheet and healthy cash reserves. As of June 2021, the company had $191.8 billion in cash and marketable securities and a debt-to-equity ratio of just 1.57. Apple's financial stability enables it to pursue growth opportunities, such as acquisitions and research and development, while also returning value to shareholders through dividends and share buybacks.

1c. Apple Inc has been highly effective in generating returns for its shareholders. The company's stock price has consistently outperformed the broader market, driven by strong revenue growth and profitability. Furthermore, Apple has consistently returned value to shareholders through dividends and share buybacks. In the last five years, the company has returned over $350 billion to shareholders through these mechanisms, demonstrating its commitment to delivering value to its investors. Overall, Apple's effective use of assets and financial stability have enabled it to generate significant returns for shareholders.

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a candlestick with equal opening and closing prices a. neutral cloud b. harami c. morning star d. doji

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The candlestick pattern described, with equal opening and closing prices, is called a Doji. A Doji is a candlestick pattern that occurs when the opening and closing prices of a particular period are the same or very close to each other.

Doji represents a state of indecision in the market, where neither buyers nor sellers have taken control. The appearance of a Doji suggests that the balance between supply and demand is uncertain.

The Doji candlestick pattern has a small body, often represented as a thin horizontal line or a cross. It indicates that the market's opening and closing prices were almost identical, resulting in the absence of a clear bullish or bearish sentiment.

Traders and analysts pay attention to Doji patterns as they can signal potential trend reversals or a period of consolidation. The interpretation of a Doji depends on its location within the overall price trend and the preceding and subsequent candlestick patterns. It is often seen as a sign of market indecision and can be followed by significant price movements in either direction.

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if a bank has $3.8 million in total deposits, $860,000 in total reserves, and faces a 20 percent reserve requirement, the amount of money that a bank could initially create by loaning out their excess reserves is:

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If a bank has $3.8 million in total deposits, $860,000 in total reserves, and faces a 20 percent reserve requirement, the amount of money the bank could initially create by loaning out its excess reserves is $3.04 million.

To determine the amount of money that a bank could initially create by loaning out its excess reserves, we need to calculate the excess reserves available for lending. Excess reserves are the reserves held by a bank above the required reserve amount.

In this scenario, the total reserves held by the bank are $860,000, and the reserve requirement is 20 percent. To calculate the required reserves, we multiply the total deposits by the reserve requirement rate: $3.8 million x 0.20 = $760,000.

The excess reserves can be calculated by subtracting the required reserves from the total reserves: $860,000 - $760,000 = $100,000.

Therefore, the bank could initially create money by loaning out its excess reserves, which amount to $100,000. This means the bank has the capacity to extend loans and increase the money supply by up to $100,000, as long as it maintains the required reserve ratio of 20 percent.

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describe the impact of the market revolution on potential customers

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The market revolution, which took place in the 19th century, brought about significant changes in the way goods and services were produced, distributed, and consumed.

This period saw the emergence of new technologies and modes of transportation that made it possible for goods to be produced on a larger scale and transported over greater distances. As a result, potential customers had access to a wider variety of products at lower prices than ever before. The market revolution also led to the growth of cities, which in turn created new opportunities for people to engage in commerce and trade. However, these changes also brought about new challenges, such as increased competition and a lack of regulation, which could make it difficult for potential customers to navigate the marketplace. Overall, the impact of the market revolution on potential customers was complex, but it ultimately led to a more dynamic and diverse economy that provided consumers with greater choices and opportunities.

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based on market values, gubler's gym has an equity multiplier of 1.56 times. shareholders require a return of 11.31 percent on the company's stock and a pretax return of 4.94 percent on the company's debt. the company is evaluating a new project that has the same risk as the company itself. the project will generate annual after tax cash flows of $297,000 per year for 9 years. the tax rate is 21 percent. what is the most the company would be willing to spend today on the project?

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Gubler's Gym, based on market values, has an equity multiplier of 1.56 times. With shareholders requiring a return of 11.31 percent on stock and a pretax return of 4.94 percent on debt, the company is evaluating a project that generates annual after-tax cash flows. The task is to determine the maximum amount the company would be willing to spend on the project.

The maximum amount the company would be willing to spend on the project can be calculated using the concept of the net present value (NPV). The NPV represents the present value of expected cash inflows minus the present value of cash outflows.

To calculate the maximum spending amount, the annual after-tax cash flows of $297,000 need to be discounted at the required return rates for both equity and debt. The cash flows are discounted using the after-tax cost of debt and the required return on equity.

By discounting the cash flows over the project's duration of 9 years and summing them up, the NPV of the project can be calculated. The maximum spending amount is the maximum initial investment that would result in a positive NPV, indicating that the project generates a return higher than the required rates of return for both equity and debt.

Therefore, the maximum amount Gubler's Gym would be willing to spend today on the project is determined by the initial investment that results in a positive NPV.

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According to Knickerbocker's theory:
a.when a firm has valuable know-how that cannot be adequately protected by a licensing contract it engages in FDI.
b.when a firm's skills and know-how are not amenable to licensing, it usually prefers the FDI route.
c.by placing tariffs on imported goods, governments indirectly increase the cost of exporting relative to foreign direct investment and licensing.
d.when a firm that is part of an oligopolistic industry expands into a foreign market, other firms in the industry will be compelled to make similar investments.

Answers

According to Knickerbocker's theory, option d is correct: when a firm that is part of an oligopolistic industry expands into a foreign market, other firms in the industry will be compelled to make similar investments.

This concept is known as the theory of strategic behavior or the "follow-the-leader" hypothesis. Knickerbocker argued that when a firm in an oligopolistic industry undertakes foreign direct investment (FDI), other firms in the same industry feel the need to follow suit in order to maintain their competitive position and not be left behind. This behavior is driven by the desire to prevent a competitor from gaining a significant advantage in the foreign market and potentially dominating the industry.

Options a and b are not directly related to Knickerbocker's theory. While the theory does mention valuable know-how and skills, it primarily focuses on the behavior of firms in oligopolistic industries when engaging in FDI.

Option c is not specifically addressed by Knickerbocker's theory. The theory primarily explains the behavior of firms in oligopolistic industries regarding FDI, rather than the impact of tariffs on exporting relative to FDI and licensing.

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a nurse manager is planning to request three new infusion pumps at a cost of approximately $1500 each. what would best support the capital request?

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To best support the capital request for three new infusion pumps, it would be essential to provide a strong rationale that highlights the benefits and value of the investment.

Here are a few points that could support the capital request:

1. Increased Efficiency: Emphasize how the new infusion pumps would enhance efficiency and productivity in delivering patient care. Discuss the specific features and capabilities of the new pumps that would streamline workflow, reduce manual errors, and save time for nurses and other healthcare professionals.

2. Improved Patient Safety: Highlight the advanced safety features of the new infusion pumps, such as dose error reduction systems, alarm functions, and compatibility with electronic health record systems. Explain how these features would help prevent medication errors, enhance patient safety, and reduce adverse events.

3. Technology Upgrades: If the current infusion pumps are outdated or lack important features, highlight the technological advancements of the new pumps. Discuss how the new equipment would align with industry standards, offer compatibility with other medical devices, and potentially integrate with hospital information systems.

4. Cost Savings: Present a cost analysis that demonstrates potential savings or return on investment. Discuss how the new infusion pumps may lead to reduced maintenance and repair costs compared to older equipment. Additionally, if the new pumps are more energy-efficient, emphasize the potential long-term savings in terms of electricity consumption.

5. Patient Satisfaction: Link the capital request to improved patient satisfaction. Explain how the new infusion pumps can contribute to a positive patient experience, such as reduced wait times, increased comfort, or improved accuracy in medication administration.

6. Regulatory Compliance: If the current infusion pumps do not meet the latest regulatory requirements or standards, emphasize how the new pumps would ensure compliance and mitigate potential risks or penalties.

By addressing these points and tailoring the arguments to the specific needs and priorities of the healthcare organization, the nurse manager can effectively support the capital request for three new infusion pumps.

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bank a has $98,400 in total reserves, and $13,800 excess reserves. the required reserve ratio is 6 percent. bank a has total deposits of

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To calculate the total deposits of Bank A, we need to determine its required reserves and then use the required reserve ratio. Bank A has total deposits of $98,400.

Given that the required reserve ratio is 6 percent, we can calculate the required reserves as follows:

Required Reserves = Total Deposits * Required Reserve Ratio

Since we know the excess reserves and the total reserves, we can use the following equation to find the total deposits:

Total Deposits = Excess Reserves + Required Reserves

First, let's calculate the required reserves:

Required Reserves = Total Deposits * 0.06

Next, we can substitute the given values into the equation to find the total deposits:

$13,800 + Required Reserves = $98,400

Required Reserves = $98,400 - $13,800

Now, we can solve for the required reserves:

Required Reserves = $84,600

Finally, we can calculate the total deposits:

Total Deposits = Excess Reserves + Required Reserves = $13,800 + $84,600 = $98,400

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All else constant, which of the following will increase the aftertax cost of debt for a firm?
I. increase in the yield to maturity of the firm's outstanding debt
II. decrease in the yield to maturity of the firm's outstanding debt
III. increase in the firm's tax rate
IV. decrease in the firm's tax rate
A. I only
B. I and III only
C. I and IV only
D. II and III only
E. II and IV only

Answers

The aftertax cost of debt is calculated by increase in the yield to maturity of the firm's outstanding debt will impact increase in the firm's tax rate. The correct option  is B. I and III only

Option I states that an increase in the yield to maturity of the firm's outstanding debt will increase the aftertax cost of debt. This is because a higher yield to maturity means that the lender is charging a higher interest rate, which increases the interest payments that the firm must make. As a result, the tax savings from these interest payments will be lower, leading to a higher aftertax cost of debt.

Option II states that a decrease in the yield to maturity of the firm's outstanding debt will decrease the aftertax cost of debt. This is because a lower yield to maturity means that the lender is charging a lower interest rate, which decreases the interest payments that the firm must make. As a result, the tax savings from these interest payments will be higher, leading to a lower aftertax cost of debt.

Option III states that an increase in the firm's tax rate will increase the aftertax cost of debt. This is because a higher tax rate means that the tax savings from the interest payments will be lower, leading to a higher aftertax cost of debt.

Option IV states that a decrease in the firm's tax rate will decrease the aftertax cost of debt. This is because a lower tax rate means that the tax savings from the interest payments will be higher, leading to a lower aftertax cost of debt.

Based on the above analysis, the correct answer is B. I and III only, as both an increase in the yield to maturity and an increase in the tax rate will increase the aftertax cost of debt.

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IFRS QUESTIONSTrue/False
1. In the United States, like many other countries, banks are major
creditors as well as the largest investors.

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The given statement, "Banks in the United States, as in many other countries, play a significant role as creditors and investors," is true because they provide loans to individuals and businesses and also invest in various financial instruments such as stocks and bonds.

In the United States, banks play a significant role as creditors by providing loans and credit to individuals, businesses, and governments. They are also major investors, using their own capital to invest in various financial instruments such as stocks, bonds, and other securities. Additionally, banks often have investment arms or subsidiaries that engage in investment activities on behalf of the bank.

Therefore, banks can be considered both major creditors and significant investors in the United States, as well as in many other countries.

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which of the following is not a primary application of technical analysis? a. establishing price targets b. providing long-term market forecasts c. identifying turning points d. identifying trends

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(B) Providing long-term market forecasts is not a primary application of technical analysis.

Technical analysis is a method used to analyze financial markets and make investment decisions based on historical price patterns and market trends. Its primary focus is on studying price charts and indicators to predict future price movements. However, providing long-term market forecasts is not considered a primary application of technical analysis.

The primary applications of technical analysis include establishing price targets, identifying turning points, and identifying trends. Establishing price targets (option a) involves using technical analysis tools to determine potential price levels at which an asset may move in the future. Identifying turning points (option c) refers to recognizing changes in the direction of price movement, such as identifying when a market trend is about to reverse. Identifying trends (option d) is another important aspect of technical analysis, as it involves identifying the overall direction of price movement, whether it's an uptrend, downtrend, or sideways trend.

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Let’s assume that a particular forecasting model was used to forecast a six- month period. Here are the forecasts and actual demand that resulted: April May June July August September Forecast 2600 2900 4000 3500 3750 4500 Actual 2400 3900 3560 3200 5250 4000 Find the tracking signal in each month and state whether you think the model being used in giving acceptable answers? Also, if they use exponential smoothing with alpha = 0.4 and an October demand is 3,900, find the November forecast.

Answers

To calculate the tracking signal for each month, we need to determine the forecast error and cumulative forecast error. The tracking signal helps assess the accuracy and reliability of the forecasting model.

The forecast error is the difference between the forecasted value and the actual value. The cumulative forecast error is the sum of all the forecast errors up to a particular month. The tracking signal is calculated by dividing the cumulative forecast error by the mean absolute deviation (MAD) of the forecast errors.

Let's calculate the tracking signal for each month:

Month: April

Forecast: 2600

Actual: 2400

Forecast error: Forecast - Actual = 2600 - 2400 = 200

Cumulative forecast error: 200

Mean absolute deviation (MAD): Average of the absolute values of forecast errors = 200

Tracking signal: Cumulative forecast error / MAD = 200 / 200 = 1

Month: May

Forecast: 2900

Actual: 3900

Forecast error: Forecast - Actual = 2900 - 3900 = -1000

Cumulative forecast error: 200 - 1000 = -800

MAD: (|200| + |-1000|) / 2 = 600

Tracking signal: -800 / 600 = -1.33

Month: June

Forecast: 4000

Actual: 3560

Forecast error: Forecast - Actual = 4000 - 3560 = 440

Cumulative forecast error: -800 + 440 = -360

MAD: (|200| + |-1000| + |440|) / 3 = 546.67

Tracking signal: -360 / 546.67 = -0.66

Month: July

Forecast: 3500

Actual: 3200

Forecast error: Forecast - Actual = 3500 - 3200 = 300

Cumulative forecast error: -360 + 300 = -60

MAD: (|200| + |-1000| + |440| + |300|) / 4 = 495

Tracking signal: -60 / 495 = -0.12

Month: August

Forecast: 3750

Actual: 5250

Forecast error: Forecast - Actual = 3750 - 5250 = -1500

Cumulative forecast error: -60 - 1500 = -1560

MAD: (|200| + |-1000| + |440| + |300| + |-1500|) / 5 = 728

Tracking signal: -1560 / 728 = -2.14

Month: September

Forecast: 4500

Actual: 4000

Forecast error: Forecast - Actual = 4500 - 4000 = 500

Cumulative forecast error: -1560 + 500 = -1060

MAD: (|200| + |-1000| + |440| + |300| + |-1500| + |500|) / 6 = 716.67

Tracking signal: -1060 / 716.67 = -1.48

Based on the tracking signals, it can be observed that the model is not providing acceptable answers consistently. The tracking signals fluctuate and have negative values, indicating that the forecast errors are not within acceptable bounds.

Now, let's calculate the November forecast using exponential smoothing with alpha = 0.4:

October demand: 3900

To calculate the November forecast, we need the October forecast and the previous November forecast:

October forecast: 3750

Previous November forecast: 4500

November forecast = Previous November forecast + alpha * (October demand - Previous November

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match each marketing mix component with its corresponding value function.
product
price
place
promotion
creating value
delivering value proposition
communicating value
capturing value

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The marketing mix consists of four key components: product, price, place, and promotion. Each of these components is crucial in creating, delivering, communicating, and capturing value for a business. Here are the corresponding value functions for each component Product Creating value.


The product is the core offering of a business. It is what customers pay for and what sets a business apart from its competitors. Creating value through the product component of the marketing mix involves developing high-quality, innovative, and customer-centric products that meet the needs and desires of the target audience.

Pricing is a critical component of the marketing mix, as it determines how much revenue a business generates from its products or services. Capturing value through pricing involves setting the right price point that reflects the value customers place on the product while also covering the costs of production and generating a profit.

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Which of the following is a result of anthropomorphic climate change? O Emissions gasses have decreased. O Insurance claims have been turned over to government committees. O Damage caused by weather-related disasters has increased. O Insurance is more readily available to consumers.

Answers

The correct answer is: Damage caused by weather-related disasters has increased.

Anthropogenic or anthropomorphic climate change refers to the changes in the Earth's climate system that are primarily caused by human activities, particularly the emission of greenhouse gases. These events can lead to widespread destruction of infrastructure, loss of lives, displacement of communities, and significant economic costs. The rise in damage caused by weather-related disasters has put pressure on insurance companies, leading to changes in insurance policies, premiums, and even the transfer of insurance claims to government committees in some cases. Additionally, anthropogenic climate change has spurred discussions on the need for mitigation measures and adaptation strategies to reduce future impacts.

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Identify five (5) key steps a healthcare institution will follow
before embarking on setting up an e-Procurement system in a
healthcare setting.

Answers

The five key steps a healthcare institution will typically follow before embarking on setting up an e-Procurement system are Conduct a Needs Assessment, Analyze the Existing Procurement Process, Choose an e-Procurement System, Develop a Plan for Implementation, and Monitor and Evaluate.


1. Conduct a Needs Assessment: The healthcare institution should first assess their procurement needs to identify what products and services they require, and to determine what procurement processes need to be streamlined.

2. Analyze the Existing Procurement Process: The healthcare institution should analyze its current procurement process to identify areas that can be improved and streamlined through e-Procurement. This includes evaluating the processes for requisition, approval, order placement, invoicing, and payment.

3. Choose an e-Procurement System: Once the healthcare institution has identified its procurement needs and analyzed its existing processes, it can begin evaluating different e-Procurement systems. The system chosen should be able to meet the institution's procurement needs, integrate with other systems, and be scalable for future growth.

4. Develop a Plan for Implementation: Once the e-Procurement system has been selected, the healthcare institution should develop a detailed plan for implementation. This includes developing a timeline, identifying key stakeholders, outlining training requirements, and setting goals for adoption.

5. Monitor and Evaluate: After the e-Procurement system is implemented, the healthcare institution should monitor its usage and evaluate its effectiveness in meeting the institution's procurement needs. This includes monitoring adoption rates, evaluating the system's impact on costs and efficiency, and making necessary adjustments to ensure the system is meeting the institution's needs.

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what factor distinguishes an employee from an independent contractor?
A) Whether or not the company supervises and controls the work. B) The amount of the pay. C) Whether or not the work is performed on company property. D) Whether the individual chooses to be treated as an independent contractor.

Answers

The factor that distinguishes an employee from an independent contractor is whether or not the company supervises and controls the work. In general, an employee is someone who works under the direction and control of an employer, while an independent contractor is someone who works independently and has more control over how they do their work. The correct option is A.

This means that an employer has the right to direct and control the work of an employee, including things like what tasks they perform, how they perform them, when they work, and where they work. An independent contractor, on the other hand, typically has more control over these aspects of their work.

While the amount of pay, whether or not the work is performed on company property, and whether the individual chooses to be treated as an independent contractor may be factors that are considered in determining whether someone is an employee or an independent contractor, they are not the primary factor.

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unfortunately employee theft and fraud is high partly due to

Answers

The main answer to your question is that employee theft and fraud is high due to various reasons, including a lack of proper internal controls and oversight, opportunities for personal gain, financial pressures, and inadequate hiring and training practices.

When businesses do not have adequate systems in place to detect and prevent theft and fraud, employees may take advantage of loopholes and weaknesses in the system. Additionally, financial pressures and personal problems may lead employees to engage in unethical behavior to meet their needs. Finally, businesses may inadvertently hire or fail to train employees who are more susceptible to engaging in theft and fraud. Overall, a combination of factors contribute to the prevalence of employee theft and fraud in the workplace.

I understand that you would like an explanation for why employee theft and fraud are high. Your main answer is that employee theft and fraud are high partly due to opportunity, weak internal controls, and lack of awareness. Employee theft and fraud occur when employees have access to valuable assets or sensitive information without proper oversight. The following are some reasons for this issue:Opportunity: Employees may have access to cash, inventory, or other valuable assets without proper supervision, leading to temptation and opportunity for theft or fraud.eak internal controls: Inadequate or poorly enforced policies and procedures can make it easier for employees to commit theft or fraud. For example, a lack of segregation of duties can allow one employee to handle multiple aspects of a financial transaction, increasing the risk of fraud.. Lack of awareness: Employees and management may not be aware of the warning signs of theft or fraud, or may not take them seriously. This can lead to a culture where such behaviors are overlooked or not reported, increasing the chances of employee theft and fraud going undetected.To mitigate these risks, businesses should implement strong internal controls, educate employees about the risks and warning signs of theft and fraud, and encourage a culture of honesty and integrity.

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sam’s willingness to pay for a pizza is $15. if the price of pizza is $10, sam’s consumer surplus after buying the pizza is: a) $15 b) $0 c) $5 d) $20

Answers

Answer:

Sam is ready to spend $15 on a pizza. Sam's consumer surplus after purchasing the pizza, if it costs $10, is $5.

Explanation:

Sam's consumer surplus after buying the pizza is $5.

Consumer surplus represents the difference between the maximum price a consumer is willing to pay for a product or service and the actual price they pay. In this case, Sam's willingness to pay for a pizza is $15, but the price of the pizza is $10.

To calculate the consumer surplus, we subtract the actual price from the willingness to pay. Therefore, Sam's consumer surplus is $15 (willingness to pay) - $10 (actual price) = $5.

The consumer surplus of $5 indicates that Sam derives an additional benefit of $5 from purchasing the pizza at the given price. It represents the value that Sam gains by paying less for the pizza than what he is willing to pay. This surplus can be seen as a measure of the economic welfare or satisfaction that Sam receives from the transaction.

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Any measurable, tangible, verifiable outcome, result, or item that must be produced to complete a project or part of a project is a:(2 Points)
a. product
b. deliverable
c. tangible
d. work product
e. none of the above

Answers

Deliverable - Any measurable, tangible, verifiable outcome, result, or item that must be produced to complete a project or part of a project

A deliverable refers to any measurable, tangible, and verifiable outcome or result that needs to be produced as part of a project or its specific phase.

It represents the final product, service, or document that is expected to be delivered to the project stakeholders. Deliverables are essential for project management as they help define project scope, set clear objectives, and track progress. They provide a way to measure project success and ensure that project goals are met. Deliverables can take various forms, including reports, presentations, software applications, prototypes, completed tasks, or any other tangible or intangible outputs required for project completion.

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Bennett’s Restaurant rents a space in a high-end mall in Las Vegas, Nevada. Gabriel is waiting for a table and sitting on the edge of a fountain in the common area outside of the restaurant. One of the bricks on the fountain comes loose and injures Gabriel. Who is liable? (A) Bennett’s Restaurant and the mall ownership are liable to Gabriel for damages. (B) Only the mall ownership, as landlord, is liable to Gabriel for damages. (C) Only Bennett’s Restaurant is liable to Gabriel for damages. (D) Neither party is liable as this was an accident.
Answer:______ Explanation
Dr. Ludwig von Drake is at it again! After many years of research, Dr. von Drake has finally solved one of physics’ greatest mysteries. Dr. von Drake has discovered the grand unified theory. As a result of the discovery, Dr. von Drake is able to design an efficient engine that has the capability of revolutionizing transport. Dr. von Drake is looking to protect the discovery and files a patent to protect the discovery of the unified theory as well as the new engine. What is the likely result? (A) The patent office is likely to grant a patent for the engine but not the unified theory. (B) The patent office will likely grant patent protection for both the engine and the unified theory. (C) The patent office will likely grant patent protection for the unified theory but not the engine. (D) The patent office is unlikely to grant patent protection to either the unified theory or the engine.
Answer:______ Explanation:
3. Daniel was working in the service department of Santos Trucking Inc. as he put herself through college with an accounting major. He also trained to become an auditor. After Daniel graduated, he joined the accounting firm of Milton Accounting LLP. Santos Trucking Inc. has decided to retain Milton Accounting LLP as its audit firm. Which of the following statements is true? (A) Santos Trucking cannot hire Milton Accounting LLP to do audits for a period of one year following Daniel’s departure from Santos Trucking. (B) Santos Trucking cannot hire Milton Accounting LLP to do audits for a period of five years following Daniel’s departure from Santos Trucking. (C) Santos Trucking is free to hire Milton Accounting LLP to do the company’s audits. (D) Santos Trucking can hire Milton Accounting LLP to do audits, if the Public Company Accounting Oversight Board provides permission.
Answer:______ Explanation:

Answers

1. Both Bennett's Restaurant and the mall ownership are liable to Gabriel for damages. As a tenant, Bennett's Restaurant has a responsibility to ensure the safety of the common areas surrounding their rented space. The correct answer is option(a).

The mall ownership also has a responsibility to maintain safe common areas for their customers. Therefore, both parties may be held liable for any injuries that occur in the common areas.

2. The patent office will likely grant patent protection for both the engine and the unified theory. Patents can be granted for inventions that are novel, useful, and non-obvious. Dr. von Drake's discovery of the grand unified theory and the resulting efficient engine meet these criteria and are likely to be granted patent protection. The correct answer is option(b).

3. Santos Trucking is free to hire Milton Accounting LLP to do the company's audits. While there are rules and regulations around auditor independence, such as a cooling-off period for former employees, there are no restrictions on a company hiring an accounting firm that a former employee has joined. As long as the auditing firm follows ethical guidelines and maintains independence in their work, there is no issue with Santos Trucking hiring Milton Accounting LLP as their auditor. The correct answer is option(c).

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Jack has two grandchildren Mpho and Gugu. In his will he left them his estate worth R2 000 000 equally. They both invested a portion of their inheritance in an investment. Both of his grandchildren receives the same return, 10% per annum on their investments over a period of 20 years with a cash payment of R90 000 at the end of each year. Mpho invested his whole inheritance in the investment while Gugu also bought a car. Gugu will receive R500
000 at the end of the 20-year investment period but Mpho is unsure how much he will receive.
a) Calculate the cost of Gugu's vehicle. b) Calculate the value of Mpho's payment he will receive in 20 years.

Answers

The cost of Gugu's vehicle is R1,500,000, and the value of Mpho's payment he will receive in 20 years is approximately R3,352,276.89.

a) To calculate the cost of Gugu's vehicle, we need to subtract the amount she will receive at the end of the 20-year investment period from her inheritance.

Given:

Inheritance = R2,000,000

Amount received at the end of the 20-year investment period = R500,000

Cost of Gugu's vehicle = Inheritance - Amount received at the end of the 20-year investment period

Cost of Gugu's vehicle = R2,000,000 - R500,000

Cost of Gugu's vehicle = R1,500,000

Therefore, the cost of Gugu's vehicle is R1,500,000.

b) To calculate the value of Mpho's payment he will receive in 20 years, we can use the future value of an annuity formula.

Given:

Return on investment per year = 10%

Cash payment received at the end of each year = R90,000

Number of years = 20

Using the future value of an annuity formula:

Value of Mpho's payment = Cash payment per year * [(1 + Return on investment per year)^Number of years - 1] / Return on investment per year

Value of Mpho's payment = R90,000 * [(1 + 0.10)^20 - 1] / 0.10

Value of Mpho's payment ≈ R3,352,276.89

Therefore, the value of Mpho's payment he will receive in 20 years is approximately R3,352,276.89.

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Carlson Inc. is evaluating a project in India that would require a $5.5 million after-tax investment today (t = 0). The after-tax cash flows would depend on whether India imposes a new property tax. There is a 50-50 chance that the tax will pass, in which case the project will produce after-tax cash flows of $1,350,000 at the end of each of the next 5 years. If the tax doesn't pass, the after-tax cash flows will be $2,150,000 for 5 years. The project has a WACC of 10.0%. The firm would have the option to abandon the project 1 year from now, and if it is abandoned, the firm would receive the expected $1.35 million cash flow at t = 1 and would also sell the property and receive $4.75 million after taxes at t = 1. If the project is abandoned, the company would receive no further cash inflows from it. What is the value (in thousands) of this abandonment option? Do not round intermediate calculations.

Answers

The value (in thousands) of the abandonment option is $6,448,640.1.

To calculate the value of the abandonment option, we need to use the concept of real options. The value of the abandonment option is equal to the difference between the project value with the option and the project value without the option.

First, let's calculate the project value without the option. We will discount the expected cash flows at the WACC of 10% and take the expected value based on the 50-50 chance of the tax passing or not passing.

For the case where the tax passes:

Year 1: $1,350,000 / (1 + 0.10)^1 = $1,227,273

Year 2-5: $1,350,000 / (1 + 0.10)^2 + $1,350,000 / (1 + 0.10)^3 + $1,350,000 / (1 + 0.10)^4 + $1,350,000 / (1 + 0.10)^5 = $4,384,710

In the case where the tax doesn't pass:

Year 1-5: $2,150,000 / (1 + 0.10)^1 + $2,150,000 / (1 + 0.10)^2 + $2,150,000 / (1 + 0.10)^3 + $2,150,000 / (1 + 0.10)^4 + $2,150,000 / (1 + 0.10)^5 = $8,462,542

Expected value without the option:

(0.5 * $1,227,273) + (0.5 * $8,462,542) = $4,844,908.5

Next, let's calculate the project value with the option. The value with the option is the maximum of two values: the value of continuing the project and the value of abandonment.

Value of continuing the project:

(0.5 * $4,384,710) + (0.5 * $8,462,542) / (1 + 0.10)^1 = $11,293,548.6

Value of abandonment:

$1,350,000 / (1 + 0.10)^1 + $4.75 million / (1 + 0.10)^1 = $5,272,727.3

The value with the option is the maximum of the two values:

Max($11,293,548.6, $5,272,727.3) = $11,293,548.6

Finally, we can calculate the value of the abandonment option by subtracting the value without the option from the value with the option:

Value of the abandonment option = $11,293,548.6 - $4,844,908.5 = $6,448,640.1

Therefore, the value of the abandonment option is $6,448,640.1 (in thousands).

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identify three of the activities best suited to email marketing. a. newsletters, interstitials, promotions and discounts b. newsletters, alerts and reminders, lead generation c. store openings, lead generation, market research d. market research, newsletters, alerts and reminders

Answers

Identifying three activities best suited to email marketing is option B: newsletters, alerts and reminders, lead generation. These three activities have proven to be effective in engaging with customers, increasing brand awareness, and driving sales.

Newsletters are a great way to keep customers informed about new products, company updates, and industry news. They provide valuable information to the customer and build trust and loyalty between the brand and the customer.

Alerts and reminders are useful for keeping customers engaged and reminding them of upcoming sales, events, or promotions. They are also helpful for reducing cart abandonment and encouraging customers to complete their purchases.

Lead generation is the process of identifying and cultivating potential customers for a business. Email marketing can be a powerful tool for lead generation, as it allows businesses to reach a large audience with targeted messaging and calls-to-action.

Overall, a combination of these three activities can help businesses achieve their email marketing goals and drive success in their marketing efforts.

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Select the statements reflecting the general sense of vulnerability that is relevant to target marketing.
a. A person is vulnerable as a consumer because he or she is unable in some way to participate as a fully informed and voluntary participant in the market exchange.
b. A person is vulnerable because he or she is the typical customer for a particular product.
c. A person is vulnerable because he or she is susceptible to some physical, psychological, or financial harm other than the financial harm from an unsatisfactory market exchange.
d. A person may be seen as vulnerable because he or she belongs to some ethnic group, or is poor, or is a resident of a particular neighborhood.
e. and D.
f. A and C.

Answers

The statements that reflect the general sense of vulnerability that is relevant to target marketing are A, C, and D. A person is vulnerable as a consumer when he or she is unable in some way to participate as a fully informed and voluntary participant in the market exchange.

This can happen when a consumer lacks the knowledge or understanding of a product or service, making them more susceptible to being taken advantage of by marketers. A person is vulnerable when he or she is susceptible to some physical, psychological, or financial harm other than the financial harm from an unsatisfactory market exchange. For example, a person may be vulnerable to physical harm if they are sold a defective product that causes injury, or they may be vulnerable to psychological harm if they are targeted with deceptive or manipulative advertising.

A person may be seen as vulnerable because he or she belongs to some ethnic group, is poor, or is a resident of a particular neighbourhood. These factors can make a person more susceptible to targeted marketing, as they may have limited resources or face systemic discrimination that makes it difficult for them to make informed decisions as consumers. Therefore, the statements that reflect the general sense of vulnerability that is relevant to target marketing are A, C, and D.

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Item2
Time Remaining 1 hour 54 minutes 13 seconds
01:54:13
Item 2
Time Remaining 1 hour 54 minutes 13 seconds
01:54:13
Listed below are year-end account balances ($ in millions) taken from the records of Symphony Stores.
Debit Credit
Accounts receivable $ 678 Building and equipment 936 Cash 41 Interest receivable 45 Inventory 22 Land 170 Notes receivable (long-term) 500 Prepaid rent 23 Supplies 9 Trademark 57 Accounts payable $ 675
Accumulated depreciation 74
Additional paid-in capital 477
Dividends payable 24
Common stock (at par) 13
Income tax payable 63
Notes payable (long-term) 812
Retained earnings 304
Deferred revenue 39
TOTALS $ 2,481 $ 2,481
What would Symphony report as total shareholders' equity?
Multiple Choice
$1,606 million
$794 million
$770 million

Answers

To calculate Symphony Stores' total shareholders' equity, we need to consider the debit and credit balances from the given year-end account balances.

Debit balances represent assets and expenses, while credit balances represent liabilities, equity, and revenues. By subtracting the total credit balance from the total debit balance, we can determine the total shareholders' equity.

Total Debit Balances:

Accounts receivable: $678 million

Building and equipment: $936 million

Cash: $41 million

Interest receivable: $45 million

Inventory: $22 million

Land: $170 million

Notes receivable (long-term): $500 million

Prepaid rent: $23 million

Supplies: $9 million

Trademark: $57 million

Total Debits: $2,481 million

Total Credit Balances:

Accounts payable: $675 million

Accumulated depreciation: $74 million

Additional paid-in capital: $477 million

Dividends payable: $24 million

Common stock (at par): $13 million

Income tax payable: $63 million

Notes payable (long-term): $812 million

Retained earnings: $304 million

Deferred revenue: $39 million

Total Credits: $2,481 million

Total Shareholders' Equity = Total Debits - Total Credits

Total Shareholders' Equity = $2,481 million - $2,481 million

Total Shareholders' Equity = $0 million

Therefore, Symphony Stores would report a total shareholders' equity of $0 million.

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