Answer: It's seasonal.
Explanation:
Focused reports help managers ____________ the challenge before recommending solutions. Reports that present data without conducting analysis arei ______________.
Like other business messages, reports can range from informal to formal depending on their purpose, audience, and setting. Which of the following contributes to an informal writing style?
a. Absence of humor
b. Passive voice verbs
c. Familiar words
d. Use of contractions
Answer: analyze, informational reports;
the use of contractions
Explanation:
Focused reports help managers (analyze) the challenge before recommending solutions. Reports that present data without conducting analysis are (informational reports)
b. The option that contributes to an informal writing style is ( the use of contractions). Other informal writing styles are:
• First-person pronouns
• Active-voice verbs
• Conversational language
If you are trying to avoid a framing bias and you are looking for a way to diagram a yes or no decision makiing process you should use what tool to make decision
If you are trying to avoid a framing bias and you are looking for a way to diagram a yes or no decision making process you should use what tool to make decision- Heuristic.
Heuristics are cognitive short cuts that enable speedy and effective problem solving and judgment. These rule of thumb techniques speed up decision-making and enable people to carry out their tasks without constantly pausing to consider their next course of action.
Heuristics were initially established in psychology in the 1950s by Nobel laureate economist and cognitive psychologist Herbert Simon. Despite people's best efforts to make reasonable decisions, he argued that human perception is bound to cognitive constraints. Purely logical choices would entail assessing all the advantages and disadvantages of each solution.
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Wally's Walleyes wants to introduce a new product that has a start-up cost of $7,800. The product has a 2-year life and will provide cash flows of $4,500 in Year 1 and $4,300 in Year 2. The required rate of return is 15 percent. Should the product be introduced? Why or why not?
The calculated NPV is negative, indicating that the present value of expected cash flows does not exceed the start-up cost of the project. In other words, the project is expected to generate a net loss.
To determine whether Wally's Walleyes should introduce the new product, we can calculate the net present value (NPV) of the project. The NPV measures the present value of expected cash flows, taking into account the required rate of return.
To calculate the NPV, we need to discount the cash flows using the required rate of return (15 percent). The formula for calculating NPV is:
NPV = Cash Flow Year 1 / (1 + Required Rate of Return)^1 + Cash Flow Year 2 / (1 + Required Rate of Return)^2 - Start-up Cost
\(NPV = $4,500 / (1 + 0.15)^1 + $4,300 / (1 + 0.15)^2 - $7,800\)
\(NPV = $4,500 / 1.15 + $4,300 / (1.15)^2 - $7,800\)
NPV = $3,913.04 + $3,537.41 - $7,800
NPV = -$350.55
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You decide to attend college next fall. List 3 or more opportunity costs and 3 or more opportunity benefits of ading college next fall.
Answer:
Explanation:
Opportunity Costs for going to college
1. Cost of college tuition
2. Loss of income for getting a job right away instead of going to college
3. Time spend at college could be used of something else such as a hobby
Benefits for going to College
1. Getting a job with a higher salary
2. More job opportunities being available (i.e. jobs that require you be attending college or already have college degree)
3. Life experience you may gain attending college (such as mentoring from professors, joining clubs, etc.)
Discuss the political, social, economic, technological and other
configurations that support cross-border trade by giving examples of any
multinational firms operating in Ethiopia
Answer: , I can give you an overview of the political, social, economic, and technological factors that support cross-border trade, along with some examples of multinational firms operating in Ethiopia.
Political Factors: - The government's policies and regulations play a significant role in supporting cross-border trade. - A favorable political climate encourages multinational firms to invest in the country.
- Ethiopia has implemented policies aimed at attracting foreign investors, such as tax incentives and relaxed regulations.
- The government's efforts to improve infrastructure, such as roads and ports, has also contributed to the growth of cross-border trade. Social Factors:
- The availability of skilled and affordable labor is an important factor that influences the growth of multinational firms in Ethiopia. - Ethiopia's young and growing population presents an opportunity for firms to expand their markets. - The cultural diversity of the country is also attractive to multinational firms seeking to expand their operations globally. Economic Factors: - Ethiopia has a liberalized economy with a stable macroeconomic environment that supports cross-border trade. - The country has made significant progress in economic reforms, including the privatization of state-owned enterprises. - Ethiopia's strategic location, with access to the Red Sea and proximity to the Middle East and Europe, has made it an attractive destination for multinational firms. Technological Factors: - Technology has played a significant role in supporting cross-border trade, making it easier and more cost-effective. - The use of e-commerce platforms has made it possible for multinational firms to reach customers in different parts of the world. - The availability of high-speed internet and mobile networks has also facilitated cross-border trade. Examples of Multinational Firms Operating in Ethiopia: - Coca-Cola is a global brand that operates in Ethiopia and has invested heavily in the country. - H&M, the Swedish fashion retailer, has opened stores in Ethiopia, taking advantage of the country's textile industry. - Unilever, the British-Dutch consumer goods company, has also invested in Ethiopia, setting up a manufacturing plant for its products. In conclusion, the political, social, economic, and technological factors mentioned above have contributed to the growth of cross-border trade in Ethiopia. This has attracted multinational firms to invest in the country, with many seeing Ethiopia as a potential hub for doing business in Africa
Explanation:
2 years is $24,234. Determine the present value amount, using the following partial table of present value of $1 at compound interest
The present value amount, given the principal and the partial table of the present value, will be $20,017.28
How to find the present value amount?The present value amount will be the current value of an amount that is denoted in future terms. To find this amount, you need to discount the future amount by a certain discount interest rate, and the number of periods into the future.
The interest rate here is 10% and the amount in 2 years is $24, 234.
Given the partial table of present value of $1 at compound interest, we known that the discount factor for 2 years at 10% is 0.826.
The present value of $24, 234 from two years in the future, in the present is:
= Future value amount x Present value factor for 2 years, 10 %
= 24, 234 x 0.826
= $20, 017.28
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David is a licensed agent who typically represents homeowners looking to sell their house. As an agent, David has limited authority when working with clients, and his duties are limited to those outlined in the listing agreement. How would you characterize David's agency relationship?
The best way to characterize David's agency relationship is:
D. David is a special agent since he is only responsible for one property at a time with limited duties.Who is an Agent?This refers to a person who represents another person and their interests when dealing with the buying or selling of property.
With this in mind, we can see that because David is a licensed agent, he represents homeowners but has limited authority when working with clients and his agency relationship is one that he is a special agent since he is only responsible for one property at a time with limited duties.
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What is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year?
What is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year?
$2,880,460,000
$1,120,284,000
$2,880,460
$2,314,770,000
$1,760,176,000
$2,880,460,000 is the total amount of Five Below's Liabilities plus Stockholders' Equity in the 2021 fiscal year .
What is Current liabilities ?A company's obligations or debts that are due within a year or the normal operating cycle are referred to as current liabilities. In addition, a current asset—either cash or a new current liability—is used to settle current liabilities.
On a company's Balance Sheet, current liabilities include accounts payable, accrued liabilities, short-term debt, and other similar debts.
Notes Payable, Accounts Payable, Short-Term Loans, Accrued Expenses, Unearned Revenue, Current Portion of Long-Term Debts, and Other Short-Term Debt are all considered current liabilities.
As current liabilities provides us with a general picture of your company's short-term financial standing and is useful for working capital expenditure planning. A healthy business is typically one with fewer current liabilities than current assets.
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CAAT Traders acquired machinery on 1 July 20.18 for an amount of R175 300. This machinery was only available for use from 1 September 20.18 due to massive tests that needed to be performed first. CAAT Traders’ current financial period ends on 31 May 20.19. According to CAAT Traders’ accounting policy, depreciation on machinery is provided using the unit of production method over it’s the useful life of 5 years according to the following production schedule:
The amount for depreciation expenses to be shown in the statement of profit or loss and other comprehensive income for the year ended 31 May 20.19 will be … (round off your final answer to the nearest Rand)
The depreciation expenses to be shown in the statement of profit or loss and other comprehensive income for the year ended (31-05-2019) is R26,295.
What is depreciation?Depreciation can be defined as a process in which the monetary (financial) value of an asset decreases or falls over time, especially due to wear and tear.
How to determine the depreciation expenses?First of all, we would calculate the expected number of units produced by CAAT as follows:
Expected number of units produced = 15,000 + 13,000 + 11,000 + 10,500 + 10,500
Expected number of units produced = 60,000.
Mathematically, the depreciation expenses is given by:
Depreciation expenses = Actual units produced/expected units produced × cost price
Substituting the given parameters into the formula, we have;
Depreciation expenses = 9,000/60,000 × 175,300
Depreciation expenses = R26,295.
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The engagement team performed testing of the tax account rollforward and documented the following for testing of the income tax payments for the
current year, "Agreed balance to Tax payments/refunds schedule prepared by the client without exception." Which is the best response as a result of
your review?
Answer the question, then select Confirm
A. You consider the source of the payments/refunds schedule noting it comes from a key system and ITGCs were deemed to be
effective and add this fact to the team's documentation.
B. Additional procedures are not necessary, as the appropriate tie-out procedures were performed.
C. You consider the testing over the accuracy and completeness of management's schedule which has been performed in a
separate EGA, ensure the balance in the rollforward agrees to the testing performed, and enhance the tax team's documentation to
reference the additional testing.
D. As part your review of the team's work, you re-perform their procedures by agreeing the balance to the payments/refunds
schedule obtained from the client.
Confirm
The best response that you would have as a result of your review would be ; You consider the testing over the accuracy and completeness of management's schedule which has been performed in a separate EGA, ensure the balance in the roll forward agrees to the testing performed, and enhance the tax team's documentation to reference the additional testing.
What does it mean to carry out testing of tax account?This is the term that has to do with the performing of the procedure in such a way that it would be able to take care of an underlying account record or a given transaction.
The answer to this question is option C. You would have to ensure that you consider the testing over the accuracy and completeness of management's schedule.
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What U.S. State is known as the Beehive State?
Answer:
Utah
Explanation:
Utah territory became a state in 1896 and retained the beehive symbol on their flag.
Hope it helps!
Answer:
Utah is known as the beehive state
TRUE/FALSE. countries with strong balance sheets and declining budget deficits tend to have lower interest rates.
Interest rates are often lower in nations with solid financial standing and decreasing budget deficits. It is False.
About Interest rates :Interest rates are often lower in nations with solid financial standing and decreasing budget deficits. The Fed is likely to raise short-term interest rates while the economy is slowing down. Business operations and the value of investment assets denominated in a foreign currency are both impacted by changes in that currency's value.
They collect savings deposits and disburse loans to those in need. They offer a range of services, including checking accounts and money market transactions, to enable the transfer of wealth between savers and those in need.
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give one example of a conflict that might occur due to individualism and collectivism.
Answer:
Individualism is the theory that postulates that through individual, almost selfish action, a greater economic and social progress can be obtained for the person. In turn, collectivism postulates that it is solidarity and group collaboration that allows greater economic and social progress.
In the field of business, a possible conflict between individualism and collectivism can occur in company boards, when the president of these tries to make decisions based on his particular criteria, while the rest of the board seeks to make decisions based on the consensus.
Thus, for example, a president who does not take into account the opinions of his board of directors can be a source of conflict, since he puts his individual interest over the collective interest.
Cultural differences does trigger conflicts. Example:
Isreal was having a problem with his neighbor next door. He decided to seek advice from his friend on the matter. Angel his friend suggested that he express the problem openly right away, and, if that wouldn’t help, to take the neighbor to the court. Mane, on the other hand, warned him not to get too serious, and recommended him to write a letter which talks about their good memories in the past and how pleasant their neighborhood was.From the above, an individualistic will focused on the issue at hand and pursues a direct approach
From a collectivism approach, they are more concerned about the relationship and look into the indirect/accommodating method to handle the situation.
Conclusively, Individualist and collectivist have their own way of approaching conflict and resolving it. The ways may differs.
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Your director called an emergency meeting because the main funder of their project is planning an on-site evaluation visit. The timeline is short and your team realizes that, despite their firm belief that their program is going very well, they might have difficulty in proving it. You find that the information you are required to provide does not match the kind of data you have been collecting. Your team is learning the hard way what all human service managers and service providers should know: If an event is not recorded it is as though it had not happened.
Address the following questions in your response:
How might the agency have avoided the situation?
How might the funding source have helped to avoid the current situation?
What data should your team have been collecting?
How should you deal with the immediate situation?
Answer:
no
Explanation:
The following information relates to Paternus Company: Sales revenue $ 17,610,000 Contribution margin 6,510,000 Net Income 1,130,000 If a manager at Paternus desired to determine the percentage impact on income of a given percentage change in sales, the manager would multiply the percentage increase/decrease in sales revenue by: Multiple Choice 0.17.
Answer:
Phương trình kế toán là gì?
Explanation:
Phương trình kế toán là gì?Phương trình kế toán là gì?Phương trình kế toán là gì?Phương trình kế toán là gì?Phương trình kế toán là gì?PhươPhương trình kếPhương trình kế toán là gì? toán là gì?Phương trình kPhương trình kPhương trình kế toán là gì?ế toán là gì?Phương trình kế toán là gì?Phương trình kế toán là gì?ế toán là gì?PPhươnPhương trình kế toán là gì?Phương trình kế toán là gì?g trình kế toán là gì?Phương trình kế toán là gì?hươnPhương trình kế toán là gì?g trình kế toán là gì?ng trình kế toán là gì?
Which of the following is the correct definition for free cash flows to the firm?
The correct definition for free cash flows to the firm is D. EBITX (1-Tax) + Depreciation - Changes in working capital - Capital Expenditure.
What is free cash flow?Free cash flow (FCF) is the cash a company has after all the cash outflows for its operations and capital assets maintenance.
This implies that free cash flow is the available cash that a company has after making payments for its operating expenses and capital expenditures (Capital Expenditure).
A. EBITDAX (1-Tax) + Depreciation - Changes in working capital + Capital Expenditure
B. EBITDAX (1-Tax) - Depreciation - Changes in working capital - Capital Expenditure
C. EBITX (1-Tax) - Depreciation - Changes in working capital + Capital Expenditure
D. EBITX (1-Tax) + Depreciation - Changes in working capital - Capital Expenditure
Thus, the correct definition for free cash flows to the firm is Option D.
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You have been asked to estimate the market value of an apartment complex that is producing annual net operating income of $44,500. Four highly similar and competitive apartment properties within two blocks of the subject property have sold in the past three months. All four offer essentially the same amenities and services as the subject. All were open-market transactions with similar terms of sale. All were financed with 30-year fixed-rate mortgages using 70 percent debt and 30 percent equity. The sale prices and estimated first year net operating incomes were as follows:
Comparable 1: Sales price $500,000; NOI $55,000
Comparable 2: Sales price $420,000; NO/ $50,400
Comparable 3: Sales price $475,000; NO/ $53,400
Comparable 4: Sales price $600,000; NOI $69,000
Required:
What is the indicated value of the subject property using direct capitalization?
a. By how much would government spending have to rise to shift the aggregate demand curve rightward by $25 billion
Answer: $2.5 billion
Explanation:
You need to first calculate the multiplier.
The multiplier is the amount that shows the effect of an increase in government spending on the aggregate demand of a country.
It is calculated as:
= 1 / ( 1 - MPC)
= 1 / ( 1 - 0.9)
= 10
Increase in aggregate demand = Government spending * multiplier
25 billion = G * 10
G = 25 billion / 10
= $2.5 billion
A market will be efficient even if there is imperfect information as long as the market is competitive.
a. True
b. False
Draw the organization chart of an organization with which familiar
The organization chart of an organizzation that a person is familiar with can be the education sector. The chart can begin with the chancellor if the school, the vice chancellor, the dea, college secretary, administrative head, and the departmental heads.
What is an organization chart?An organization chart refers to an image that shows the line up of heads in an institution and the ways in which they are related.
For a school,the organization chart can begin with the chancellor, the vice chancellor or vicechancellors as the case may be, the dean of studies, the college secretaries and the adminstrative ehads.
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Changes in the market environment impact _____
how competitive the marketplace is
how many offerings are available
how many marketing communication channels are used
how consumers behave
Changes in the market environment impact how competitive the marketplace is, how many offerings are available, how many marketing communication channels are used, and how consumers behave.
Aspects of the business landscape are significantly impacted by changes in the market environment. First and foremost, they have an impact on the level of market competition because changes in variables like technology, rules, and consumer preferences can affect how businesses compete with one another.
Changes in the market environment can also have an impact on the variety and range of goods and services that are offered to customers. New technologies and trends have an impact on how businesses communicate with their target audiences through marketing channels. Last but not least changes in the market environment such as those in the economy in social trends and in technological advancements have a significant impact on consumer behavior causing changes in buying patterns and preferences.
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What are the two types of Insider Trading?
Explanation:
One is legal while the other is illegal.
Legal insider trading is when insiders trade the company's securities and report the trades to the authorities.
A company can sell all the units it can produce of either Product A or Product B but not both. Product A has a unit contribution margin of $16 and takes two machine hours to make and Product B has a unit contribution margin of $30 and takes three machine hours to make. If there are 5,000 machine hours available to manufacture a product, income will be:
a. $10,000 more if Product A is made.
b. $10,000 less if Product B is made.
c. $10,000 less if Product A is made.
d. the same if either product is made.
Answer:
Product B has a net income of $10,000 superior to Product A.
The correct answer is C.
Explanation:
Giving the following information:
Product A:
Unitary contribution margin= $16
Machine-hours required= 2
Product B:
Unitary contribution margin= $30
Machine-hours required= 3
First, we will calculate the total income of both products.
Product A= 16*(5,000/2)= $40,000
Product B= 30*(5,000/3)= $50,000
Product B has a net income of $10,000 superior to Product A.
In which of the following situations would you sell/serve an alcoholic beverage?
A gentleman walks up to the counter with a bottle of whiskey, you watched him walk through the store, he answers your questions directly and clearly, you do not smell alcohol on his breath and his eyes are clear. then, we will sell/serve an alcoholic beverage.
what is beverage?
Beverages are any liquids that can slake a thirst. Drinks may be any form of liquid.
Water is a liquid that we always consume. Beverage products include things such as water, tea, coffee, milk, juice, beer, and any other type of beverages. Actually, the term "beverage" refers to any liquid product.
Beverage is a noun, not a verb. Beverage might be hot and frothy or include alcohol, and it can be used for anything you can drink, but sometimes it's more commonly associated with certain types of beverages, like soft drinks.
In restaurants, bars, and stores, the word beverage is used in place of the word "drink."
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In the event that Only1Corp. obtains control of all the natural gas producers in the US, it would most likely Group of answer choices
Group of Answers:
a. raise prices, cut production, and realize positive economic profits
b. have a patent giving it exclusive legal rights to make, use, and sell for a limited time.
c. have legal protection to prevent copying its methods of production for commercial use
d. acquire rights for its investors to produce and sell their product
Answer:
Only1Corp
a. raise prices, cut production, and realize positive economic profits
Explanation:
Only1Corp has by the above move become a monopoly by acquiring all the natural gas producers in the US and now has near or total control of the natural gas production. It will display the characteristics of a monopoly, especially that of a price maker. Its position in the marketplace will become unchallenged if there are no importers of natural gas to compete with it in the marketplace. However, it must be noted that monopolies are illegal in the US unless they are government-created monopolies.
If an investment using the value implied by the median EV/EBITDA multiple from the comps is made at the transaction date, what is the implied IRR? Assume the terminal value is the average of the values determined using the perpetual growth rate and an EBITDA exit multiple.
Answer:9.12%
Explanation:
1. 1 Was Jason right in wanting to start up his own company?
1.2 Did Craig make a good decision in giving up a potential $150,000 salary as aproject manager to work with Jason?
1.3 How does a project manager convince executives that they (the executives) are making bad business decisions? (Instruction: How many clients did they have? Who were their competitors and what was the financial strength of their competition?)
1.4 Is it true that some project managers put their careers at stake each time they take on a new project? If you were in Jason’s position, would you have sold the company?
1.5 If you were in Jason’s position, make a plan for your project to ask for a renewed contract from the Government.
Whether Jason was right in wanting to start his own company depends on various factors, such as his business acumen, market research, financial resources, and risk tolerance.
What is Risk Tolerance?
Risk tolerance refers to an individual's or organization's willingness and ability to accept and manage risk in pursuit of their goals or objectives. It is the degree of uncertainty or potential loss that an individual or organization is willing to accept in pursuit of potential gains. Risk tolerance can vary depending on various factors, such as an individual's or organization's financial situation, goals, time horizon, investment or business objectives, and personal or organizational risk appetite.
Whether Craig made a good decision in giving up a potential $150,000 salary as a project manager to work with Jason also depends on several factors, such as his motivation, confidence in the venture's success, and his personal career goals.
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If you were designing a recreational facility, describe how you would account for safety and risk management address strategies that you have observed in the facility that we have visit the semester
Designing a recreational facility requires careful consideration of safety and risk management to ensure the well-being of the visitors. By incorporating effective strategies, we can create an environment that promotes enjoyment while minimizing potential hazards.
One of the key strategies I observed during our visit to the facility this semester was the implementation of comprehensive safety protocols. These protocols included visible signage throughout the facility, clearly indicating safety guidelines and emergency procedures. By having such signage prominently displayed, visitors are constantly reminded of the safety measures in place.
Additionally, the facility had a well-trained staff that actively monitored and enforced safety rules. Staff members were easily identifiable through their uniforms or badges, and they were positioned strategically across the facility to provide assistance and respond to any safety concerns promptly.
Another important aspect I noticed was the presence of well-maintained equipment and facilities. Regular inspections and maintenance routines were visibly conducted to ensure that all equipment met safety standards. This proactive approach minimizes the risk of accidents caused by faulty equipment.
To further enhance safety, the facility provided proper training and orientation for visitors. This included mandatory safety briefings or orientations before engaging in activities that involved potential risks. By educating visitors about potential hazards and how to mitigate them, the facility promotes a culture of safety and risk awareness.
In conclusion, designing a recreational facility with safety and risk management in mind involves implementing comprehensive safety protocols, maintaining well-trained staff, ensuring the proper maintenance of equipment, and providing visitor education and orientation. By incorporating these strategies, we can create a recreational facility that prioritizes safety while offering an enjoyable experience for visitors.
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The 2,000 accounts receivable of ABC Company have a total book value of $40,000. Bill Rotter, CPA, has selected and audited a sample of 100 accounts with a total book value of $1,950. The audited value of the 100 accounts in the sample is $1,875. Using the difference estimation technique, Rotter's estimate (to the nearest dollar) of year-end accounts receivable balance would be: A) $37,500. B) $38,462. C) $38,500. D) $41,600.
Answer:
38,500
Explanation:
ABC COMPANY
The difference estimation technique formula will be:
(Book Value / Book Value Sample) - (Audited Value / Audited Value Sample) * Total Sample +- Population
Let plug in the above formula
[(1875 / 100) - (1950 / 100)] * 2,000 - 40,000
Hence:
18.75-19.5*2,000-40,000
0.75×2,000-40,000
=1,500 -40,000
=38,500
Therefore the accounts receivable balance would be $38,500
ricardian equivalence maintains that an increase in government spending financed by debt will result in a corresponding increase in
Ricardian equivalence maintains that an increase in government spending financed by debt will result in a corresponding increase in Savings.
What is Ricardian Equivalence ?According to the economic principle known as Ricardian equivalence, paying government expenditures with current taxes or future taxes (as well as current deficits) will have similar impacts on the overall state of the economy.
Therefore, increased government expenditure that is financed by debt will not be able to stimulate the economy since investors and consumers are aware that the loan would eventually need to be repaid through future taxes.
The hypothesis contends that consumers will save because they anticipate paying higher taxes in the future to reduce the debt, which will counteract the rise in aggregate demand brought on by higher government spending.
In order to prepare for future taxes, a rise in government spending financed by debt will also result in a rise in savings.
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