Inflation caused by an increase in the per-unit production costs at each level of total spending is called Cost-push inflation. When overall prices rise as result of rising costs for wages and raw materials, this phenomenon is referred to as cost-push inflation, also referred to as wage-push inflation.
Total amount of production in the economy may decline as result of higher manufacturing costs. Cost-push inflation results from the manufacturing price increases being passed on to consumers because demand for goods hasn't altered. Cost-push inflation results from manufacturing price increases being passed on to consumers because demand for goods hasn't altered.
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Profit-maximizing firms enter a competitive market when existing firms in that market have.
Answer:Profit-maximizing firms enter a competitive market when, for existing firms in that market, total revenue exceeds fixed costs.
Explanation:
that is what i think sorry if im not right
Which model is directed solely at determining how much input subordinates should have in the decision-making process?
The Normative Decision Model is solely directed at determining how much input subordinates should have in the decisions making process.
The Normative Decision Model was developed by Vroom and Yetton. This model, is limited only to decision making. Thus, if a decision has a rational better or worse alternative, the leader should select the better alternative from the two.
This model is considered as standards for evaluation. So it must be justified independently of observations of people's judgments and decisions. This model also studies the guidelines for right action.
Hence, in the decisions making process, the Normative Decision Model is solely directed at determining how much input subordinates are needed.
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What is the technique of lookinf at the trad e offs between producing goods or ervices internally vs procuring it from outside the organization?
Make-or-buy analysis is the technique of determining cost effectiveness of producing goods or services internally versus procuring them from outside the organization.
What is Make-or-buy analysis?The process of obtaining and arranging data regarding product requirements and comparing it to available options, such as purchasing or manufacturing the product internally.
A company's decision to manufacture or purchase is based on its key competencies. The main causes of a make-or-buy decision are production cost and quality issues. Other factors that influence the current operations pattern are managerial actions and a company's long-term business plan.
The following are some of the benefits of making or purchasing decisions: The discovery aids in determining the most efficient way to proceed with in-house manufacturing or outsourcing. The choice aids the company's strategic maneuvering. Many firms will benefit from the ruling.
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You can give numerical ratings to possible career choices to help determine if they are right for you by creating a(n)_____. a. letter of recommendation b. individual career plan c. personal career profile d. decision-making process please select the best answer from the choices provided a b c d
You can give numerical ratings to possible career choices to help determine if they are right for you by creating a personal career profile.
A professional profile is what?A career profile is typically only referred to as a resume summary or a career profile, which are some quick remarks at the top of the CV.Creating a personal career profile enables you to rate potential careers and determine whether they correspond with your values and interests.What makes a decent profile summary?No more than four succinct sentences should comprise your professional profile. Your profile can be written as a brief paragraph or a list with bullets. Include your job title and the duration of your education or work experience. For the position, emphasize your professional qualities.Learn more about professional profile here:
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Answer: c
Explanation: personal career profile.
Proponents of the real business cycle model argue that the short-run aggregate supply curve is?
Proponents of the real business cycle model argue that the short-run aggregate supply curve is positively sloped.
The short-run aggregate supply curve is upward or positively sloping and it represents the positive relationship between the price level and output. The short-run is when all production occurs in real time.
The short-run aggregate supply curve (SRAS) shows us that a higher price level leads to more output. It also lets us capture how all of the firms in an economy respond to price stickiness. Thus, when prices are sticky, the SRAS curve will slope upward.
Hence, the short-run aggregate supply curve will be positively sloped.
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An insurance that will pay the health care organization for services each time the service is rendered is referred to as?
An insurance that will pay the health care organization for services each time the service is rendered is referred to as Fee-for-service (FFS).
Fee-for-service (FFS) is a payment model in which the patient or an insurance company is responsible for paying whatever amount the healthcare organization charges for their service. Thus, that will be paid each time the service is rendered
In health care, this service gives an incentive for physicians to provide more treatments because the payment is dependent on the quantity of care, rather than quality of care.
Hence, Fee-for-service (FFS) is potentially inflationary by raising health care costs.
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The ________ allows the scanning, monitoring, and evaluating of changes and trends in a firm’s macro environment.
The PESTEL framework allows the scanning, monitoring, and evaluating of changes and trends in a firm's macro environment.
A PESTEL analysis is a strategic framework commonly used to evaluate the business environment in which a firm operates. Traditionally, the framework was referred to as a PEST analysis, which was an acronym for Political, Economic, Social, and Technological; in more recent history, the framework was extended to include Environmental and Legal factors as well.
The framework is used by management teams and boards in their strategic planning processes and enterprise risk planning management. PESTEL analysis is also a very popular tool among management consultants to help their clients develop innovative product and market initiatives, as well as within the financial analyst community, where factors may influence model assumptions and financing decisions.
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Lana has worked on many teams before, but she always felt like she ended up doing a lot of the work. if lana could form her own team, she should look for someone who _____. a. has good communication skills b. has a positive attitude c. does their share of the work d. all of the above please select the best answer from the choices provided a b c d
Lana has worked on many teams before, but she always felt like she ended up doing a lot of the work. if Lana could form her team, she should look for someone who (d.) all of the above.
Why good combination is important?When communication is successful, everyone engaged feels content and accomplished. Delivering messages eliminates the possibility of misinterpretation or message modification, reducing the likelihood of conflict. Effective communication is essential for ensuring that conflicts are resolved in a courteous way when they do occur.What is the importance of a positive attitude?Mentally, having a cheerful outlook makes you more attentive, reduces stress, and lowers your risk of developing depression and other mental health issues. Anything that lowers your risk of developing physical and mental diseases is essential in life.The most advantageous of all. You live longer if you have a good attitude toward life.Learn more about communication skills here:
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Answer: D). all of the above
Explanation:
trust I took the test
Jones, Incorporated acquires 15% of Anderson Corporation on January 1, 2020, for $105,000 when the book value of Anderson was $600,000. During 2020 Anderson reported net income of $150,000 and paid dividends of $50,000. On January 1, 2021, Jones purchased an additional 25% of Anderson for $200,000. Any excess cost over book value is attributable to goodwill with an indefinite life. The fair-value method was used during 2020 but Jones has deemed it necessary to change to the equity method after the second purchase. During 2021 Anderson reported net income of $200,000, and reported dividends of $75,000. The income reported by Jones for 2021 with regard to the Anderson investment is:_____.
a. $80,000.
b. $30,000.
c. $50,000.
d. $15,000.
e. $75,000.
The income reported by Jones for 2021 with regard to the Anderson investment is $80,000
In 2021 Jones changed the method from fair value to Equity method.
In the equity method Income reported is
= income of the company in which investment is made x capital share in that company
= $200,000 x 40%
= $80,000
Investing is dedicating an asset to achieve an increase in value over a period of time. Making an investment requires sacrificing your current assets such as time, money, and effort. In finance, the purpose of investment is to generate a return on the assets invested
The definition of investment is an asset that is purchased or invested to build wealth and save money from hard-earned income or capital appreciation.
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Question Content Area Assuming a 360-day year, the interest charged by the bank, at the rate of 6%, on a 90-day, discounted note payable of $100,000 is a.$500 b.$3,000 c.$1,500 d.$6,000
The interest is $1,500
The answer is option B. $1,500
Given,
Amount of Note Payable 100,000.00
No of Days = 90
Interest Rate = 6%
Interest = 100,000*6%*90/360
Interest = 1,500
In finance and economics, interest is a fee from a borrower or deposit-taking economic institution to a lender or depositor of an amount above reimbursement of the foremost sum, at a particular price. it's far awesome from a charge which the borrower may additionally pay the lender or some celebration.
In finance and economics, interest is charged from a borrower or deposit-taking economic group to a lender or depositor of a quantity above reimbursement of the essential sum, at a selected price. it's far wonderful from a price that the borrower may also pay the lender or some third party.
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Porosity is the ratio of _________ to _________.
a. total rock volume to pore space
b. pore space to total rock
c. volume permeability to total rock volume
d. total rock volume to permeability
Porosity is the ratio of pore space volume to bulk volume of the rock.
Porosity is the fine of being porous, or complete of tiny holes. liquids move proper via matters that have porosity. pass returned a ways sufficient.
Porosity is the proportion of void area in a rock. it's miles defined because the ratio of the quantity of the voids or pore area divided by the full volume. it's far written as both a decimal fraction among zero and 1 or as a percentage.
Porosity of a rock is a degree of its capacity to hold a fluid,it is the open space in a rock divided with the aid of the total rock quantity (stable and space. Permeability is a degree of the convenience of drift of a fluid through a porous stable,ratio as shown in Equation eight. each porosity and void ratio are used to represent the open area of soil, sediments and rocks.
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If an oligopoly firm with market power that has saturated the market wants to increase sales?
It must decrease its price in order to sell more market power that has saturated the market wants to increase sales
What is oligopoly ?
An oligopoly is a market structure in the economy. The structure only has a small number of firms. Of these firms, none are a firm forerunner. This means that no single firm has more influence than any of the others on the market. The resulting power structure means that there are no advantages present, as well.
Some market structures that may seem more familiar are monopolies and duopolies. In monopolies, a single firm has what’s called monopolistic competition. This means that they are the only firm in the market, and that they are controlling it. This means that they control the entire market, and the barrier to entry prevents other firms from participating. A monopoly quantity, as the name implies, is singular.
Why does oligopoly stay stable ?
For an oligopoly to remain stable, competing companies have to see the benefit in cooperation. By collaborating, large companies in a market can increase their profits. As such, many companies tend to be more willing to cooperate with one another.
That may sound like price-fixing, though, right? Many companies will avoid blatant price-fixing through creative means. Historically, some have fluctuated their prices by following the phases of the moon. Others work together to define a price leader. Then, when the leader raises prices, all of the “competing” companies will follow their lead. This lets oligopolies avoid unethical practices such as price-fixing on paper, at the very least.
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The ________ is the optimum budget to managers that plan revenues and expenses at different sales volumes.
The flexible budget is the optimum budget to managers that plan revenues and expenses at different sales volumes.
What is a flexible budget?According to changes in actual revenue or other activities, a flexible budget can be adjusted. The end result is a budget that closely matches actual outcomes. This strategy differs from the more typical static budget, which only lists fixed spending figures that don't change in accordance with actual revenue levels. Instead of using the customary set amounts, the flex budget allocates certain expenses as percentages of revenue. This enables an infinite number of adjustments to be made to anticipated costs that are directly related to actual income received. This method, however, ignores adjustments to other expenditures that don't alter in response to slight variations in revenue.The flexible budget is a useful tool for assessing the performance of managers since it adjusts itself based on activity levels; the budget should nearly match expectations at any number of activity levels.
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The ________ details how the business expects to go from the beginning cash balance to the desired ending cash balance.
Cash Budget details how the business expects to go from the beginning cash balance to the desired ending cash balance.
About cash budget :
A cash budget is an estimation of the cash flows of a business over a specific period of time. This could be for a weekly, monthly, quarterly, or annual budget. This budget is used to assess whether the entity has sufficient cash to continue operating over the given time frame. The cash budget provides a company insight into its cash needs (and any surplus) and helps to determine an efficient allocation of cash.
How a Cash Budget Works
Companies use sales and production forecasts to create a cash budget, along with assumptions about necessary spending and accounts receivable collections. A cash budget is necessary to assess whether a company will have enough cash to continue operations. If a company does not have enough liquidity to operate, it must raise more capital by issuing stock or taking on more debt.
A cash roll forward computes the cash inflows and outflows for a month, and it uses the ending balance as the beginning balance for the following month. This process allows the company to forecast cash needs throughout the year, and changes to the roll forward to adjust the cash balances for all future months.
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cultural and behavioural expectations of studying for a degree in business management
The Cultural and behavioural expectations of studying for a degree in business management is to be able to know the relationship and the culture with respect to behaviors of employees, managers and customers.
What is cultural behavior in business?The cultural behavior in business helps to be familiar with the employees, managers and customers and the relationship between them as regards the culture of the business.
This help to know the team's behavior, as well as setting them up to to record success in workplace.
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Key inputs to the verification process include?
The purpose of verification, as a normal motion, is to become aware of the faults/defects introduced at the time of any transformation of inputs into outputs.
Verification is a pleasant manage technique that determines if a machine meets its gadget-stage necessities. Inspection and demonstration is the principle testing technique used in Verification.
The Verification procedure offers the evidence that the gadget or machine detail plays its meant capabilities and meets all performance requirements listed inside the machine overall performance specification and functional and allotted baselines.
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Suppose the u.s. economy faces a $1,000 million recessionary gap and mpc is 0.8. what fiscal policy will close the recessionary gap?
Expansionary fiscal policy contains tax cuts, transfer payments and expanded government spending on projects such as infrastructure advancements.
Expansionary fiscal policyExpansionary fiscal policy is most suitable when an economy is in slump and growing below its potential GDP.However, expansionary fiscal policy can result in increasing interest rates, growing trade debts, and accelerating inflation, particularly if applied during beneficial economic developments.
These side impacts from expansionary fiscal policy tend to partly offset its stimulative effects. It seeks to spur economic activity by arranging more money into the hands of consumers and businesses. It's one of the major forms governments reply to compacting in the business cycle and prevent economic recessions.
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_____ occurs when making accommodations for individuals with disabilities imposes a significant difficulty or expense on an employer.
An undue hardship occurs when making accommodations for individuals with disabilities imposes a significant difficulty or expense on an employer. An employer is required to determine whether specific reasonable accommodation would result in an undue hardship on a case-by-case basis.
"Undue hardship," which focuses on the resources and circumstances of specific employer in relation to expense or difficulty of providing a specific accommodation, refers to a significant difficulty or expenditure. In addition to financial hardship, "undue hardship" also refers to appropriate concessions that are excessively extensive, significant, or disruptive, or those that fundamentally change the nature or way organization operates.
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Which level of threat includes disgruntled employees seeking to harm your systems?
Unstructured threat level of threat includes disgruntled employees seeking to harm your systems.
An unstructured threat is a computer attack by inexperienced hackers, also known as "script kids," who exploit software made by more experienced hackers to access a system, steal data from it, or execute a denial-of-service attack.
The quantity of hackers who constitute an unstructured threat to a system more than makes up for their lack of competence. Mission-critical servers are typically protected by numerous layers of security, making it difficult for script kids to access them.
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Question Content Area If the market rate of interest is 10%, a $10,000, 12%, 10-year bond that pays interest semiannually would sell at an amount a.greater than face value b.equal to the face value c.less than face value d.The answer cannot be determined from the information given.
If the market rate of interest is 10%, a $10,000, 12%, 10-year bond that pays interest semiannually would sell at an amount c.less than face value.
Face value is a financial term used to describe the nominal or dollar value of a security as reported by the issuer. For stocks, par value is the original price of the stock as stated on the certificate. For bonds, this is the amount paid to the holder at maturity, usually in increments of $1,000.
Face value is the amount the issuer pays the investor at maturity. Because the price of a bond fluctuates, prices are stated relative to the original par or face value. Bonds are called trading above or below par.
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The slope of a demand curve is not used to measure the price elasticity of demand because.
The correct option is C.
The measurement of slope is sensitive to the units chosen for price and quantity.
What Is Meant by Elasticity in Economics?The term "elasticity" refers to a measurement of how responsively a quantity that is required or supplied is to one of its determinants. When a factor, like as price or supply, changes, the demand for a good responds quickly. Conversely, items that are inelastic maintain their demand even when prices increase significantly.
How do we measure elasticity?The calculation for this indicator, also known as cross-price elasticity of demand, involves dividing the percentage change in the amount demanded of one good by the percentage change in its price.
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I understand that the question you are looking for is:
The slope of a demand curve is not used to measure the price elasticity of demand because
A) the slope of a linear demand curve is not constant.
B) the slope of a line cannot have a negative value.
C) the measurement of slope is sensitive to the units chosen for price and quantity.
D) the slope of the demand curve does not tell us how much quantity changes as price changes.
If a 2-year capital project has an internal rate of return factor equal to 1.69 and net annual cash flows of $51000, the initial capital investment was
If a 2-year capital project has an internal rate of return factor equal to 1.69 and net annual cash flows of $51000, the initial capital investment was
CI= $86190.
This is further explained below.
What is a capital investment?Generally, A company's purchase of tangible assets for use in advancing its long-term business aims and objectives is capital investment.
In conclusion,
capital investment
CI=51000x1.690
CI= $86190
If the internal rate of return factor for a two-year capital project is equal to 1.69 and the net yearly cash flows are equal to $51,000, then the original capital expenditure for the project was equivalent to $86190.
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Once a corrective action plan is started, the corrective action plan must be monitored annually to ensure they are effective. True or false?.
Once a corrective action plan is started, the corrective action plan must be monitored annually to ensure they are effective this statement is false.
What is corrective action plan?A corrective action plan is a piece of writing used in quality management that specifies a series of measures for fixing problems and holes in organizational structures and procedures that could have a detrimental effect on the bottom line. It outlines the process for resolving a problem that prevents the firm from achieving its goals.What does a corrective action plan look like in practice?A corrective action plan's first component is identifying the issue. For instance, a buyer may complain to an online clothes company that they received a defective item. You can identify possible answers by comprehending the problem the firm is facing.Learn more about corrective action plan here:
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Azure inc. , an information technology company, uses a quartile strategy and positions itself in the third quartile to develop its compensation strategy. Tt targets pay ranges so that 25 percent of?
Azure inc., an information technology company, uses a quartile strategy and positions itself in the third quartile to develop its compensation strategy. Tt targets pay ranges so that 25 percent of lead-the-market strategy.
Technology is the result of accumulated knowledge and the application of skills, methods and processes used in industrial production and scientific research.
Technology is the application of scientific knowledge to practical ends in human life, or, as it is sometimes expressed, in modifying and manipulating the human environment.
Technology includes the manufacture and use of tools, tools and machinery, the things themselves manufactured and used, and the needs and purposes they serve. The whole complex of these inventions is technology. Technology itself is an invention, or, in Latin, a means.
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In the typical agency relationship between sellers and brokers, brokers are the ________ of sellers, and must protect their clients’ best interest at all times.
In the typical agency relationship between sellers and brokers, brokers are the Fiduciary of sellers, and must protect their client's best interest at all times.
An agent is one who represents the principal, or client, in a transaction, has a fiduciary responsibility to the principal, and acts on behalf of the principal.
The fiduciary duty of the agent to the client is to represent the client to the greatest extent possible within the confines of the law. A customer is the other party to the transaction who is not represented by the agent. Although the agent owes no fiduciary duty to a customer, the seller's agent must, nonetheless, disclose important information about the property and be honest to the customer.
A customer can, and often will, have their own agent. For instance, in a real estate transaction where both the buyer and the seller are represented by agents, the buyer is a customer of the seller and the seller is a customer of the buyer. The seller's agent owes no fiduciary duty to the buyer and the buyer's agent owes no fiduciary duty to the seller.
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Overnight trucking recently purchased a new truck costing $150,800. The firm financed this purchase at 8. 6 percent interest with monthly payments of $2,100. How many years will it take the firm to pay off this debt?.
8.44 years will take the firm to pay off this debt.
What is debt?Debt is an obligation that forces one party, the debtor, to pay another party, the creditor, money or other agreed-upon value. Debt is a delayed payment or series of payments that differs from an immediate purchase.
Student loans, mortgages, and company loans are examples of "good" debt, which is defined as money due for things that can help develop wealth or boost income over time. "Bad" debt is defined as credit card or other consumer debt that does little to help your financial situation. These are overstatements.
While both words refer to money owed, credit and debt are not synonymous. Debt is money owed, whereas credit is money borrowed.
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What effects did zaha have on guggenheim new york?
The effects that Zaha had on Guggenheim New York is that her current retrospective at the Solomon R. Guggenheim Museum in New York gives ample evidence of her genius. She has been busy and produced a staggeringly impressive body of work that is without equal for its inventiveness. This saved urban space and merges the elements of its surroundings. It also projects a brand new artificial landscape outweighted by funnel-shaped cones. The Solomon R. Guggenheim Museum, often referred to as The Guggenheim, is an art museum at 1071 Fifth Avenue on the corner of East 89th Street on the Upper East Side of Manhattan in New York City.
Who is Zaha Hadid?Dame Zaha Mohammad Hadid DBE RA was a British-Iraqi architect, artist and designer, recognised as a major figure in architecture of the late 20th and early 21st centuries.
Therefore, the correct answer is as given above
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Goods and services are produced efficiently when production is organized in combinations and ways ______.
Goods and services are produced efficiently when production is organized in combinations and ways that minimize the cost per unit of output.
What are Goods and services?Items that are typically (but not always) tangible are referred to as goods. Examples include pens, real books, salt, apples, and hats. Services are things that other people do for you, such as online servers, waiters, barbers, lawn care providers, dentists, barbers, doctors, digital books, digital video games, and digital movies.All economic activity and commerce are supported by the creation, distribution, and consumption of products and services when taken as a whole. Although businesses also consume products and services in the process of generating other goods and services, economic theory assumes that consumption of goods and services results in utility (pleasure) for the consumer or end-user.To know more about goods and services with the given link
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What are two examples of economic forces within a company's general environment?
The two examples of economic forces within a company's general environment are
bank interest ratesthe unemployment rateWhat is unemployment rate?The percentage of workers in the labor force who do not currently have a job but are actively seeking one is measured by the unemployment rate.This statistic excludes people who have not sought for job in the last four weeks. It's critical to remember that the rate does not represent the total population; rather, it represents the percentage of job seekers who are unemployed and actively looking for work.The unemployment rate fluctuates for a number of reasons. A change in the labor force's size may have an impact on the unemployment rate, even though a change in the number of job seekers is the obvious cause. Workers exit the labor force when they lose hope and cease looking for work.To learn more about unemployment rate with the given link
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When is the total dollar expenditure on the market basket in the base year the same as in the current year?
If it is the case there is no inflation that has happened. The prices remain the same this is the total dollar expenditure on the market basket in the base year is the same as in the current year.
Base year CPI is always 100. This benchmark allows you to easily compare changes between the current year and a base year and compare several different economic indicators starting from the base year.
An economy is considered to be at full employment if the actual unemployment rate is equal to the natural rate of unemployment. At full employment, real GDP equals potential real GDP.
The natural rate of unemployment (NRU) is the rate of unemployment that exists when the economy is at full employment and producing real output. NRU equals the sum of frictional unemployment and structural unemployment is the total dollar expenditure.
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In this case there is no inflation. Prices remain the same.
Base year is the base year against which price comparisons are based. CPI compares the current prices of the commodities in the basket with the prices of these commodities in the base year. Here is a simple example of CPI calculation: Suppose Country A has only 3 items in its shopping cart.
The government announced Monday that he has no plans to change the base year for calculating Gross Domestic Product (GDP) from 2020 to 2021. The current base year for GDP calculation at constant prices is 2011-12.
For financial measures, the base year is the first year of several years. Usually set to an arbitrary amount of 100. New and current base years are added regularly to keep the data in one database up to date.
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