Please explain the difference between a quantitative and qualitative research. Please also explain the differences between the four types of quantitative research design: descriptive, correlational, quasi-experimental and experimental.

Answers

Answer 1

Quantitative research and qualitative research are two distinct approaches in research methodology.

Quantitative research is primarily concerned with collecting and analyzing numerical data to uncover patterns, relationships, and trends. It emphasizes objective measurement, statistical analysis, and the use of structured surveys, questionnaires, or experiments. The goal is to draw generalizable conclusions and make predictions based on the data. It often involves large sample sizes and employs statistical techniques to analyze data.

Qualitative research, on the other hand, focuses on exploring subjective experiences, meanings, and interpretations. It aims to gain an in-depth understanding of individuals' perspectives and social phenomena through methods such as interviews, observations, and analysis of textual or visual data. It relies on open-ended questions, allows for flexibility in data collection, and emphasizes context and rich descriptions. The findings are typically presented in narrative or thematic form.

Within quantitative research, there are four main types of research designs:

Descriptive research: This design aims to describe and document characteristics, behaviors, or phenomena. It focuses on presenting a clear picture of a particular population or situation, without making causal inferences.

Correlational research: This design investigates the relationship between two or more variables. It examines the extent to which changes in one variable are associated with changes in another variable. However, it does not establish causality.

Quasi-experimental research: This design resembles experimental research but lacks full control over the research environment. It involves the manipulation of an independent variable to observe its effect on a dependent variable, but participants are not randomly assigned to groups.

Experimental research: This design involves the random assignment of participants into different groups, including a control group, and the manipulation of an independent variable to measure its impact on a dependent variable. It aims to establish cause-and-effect relationships between variables.

These different quantitative research designs serve various purposes and have specific strengths and limitations, allowing researchers to choose the most appropriate design for their research questions and objectives.

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Related Questions

Angelique has to make a presentation to the board of trustees and include precise statistics to convey her points. She is particularly concerned with the accuracy of her supporting materials. What style of delivery would be most appropriate for her context

Answers

The style of delivery that would be most appropriate for her context is to read a manuscript.

What is a manuscript?

It should be noted that a manuscript simply means a document that's written by hand rather than typed.

In this case, the style of delivery that would be most appropriate for her context is to read a manuscript.

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Hi,


What is Corporate social responsibility (CSR) ?

Please

Thank you in advance !

Answers

Answer:

it is a type of international private business self regulation that aim to contribute to societal goals .

Place the steps to creating a budget in order:


Figure out your net income.


Make a list of fixed expenses


Make a list of variable expenses.


Adjust expenses as needed


Determine if you have enough income to cover all your expenses.

Answers

Answer:

1. Figure out your net income

2. Determine if you have enough income to cover all your expenses

3. make list of variable expense

4. make list of fixed expenses

5. adjust expense

done !

our self-talk consists of words pictures and emotions. as we imprint our affirmations we

Answers

Self-talk is your inner voice or the way you speak to yourself. Although you almost probably are doing it without realizing it, you almost certainly are. In order to produce an internal monologue throughout the day, this inner voice mixes conscious thoughts with ingrained beliefs and biases.

What are the four categories of self-talk?

Your inner discourse is known as self-talk.

Personalizing. You own all of the guilt for yourself.

Magnifying.

Catastrophizing.

Polarizing.

What are the five tiers of one's own self-talk?

Helm Stetter outlines the "Five Levels of Self-Talk" (Negative Acceptance, Recognition and Need to Change, Decision to Change, The Better You, and Universal Affirmation) and offers advice on how to navigate each level for significant life changes.

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Uber’s expansion on the innovation front requires strategic planning by senior management. Once this planning has been completed, middle management would be responsible for implementing these plans through.

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Once this planning has been completed, middle management would be responsible for implementing these plans through (B) tactical planning.

What is tactical planning?Tactical planning is a method that aids in the creation of short-term and distinct plans that aid in the fulfillment of a business's, organization's, or individual's long-term plans. Strategic planning assists businesses in determining and laying out a long-term plan based on corporate objectives.There are several components to tactical planning. For example, breaking down organizational goals that are longer than two or three years, and establishing a goal-oriented calendar with short-term targets, such as a target for the next three months or six months.

Therefore, once this planning has been completed, middle management would be responsible for implementing these plans through (B) tactical planning.

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The complete question is given below:

Uber’s expansion on the innovation front requires strategic planning by senior management. Once this planning has been completed, middle management would be responsible for implementing these plans through

Multiple Choice:

(A) operational planning.

(B) tactical planning.

(C) operating.

(D) strategic control.

(E) action plans.

I need help on these two. 15 pts. Brainliest...

I need help on these two. 15 pts. Brainliest...
I need help on these two. 15 pts. Brainliest...

Answers

Readily available for personal use and growth

Assume capital markets are perfect. Kay Industries currently has $200 million invested in​ short-term Treasury securities paying 8 %, and it pays out the interest payments on these securities as a dividend. The board is considering selling the Treasury securities and paying out the proceeds as a​ one-time dividend payment. Assume investors pay a 15 % tax on dividends and capital​ gains, and a 40 % tax on interest​ income, while Kay pays a 40% corporate tax rate.

a. If the board went ahead with this​ plan, what would happen to the value of Kay stock upon the announcement of a change in​policy?

b. What would happen to the value of Kay stock on the​ex-dividend date of the​ one-time dividend?

c. Given these price​ reactions, will this decision benefit​investors?

Answers

a) The increase in Kay's equity value would be 0.15 x 200, or $30,000,000.

b) On the tax-dividend rate of the one-time dividend, the value of Kay stock would decline by $200,000,000.

c) Given these price movements, the decision will net investors $30 million in profit.

The tax advantage is the term used to describe the economic benefit that is given to some investments or accounts that are, by law, tax-free, tax-deferred, or tax-reduced. Retirement plans, college savings accounts, medical savings accounts, and government bonds are a few examples of tax-advantaged accounts and investments.

a) Calculation of Tax Advantage:

Tax Disadvantage = [1 - (1 - Corporate Tax Rate) * (1 - Dividend Tax Rate)] / [1 - Tax rate on Interest]

Tax Disadvantage = [1 - (1 - 0.40) * (1 - 0.15)] / [1 - 0.40}

Tax Disadvantage = [1 - (0.60 * 0.85)] / 0.6

Tax Disadvantage = (1 - 0.51) / 0.6 = 0.49 / 0.6 = 1 - 0.85 = 0.15

Therefore, Tax Disadvantage = 0.15.

Kay's equity value would rise by 0.15 * 200 = $30,000,000.

b) It would decrease by $200,000,000. Because tax rates on dividends and capital gains are equal, the effective dividend tax rate is 0.

c) Given these price reactions, this choice will result in a $30 million profit for investors.

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When formatting your resume, it is important to ____
a. Order the content logically
b. Make the overall design appealing
c. Ensure the grammar and spelling is flawless
d. All of the above

Answers

All of the above When formatting your resume, it is important to do all

Using Linear Systems. Jessie works at a sporting store that sells skates.A pair of figure skates cost $56 each and a pair of hockey skates $58.On Saturday he sold 32 pairs of skates.At the end of the day,he collected $1828 excluding taxes. Write a linear system to represent the information provided.Do not solve your equations.

Answers

The linear system representing the information is: Equation 1: x + y = 32

and equation 2: 56x + 58y = 1828

Let the number of pairs of figure skates sold be 'x' and the number of pairs of hockey skates sold be 'y'.

According to the given information:

The cost of a pair of figure skates is $56, so the total cost of 'x' pairs of figure skates would be 56x.

The cost of a pair of hockey skates is $58, so the total cost of 'y' pairs of hockey skates would be 58y.

The total number of pairs of skates sold on Saturday is 32, so x + y = 32.

The total amount collected, excluding taxes, is $1828, so 56x + 58y = 1828.

The linear system representing the information is:

Equation 1: x + y = 32

Equation 2: 56x + 58y = 1828

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Ryanair advertised the lowest rates in Europe with fares of $12 between Paris and Munich. However, when Bill arrived at the airport, he had to pay $28 in taxes, $25 for one small carry-on bag, $6 for a non-alcoholic beverage, and $2.50 to use the restroom on the plane. Between Ryanair and the customer there is a ______ gap.

Answers

Answer:

Explanation:

Communication gap

Explain how savers would respond if the interest rate on savings accounts increased. Would they increase or decrease their amount of savings? What about borrowers? Would they increase or decrease their amount of borrowing if the interest rate on loans increased? Explain why.

Answers

Answer:

1. Savers increase their savings as interest rate increases

2. Borrowers decrease their borrowing as interest rate on loans increases

Explanation:

1.

Interest rates are a great determinant of what those who save money get on their deposits. When interest rate increases, people tend to save more so as to earn more interest on their deposits. So it encourages savings. Therefore as interest rate increases savers would increase their amount of savings.

2.

For borrowers, more interest rate on loan amount discourages borrowing. More interest rate means that they would have to pay back more money on the loan amount they borrowed. This implies a rise in the cost of borrowing. So the borrower decreases the amount of borrowing if interest rate on loan increases.

Savers will increase their savings as interest rate increases. Borrowers will borrow less as interest rate increases.

What is interest rate?

Interest rate is an amount charged by a lender to a borrower for any form of debt given, generally expressed as a percentage of the principal.

Interest rate to savers

Higher interest rate encourages savings. When interest rate increases, people tend to save more so as to earn more interest on their deposits.

The above means that savers will increase their amount in savings if the interest rate on savings accounts increases.

Interest rate to borrowers

Higher interest rate discourages lenders from borrowing more. More interest rate means that they would have to pay back more money on the loan amount they borrowed.

It therefore means that borrowers will decrease the amounts of borrowing if the interest rate on loans increases.

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if a change in price barely effects demand, that means the demand is _______.

Answers

if a change in price barely affects demand, that means the demand is Inelastic

What is Inelastic demand?

Generally, The degree to which the amount required is affected by changes in the price of an item is referred to as its price elasticity of demand.

When the price of practically any product goes up, the amount of that good that people want to buy goes down, however, the degree to which it drops varies depending on the commodity.

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True/False: Accounting deals with the financial future of a business while finance deals with its past.

True
Or
False

Answers

Answer:

False

Explanation:

False - it is the opposite: accounting due to what has happened to a business and kept records of it. Finance is what allow a business to grow in the future.

i agree with the top, it is false

All else equal, which of the following is most likely to increase a company's retained earnings breakpoint? a. An increase in the company's dividend payout ratio b. both factors will lead to an increase in the retained earnings breakpoint. c. A decrease in the fraction of equity used in the company's target capital structure

Answers

Answer: decrease in the fraction of equity used in the company's target capital structure

Explanation:

Retained earnings is the part of the net income that is left over for the business when the business has already paid out dividends to the shareholders. The retained earnings can be put back into the business.

A decrease in the fraction of equity used in the company's target capital structure will lead to an increase a company's retained earnings breakpoint.

How can a business best increase traffic to its e-commerce site?

Answers

There are several ways that a business can increase traffic to its e-commerce site.

First, investing in search engine optimization (SEO) can help the site rank higher in search engine results pages, making it more visible to potential customers. This can include optimizing website content, meta tags, and building quality backlinks. Second, investing in paid advertising through platforms such as or social media advertising can also drive traffic to the site. By targeting specific demographics and keywords, businesses can reach their ideal audience and attract potential customers. Third, utilizing social media platforms and email marketing can also help drive traffic to the site. By regularly posting engaging content and promoting products through social media channels, businesses can attract potential customers and build brand awareness. Finally, offering promotions and discounts can also be an effective way to attract new customers and drive traffic to the site. This can include offering free shipping or a percentage off the first purchase to incentivize customers to shop on the site. Overall, a combination of these tactics can help a business best increase traffic to its e-commerce site.

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Ivan has inherited his grandmother’s 1963 Chevrolet Corvette (trust me this is a hot car to own – if you watched Lucifer on TV you know it), which he values at $45,000. He decides that he might be willing to sell it so he posts it on Craigslist for $55,000. Samantha is interested and willing to pay up to $72,000. Would Ivan and Samantha want to voluntarily engage in trade? How much economic surplus is created for both of them as a result of this exchange? Show your calculations. What is the total economic surplus? Explain how you arrived at this number.

Answers

This total economic surplus is arrived at by subtracting the value that Ivan put on the car before the trade, $45,000, from the highest value that Samantha is willing to pay for the car, $72,000.

Ivan and Samantha would want to voluntarily engage in trade because there is a gap between what Ivan is willing to accept for the car ($55,000) and what Samantha is willing to pay for it ($72,000).

The economic surplus created for Ivan as a result of this exchange is $72,000 (the amount Samantha is willing to pay) minus $45,000 (the value Ivan placed on the car before the exchange) = $27,000.

The economic surplus created for Samantha is $72,000 (the amount she is willing to pay) minus $55,000 (the amount Ivan is asking for the car) = $17,000.

The total economic surplus created as a result of this exchange is the sum of the individual surpluses: $27,000 (for Ivan) + $17,000 (for Samantha) = $44,000.

This difference of $27,000 is the economic surplus for Ivan, and the difference between the amount Samantha is willing to pay, $72,000, and the amount Ivan is asking for, $55,000, is the economic surplus for Samantha. The total economic surplus is the sum of the two individual surpluses.

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What are the similarities and differences in the purchasing
functions at a for profit versus a not for profit organization?

Answers

Explanation:

I hope this answer is helpful ):
What are the similarities and differences in the purchasingfunctions at a for profit versus a not for

if you had virtually unlimited financial resources at your disposal what would you begin doing with your life?

Answers

If I had virtually unlimited financial resources at my disposal, I would begin by investing in the stock market and real estate.

I would also use some of the money to start my own business or venture that aligns with my interests and skills. Also I would travel the world and experience different cultures, foods, and lifestyles. This experience would open your eyes to the world's diversity and inspire you to make a positive change in your community Finally, I would donate a portion of the money to charitable causes that help those in need.

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can i have one sentence on how you would describe your favorite icecream

Answers

Answer:

it is chocolatey and peanut buttery and tasty i like moose tracks.

Explanation:

Answer:

My favorite ice cream is minty, with chocolate chunks!

Explanation:

introduce national employment with its importance and examples​

Answers

Answer:

national employment. Employment created and provided by a national employer, business, company, enterprise, organization or national unity government in various areas of a country. National employment is a vital part of an economic system.

Explanation:

Employment created and provided by a national employer, business, company, enterprise, organization or national unity government in various areas of a country. National employment is a vital part of an economic system.

Hey, can I please get some help? Thank you!

Hey, can I please get some help? Thank you!

Answers

Lower interest rates make it cheaper to borrow. This tends to encourage spending and investment. This leads to higher aggregate demand (AD) and economic growth.

2.When interest rates are rising, both businesses and consumers will cut back on spending. This will cause earnings to fall and stock prices to drop. ... As interest rates move up, the cost of borrowing becomes more expensive. This means that demand for lower-yield bonds will drop, causing their price to drop.

which of the following is not one of the five major strategic options for entering the international marketplace

Answers

Joint ventures, licence agreements, direct exportation, online sales, and purchasing foreign assets are the five primary methods of entering overseas markets.

Four basic international strategies are available for multinational firms to choose from: (1) international (2) multi-domestic, (3) international, and (4) cross-border. These approaches differ based on two pressures: a focus on efficiency and low cost; and (5) meeting cultural and societal needs locally.

You can use the following four fundamental growth techniques to grow your company: market penetration, product development, market expansion, and diversification. Exporting, licencing, partnering, acquisition, and greenfield venture are the top five methods for breaking into foreign markets.

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Which company has the comparative advantage in producing large tubes of toothpaste? Sparkling Fresh! Bright White Mmmint.

Answers

"Bright White" Company has the comparative advantage in producing large tubes of toothpaste.

What is the term Comparative advantage about?

Comparative advantage determines the country's specialization by comparing opportunity cost whereas absolute advantage determines country's productivity.

Comparative advantage have some disadvantage also like it can exploit the nation's labor and some economic resources.

Therefore, correct option is B.

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fill in the missing numbers for the following income statement. (do not round intermediate calculations.) a. calculate the ocf. (do not round intermediate calculations.) b. what is the depreciation tax shield? (do not round intermediate calculations.)

Answers

The missing numbers for the income statement can be calculated as follows: a. Operating Cash Flow (OCF) = Net Income + Depreciation & Amortization - Change in Noncash Working Capital = $23,000 + $10,000 - $2,000 = $31,000; b. Depreciation Tax Shield = Depreciation & Amortization × Tax Rate = $10,000 × 0.40 = $4,000.

The Operating Cash Flow (OCF) is a measure of a company's total cash flow generated from the operations of its business. It is calculated by taking net income and adding back any noncash expenses such as depreciation and amortization, and subtracting any changes in noncash working capital. In this example, the net income is $23,000, the depreciation and amortization is $10,000, and the change in noncash working capital is -$2,000, resulting in an Operating Cash Flow of $31,000.

The Depreciation Tax Shield is a measure of the tax benefits generated from depreciating the company's capital investments. It is calculated by taking the amount of depreciation & amortization and multiplying it by the company's tax rate. In this example, the depreciation & amortization is $10,000, and the tax rate is 0.40, resulting in a Depreciation Tax Shield of $4,000.

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which market structure is defined by a single producer?

Answers

Answer:

Monopoly. A condition that has none of the requirements for a competitive market such as adequate competition, knowledge of prices and opportunities, mobility of resources, and competitive profits is called a(n)

Explanation:

Hope it helps

Outline how the marketing mix for Mars bars

may affect their level of impulse sales in a

small corner shop?

Answers

The 4 Ps are used and specified in the marketing mix to characterize a product's strategic positioning in the market.

E. Jerome McCarthy, who promoted the four-P classification he devised, was a notable figure to take center stage in 1960. "The marketing mix approach to marketing is a framework for developing and putting into practice market strategy.

Product, place, pricing, and promotion make up the main four components of the marketing mix. The four Ps are the names given to these variables. Numerous sources frequently compare the marketing mix to a recipe for creating a successful marketing strategy, where each ingredient is employed in a different way and at a different time depending on the good or service being marketed. To describe the components of the marketing mix, this study will draw on three sources.

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Comparative financial statements for Weller Corporation, a merchandising company, for the year ending December 31 appear below. The company did not issue any new common stock during the year. A total of 850,000 shares of common stock were outstanding. The interest rate on the bonds, which were sold at their face value, was 12%. The income tax rate was 40% and the dividend per share of common stock was $0.40 this year. The market value of the company’s common stock at the end of the year was $20.50. All of the company’s sales are on account.
Weller Corporation
Comparative Balance Sheet
(dollars in thousands)
This Year Last Year
Assets Current assets: Cash $ 1,810 $ 710 Accounts receivable, net 12,800 10,000 Inventory 9,950 8,400 Prepaid expenses 1,850 2,200 Total current assets 26,410 21,310 Property and equipment: Land 6,500 6,500 Buildings and equipment, net 19,700 19,500 Total property and equipment 26,200 26,000 Total assets $ 52,610 $ 47,310 Liabilities and Stockholders' Equity Current liabilities: Accounts payable $ 10,000 $ 8,550 Accrued liabilities 700 950 Notes payable, short term 350 350 Total current liabilities 11,050 9,850 Long-term liabilities: Bonds payable 5,000 5,000 Total liabilities 16,050 14,850 Stockholders' equity: Common stock 850 850 Additional paid-in capital 4,450 4,450 Total paid-in capital 5,300 5,300 Retained earnings 31,260 27,160 Total stockholders' equity 36,560 32,460 Total liabilities and stockholders' equity $ 52,610 $ 47,310 Weller Corporation
Comparative Income Statement and Reconciliation
(dollars in thousands)
This Year Last Year
Sales $ 84,000 $ 79,000 Cost of goods sold 54,500 50,500 Gross margin 29,500 28,500 Selling and administrative expenses: Selling expenses 9,000 8,500 Administrative expenses 12,500 11,500 Total selling and administrative expenses 21,500 20,000 Net operating income 8,000 8,500 Interest expense 600 600 Net income before taxes 7,400 7,900 Income taxes 2,960 3,160 Net income 4,440 4,740 Dividends to common stockholders 340 595 Net income added to retained earnings 4,100 4,145 Beginning retained earnings 27,160 23,015 Ending retained earnings $ 31,260 $ 27,160 Required:
Compute the following financial data for this year:
1. Earnings per share. (Round your answer to 2 decimal places.)
Earnings per share $3.4
2. Price-earnings ratio. (Round your intermediate calculations and final answer to 2 decimal places.)
Price-earnings ratio 76.87
3. Dividend payout ratio. (Round your intermediate calculations and final answer to 2 decimal places.)
Dividend payout ratio 45.00 %
4. Dividend yield ratio. (Round your intermediate calculations and final answer to 2 decimal places.)
Dividend yield ratio 54.80 %
5. Book value per share. (Round your answer to 2 decimal places.)
Book value per share $4.89

Answers

1. Earnings per share:

Earnings per share (EPS) is calculated by dividing the net income available to common stockholders by the weighted average number of common shares outstanding.

Net income: $4,440,000

Weighted average number of common shares outstanding: 850,000 shares

EPS = Net income / Weighted average number of common shares outstanding

EPS = $4,440,000 / 850,000 shares

EPS = $5.21 per share

Therefore, the earnings per share for this year is $5.21.

2. Price-earnings ratio:

The price-earnings (P/E) ratio is calculated by dividing the market price per share by the earnings per share.

Market value of common stock: $20.50 per share

EPS: $5.21 per share

P/E ratio = Market value per share / Earnings per share

P/E ratio = $20.50 / $5.21

P/E ratio = 3.94

Therefore, the price-earnings ratio for this year is 3.94.

3. Dividend payout ratio:

The dividend payout ratio measures the proportion of earnings paid out as dividends to common stockholders.

Dividends to common stockholders: $340,000

Net income: $4,440,000

Dividend payout ratio = Dividends to common stockholders / Net income

Dividend payout ratio = $340,000 / $4,440,000

Dividend payout ratio = 0.0766 or 7.66%

Therefore, the dividend payout ratio for this year is 7.66%.

4. Dividend yield ratio:

The dividend yield ratio is calculated by dividing the dividends per share by the market price per share.

Dividends per share: $0.40 per share

Market value of common stock: $20.50 per share

Dividend yield ratio = Dividends per share / Market value per share

Dividend yield ratio = $0.40 / $20.50

Dividend yield ratio = 0.0195 or 1.95%

Therefore, the dividend yield ratio for this year is 1.95%.

5. Book value per share:

The book value per share is calculated by dividing the total stockholders' equity by the number of common shares outstanding.

Total stockholders' equity: $36,560,000

Number of common shares outstanding: 850,000 shares

Book value per share = Total stockholders' equity / Number of common shares outstanding

Book value per share = $36,560,000 / 850,000 shares

Book value per share = $43.01 per share

Therefore, the book value per share for this year is $43.01.

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Indorsement consisting only of the indorser's signature is called
Blank indorsement
Special indorsement
Qualified indorsement

Answers

Answer:

Blank Endorsement

Explanation:

In a blank endorsement, the payee does not issue any instructions or restrictions regarding the check or financial instruments.  It means a bank will consider the bearer of a check as its owner.

Blank endorsing is done by signing at the back of a check or the financial instruments. No other details are given. Due to this, a blank endorsement is risky. Use of other restrictive endorsement methods is encouraged.

Briefly explain ONE of the parts of Henry Clay's proposed American System, a comprehensive plan to bring about economic improvement. Provide at least ONE piece of evidence to support your explanation.
¥ protective tariffs
¥ National Bank
¥ internal improvements
b) Briefly explain how ONE of the parts of Henry Clay's proposed American System would bring about economic improvement. Provide at least ONE piece of evidence to support your explanation .c) Identify and briefly explain the role played by ONE individual or group that was critical of one of the parts or the entire plan for an American System.

Answers

b) One part of Henry Clay's proposed American System was the implementation of protective tariffs. Clay believed that protective tariffs would help stimulate domestic manufacturing and protect American industries from foreign competition.

Imposing tariffs on imported goods, it would make foreign products more expensive and encourage consumers to buy domestically produced goods. One piece of evidence to support this is the Tariff of 1816, which was passed as a result of Clay's advocacy. The Tariff of 1816 was the first protective tariff in the United States, and it aimed to protect American manufacturers, particularly those in the textile industry, from competition with cheaper British imports. The tariff helped boost domestic production and encouraged the growth of American industries. c) One individual who was critical of Henry Clay's proposed American System was Andrew Jackson. Jackson, a political rival of Clay, argued against the establishment of a National Bank as part of the American System. He believed that the National Bank represented an undue concentration of power in the hands of the federal government and favored a more limited role for the central bank.

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The Italy can produce 20 Gas turbines and 60 Tyres. France can produce 80 Gas turbines and 30 Tyres.
a). What is the opportunity
cost of producing Gas turbines in Italy? ______ tyres.
b). What is the opportunity cost of producing Tyres in
France ? _______ Gas turbines.

Answers

Answer:

1. 60 Tyres

2. 80 Gas Turbines

Explanation:

Given that the Opportunity cost is an economics term that is used in describing the cost of an alternative that must be forgone to continue or proceed with a certain activity.

Hence, in this case, considering the available information in the question, the correct answer is that the opportunity cost of producing Gas turbines in Italy is 60 Tyres.

At the same time the opportunity cost of producing Tyres in France 80 Gas turbines.

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What is the cell cycle which explanation would the nurse provide for adinstiering prednisone to aclient with an exacerbation of coltis according to skinner, most operant conditioning applications involve: ANSWER ASAP I WILL GIVE BRAINIEST AND POINTS Whydon't we desalinate water from the ocean en masse to supply thedeserts Write the numbers in each circle that is described by the attribute written outside the circle. Numbers in the overlapping regions must meet the requirements of each circle. Justify why you placed the numbers in the overlapping regions. Miranda graphed (y + 1)2 > 6(x - 2).Which could Miranda use to justify that her graph is correct? Check all that apply.Because only the y quantity is squared, the curve is a parabola.The parabola opens right because 6 is in front of the x-quantity.There is a strict inequality so the boundary is included in the solution set.The shading is outside the parabola because (0,0) satisfies the inequality.The values subtracted from x and y in the equation are the coordinates of the vertex whichO O O O An interest rate swap with notional value of 50m has a remaining life of 9 months. The termsof the swap require the 6-month LIBOR to be exchanged for 6% per annum with semi-annualcompounding. The current swap rate being exchanged for LIBOR in swaps of all maturities is5% per annum with continuous compounding. Three months ago the 6-month LIBOR was5.5% per annum.(a) Explain, using a diagram, how the swap is constructed.(b) Calculate the value of the swap to the party paying the floating rate. Assume that the swaptakes place without involving a financial intermediary.(c) Explain the principal which underpins swap valuation. Cuanto cobrara un empleado tras recibir su sueldo un 25% si cobra 23,750 By which rule are these triangles congruent?A)AASB)ASAC)SASD)SSS What best describes Congress's appointment of Washington as commander-in-chief of the new Continental Army According to the textbook, restroom symbols and the British stamp illustrate the ways in which males and females are depicted a. similarity b. according to legal dedicatesc. in ways that show the man is superiord. so that women gain power Identify the scope that your company involves in design and manufacturing process. From the scope, describe the processes in a process flow change and elaborate the functions of each process steps. Use a flow chart if applicable.(Suggested word count: 500 words) Which of the following are 'natural polymers(bio-molecules)? Choose all that apply.nylonteflonsilkcelluloseproteinspolyethylene in a situation where it is impossible to include all possible input combinations for the module, what are the considerations when it comes to the test bench design to thoroughly and effectively test the verilog module? saint s, greene mt, krein sl, rogers ma, ratz d, fowler ke, edson bs, watson sr, meyer-lucas b, masuga m, faulkner k, gould cv, battles j, fakih mg. a program to prevent catheter-associated urinary tract infection in acute care. n engl j med. 2016 jun ;374(22):2111-9. doi: 10.1056/nejmoa1504906. pmid: 27248619. Is 4th root a function? Use the diagram to find the measures indicated. on the prior patient you determine nsaids are not an appropriate option. in considering how to treat this woman, what is the next question you should ask? Question 16 Which one of the following statements about flexible automation is best? X Investment cost is lower when a