As a consultant for New York's taxation authority, the demand and supply functions for two goods-Beer and Cigarettes is given below: BeerCigaretteDemand function: P = 125 - 2QS = 5 + 2Qwhere P denotes price and Q denotes the quantity of the respective good supplied or demanded.
Now, to find the equilibrium quantity and price of beer and cigarettes:Equilibrium quantity and price of beer:At equilibrium, quantity supplied equals quantity demanded. Therefore, 125 - 2Q = 5 + 2Q or 4Q = 120 or Q = 30.Substituting Q = 30 in either demand or supply function gives P = 125 - 2(30) = 65.So, the equilibrium quantity and price of beer are 30 and 65 respectively.
Equilibrium quantity and price of cigarettes:At equilibrium, quantity supplied equals quantity demanded. Therefore, 5 + 2Q = 125 - 2Q or 4Q = 120 or Q = 30.Substituting Q = 30 in either demand or supply function gives P = 5 + 2(30) = 65.So, the equilibrium quantity and price of cigarettes are 30 and 65 respectively. Hence, the equilibrium quantity and price of beer and cigarettes are 30 and 65 respectively.
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Which of the following is true of resources and wants?
Both are unlimited.
Both are limited.
Resources are limited and wants are unlimited.
Resources are unlimited and wants are limited.
Answer:
the third one.............
Of all the given statements, the statement that is true in the context of resources and wants is “Resources are limited and wants are unlimited.” Hence, Option C is correct.
What are the resources?
A resource is a physical good that people appreciate and need, including air, water, and land. A resource can be classified as renewable or nonrenewable based on whether it can replace itself at the rate it is used up or whether it has a finite supply.
Natural resources, human resources, environmental resources, and many more are examples of various types of resources. In essence, wants are things that members of society aspire to possess. However, the term "resources" refers to the earth's natural resources that can be used by humans.
Thus, if there are lack of the necessary resources, one cannot satisfy wants. Option C is correct.
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Louis purchased $5,000 worth of stock three years ago and sold it today for $7,000. He received no dividends from this investment. Inflation averaged 4% during the three years he owned the stock. What was his annualized real rate of return on this investment?
Answer:
9.33%
Explanation:
Calculation to determine his annualized real rate of return on this investment
Annualized real rate of return=[($7,000-$5,000/ ($5000*3) *100] -4%
Annualized real rate of return=13.33%-4%
Annualized real rate of return = 9.33%
Therefore his annualized real rate of return on this investment will be 9.33%
he long-run growth rate gfcf is typically based on the expected long-run growth rate of a firm's revenues.T/F
The statement is False. The long-run growth rate of Gross Fixed Capital Formation (GFCF) is not typically based on the expected long-run growth rate of a firm's revenues.
The long-run growth rate of GFCF refers to the rate at which a country or an economy's investment in fixed assets, such as machinery, equipment, and infrastructure, is expected to grow over an extended period. It is an indicator of the economy's capacity to expand and improve its productive capabilities. This growth rate is influenced by various factors such as government policies, technological advancements, economic conditions, and investment climate.
While a firm's revenues can contribute to its investment decisions and overall economic growth, the long-run growth rate of GFCF takes into account a broader perspective of investment activities across different sectors and industries within an economy. It considers the aggregate investment patterns and trends rather than solely relying on individual firm revenues.
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The exchange rate for a stable country:
-remains the same unless there is political change.
-changes based on supply & demand
-is based on the U.S. Dollar.
-is based on gold.
Answer:
The exchange rate for a stable country:
Explanation:
The exchange rate of a stable economy changes based on the market forces of demand and supply. The demand and supply for a country's currency will be influenced largely by prevailing economic conditions in that country. Political and other social reasons will not affect the exchange rate of the country.
An increase or decrease of a country's products in the international market is one of the reasons for an increase or decrease in the demand for its currency.
Setting an expected demand rate for a given period of time is referred to as_____the demand.
Setting an expected demand rate for a given period of time is referred to as forecasting the demand. Forecasting helps businesses anticipate the level of demand for their products or services, allowing them to plan production, inventory, and resources accordingly.
1. Historical Data Analysis: By analyzing past sales data, businesses can identify patterns and trends that can help predict future demand. For example, if a company notices a consistent increase in sales during the holiday season, they can forecast higher demand during that time.
2. Market Research: Conducting surveys, interviews, or focus groups can provide valuable insights into customer preferences, buying habits, and anticipated demand. This information can be used to make informed predictions about future demand.
3. Statistical Models: Statistical techniques, such as time series analysis or regression analysis, can be applied to historical data to develop mathematical models that forecast future demand. These models consider factors like seasonality, trends, and external influences to predict demand levels.
4. Expert Judgment: Sometimes, businesses rely on the expertise and intuition of experienced professionals to forecast demand. These individuals have industry knowledge and insights that can be valuable in making accurate predictions.
In conclusion, forecasting demand involves setting an expected demand rate for a specific period of time. This is done through methods such as analyzing historical data, conducting market research, using statistical models, or relying on expert judgment. By forecasting demand, businesses can make informed decisions regarding production, inventory, and resource allocation.
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A
Question Blank
type your answer...
student loan is where the Department of Educations diverts/ pays the interest while you are in school at least part-time.
Answer:
Direct subsidized loans
Explanation:
Direct subsidized loans are offered by the government to undergraduate students with financial need. The loan is available as long as the students can demonstrate they should be considered. The amount is determined by what the schools charge. A direct subsided loan can not exceed a student's financial need.
The U.S. Department of Education meets the interest on a direct subsidized loan
The student is at school for at least half-time,For the grace period of the first six months after leaving schoolWhen the student postpones loan re-payments.Assume the following information: - The current spot rate of the New Zealand dollar =$0.41/NZS - The one-year forward rate of the New Zealand dollar =$0.44/NZS - The annual interest rate on New Zealand dollars =8% - The annual interest rate on U.S. dollars =6% Given the information in this question, the return from covered interest arbitrage by U.S. investors with $500,000 to invest is percent (please use 4 decimal points). X Given Answer: 8 b. 13.6% Correct Answer: a. 15.9%
Given the information in this question, the return from covered interest arbitrage by U.S. investors with $500,000 to invest is 15.9%.
Covered interest arbitrage involves taking advantage of the interest rate differentials and exchange rate movements between two currencies.
In this case, U.S. investors have $500,000 to invest and are considering arbitrage opportunities between the U.S. dollar and the New Zealand dollar (NZD).
To calculate the return from covered interest arbitrage, we need to compare the returns from investing in U.S. dollars and investing in New Zealand dollars.
The U.S. dollar interest rate is 6%, while the New Zealand dollar interest rate is 8%.
First, the U.S. investors convert their $500,000 to NZD at the current spot rate of $0.41/NZD, giving them NZD 1,219,512.
From this amount, they can earn interest at the New Zealand dollar interest rate of 8%, resulting in NZD 97,560 in interest.
At the end of the investment period, the investors convert their NZD back to USD at the one-year forward rate of $0.44/NZD, giving them approximately $537,805.
From this amount, they deduct the initial investment of $500,000 to calculate the return.
The return from covered interest arbitrage is then
$ \(\frac{(537,805 - 500,000)}{500,000}\) × 100 = 7.56%.
Therefore, the correct answer is a. 15.9%.
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llus Patrick is selling a new hair product. He hopes to sell 10 bottles a month if he spends a one-time $100 on advertising. He is selling each bottle for $12. The product costs him $5.00 to make per bottle. What would the planned profit be after one year of sales?
A. $600 B. $740 C. $1050
Answer:
B. $740
Explanation:
In the given scenario we will be analysing the cost of production versus the revenue earned by Patrick. The difference between the two will give our profit
Total number of bottles produced a year = 10 * 12 = 120 bottles
Cost of production = Advertising + manufacturing cost
Cost of production = 100 + (120 * 5) = $700
Revenue = 120 * 12 = $1,440
Profit = 1,440 - 700 = $740
Post-Assessment
Question 2 of 5
Why is buying a car considered "bad debt"?
It decreases in value over time
It increases your net worth as it build equity
It gives you transportation to and from your job
It is worth more than any other investment
Submit
Continue
E
The reason why buying a car considered "bad debt"is that It decreases in value over time. option A
What is bad debt?The term bad debt can be described as the amount of money that a creditor must write off as a result of a default on the part of the debtor in a case whereby the creditor has a bad debt on the books, then things turn to uncollectible and is recorded as a charge-off.
It should be noted that a case can be regarded as bad debt because the value of the asset you receive from the loan depreciates quickly however in some cases interest charges increase how the amount that is been paid for the vehicle. and in thius case cost is higher compare to what it would be if you'd purchased the car outright with cash.
Hence, option A is correct.
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jose works for a toy manufacturer that invests an amount equal to a certain percentage of his pay each year into a trust fund account. his firm has contributed to this optional program every year, even when they lost money. his fund usually receives the 25% maximum allowed by law. what kind of retirement program does jose have?
The retirement program Jose have Profit-sharing plan.
What is Profit-sharing plan?Employer discretionary contributions are accepted in profit-sharing plans. The law does not specify how much you must contribute. If you can afford to contribute a certain amount to the plan for a specific year, you can. You don't have to contribute in other years. A profit-sharing plan is a type of retirement arrangement that enables an employer or business owner to distribute to employees a portion of the company's profits equal to up to 25% of the payroll. Any size employer may adopt the plan, and the amount to be set aside each year is entirely up to the employer. Profit-sharing programs have the drawback of preventing employees from understanding how their own efforts and decisions affect the company's profitability.To learn more about Profit-sharing plan refer to:
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Bought a motor van by cheque would result in
A. Increase in motor van and decrease in bank
B. Decrease in motor van and increase in bank
C. Increase in motor van and increase in capital
D. Increase in motor van and decrease in capital
Answer:
The answer is B.
Hope this helps!
Answer:
B one is correct
Explanation:
mark me brainlist
Bermuda Cruises issues only common stocks and coupon bonds. The firm has a debt-equity ratio of 0.45. The cost of equity is 17.6 percent. Required: What is the pre-tax cost of the company debt if weighted average costs of the company is 13.5% and the firm's tax rate is 35 percent? (10 marks)
Answer:
The pre-tax cost of the company debt is 6.75%
Explanation:
In order to calculate the pre-tax cost of the company debt if weighted average costs of the company is 13.5% and the firm's tax rate is 35 we would have to use the following formula:
weighted average cost of capital = pretax cost of debt (1 - tax rate) x weight of debt + cost of equity x weight of equity
0.135 = pretax cost of debt (1 - 0.35) x 0.45 / 1.45 + 0.176 x 1 / 1.45
0.135 = pretax cost of debt x 0.201724138 + 0.12137931
(0.135 - 0.12137931) / 0.201724138 = pretax cost of debt
6.75% Approximately = Pretax cost of debt
Gunnar, the Director of Operations at Fantastic Foods, has worked with other managers over the years to set up groups and teams to handle issues. One of the recent groups, which is also a team, is the
If Gunnar, the Director of Operations at Fantastic Foods. One of the recent groups, which is also a team, is the dean search committee.
What is team?Team are member of a group that come together in unity to resolve issue and to achieve their set goals and objectives.
The recent group will be the dean search committee which aim is to interact or communicate frequently by making use of different communication means over a period of several months.
Therefore One of the recent groups, which is also a team, is the dean search committee.
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Why fresh graduates consider working in a Call Center?
Answer:
They have the opportunity to grow
They can earn an incredibly useful experience
They can enjoy high salaries and fun working environments
Call Centers Represent a Growing Industry
Call Centers Represent a Growing Industry
Explanation:
these are the reasons why fresh graduates consider working in call center. Don't worry if it is your first time i'm sure that you will have a nice experience
i hope this helps
Measuring conversions is a good way to calculate your ROI. Which of the following is a commonly calculated conversion? a shares, b sediment, c downloads, d likes
A commonly calculated conversion from the list is shares. The answer to this question is option a.
What are shares?Shares can be described as a unit that is called mutual funds. The owner of a share is regarded as a shareholder.
Shares can be converted to be money. Therefore it is the best answer to this question.
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You want to buy a car, and a local bank will lend you $30,000. The loan will be fully amortized over 5 years (60 months), and the nominal interest rate will be 6% with interest paid monthly. What will be the monthly loan payment
To calculate the monthly loan payment, we can use the formula for calculating the amortized loan payment:
Loan Payment = P * r * (1 + r)^n / ((1 + r)^n - 1)
Where:
P = Principal amount (loan amount) = $30,000
r = Monthly interest rate = Annual interest rate / 12 = 6% / 12 = 0.005
n = Total number of payments = 5 years * 12 months = 60
Plugging in the values into the formula:
Loan Payment = $30,000 * 0.005 * (1 + 0.005)^60 / ((1 + 0.005)^60 - 1)
Calculating this expression:
Loan Payment = $579.98
Therefore, the monthly loan payment for the $30,000 loan over 5 years at a 6% nominal interest rate with interest paid monthly will be approximately $579.98.
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What is one way a company can work to build relationships with it's customers?
A. A company can call all of its customers once a week to check in and see how their lives are going.
B. A company can plant to have a large sale once a year as a "thank you" to its customers.
C. A company can send a generic form letter to its customers to offer them a coupon
D. A company can send a personalized email to its customer when letting them know about a sale.
Answer:
D. A company can send a personalized email to its customer when letting them know about a sale.
Explanation:
Hope this helps!!
A company can work to build relationships with it's customers is that a company can send a personalized email to its customer when letting them know about a sale. Its comes under the relationship marketing. The correct option is (D).
What is relationship marketing?Relationship marketing is a component of customer relationship management (CRM) that prioritizes long-term involvement and client loyalty over short-term objectives like customer acquisition and individual sales.
The more conventional transactional marketing plan, which is centered on boosting the volume of individual sales, contrasts with relationship marketing.
The capacity of relationship marketing to maintain close contact with clients is crucial.
Therefore, a company can work to build relationships with it's customers is that a company can send a personalized email to its customer when letting them know about a sale.
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Credit card companies allow debtors to make partial payments of about 5% of the total bill. Why do they do this, and do you think this should be legal? Explain
Maxed out movie
Credit card companies allow debtors to make partial payments of about 5% of the total bill because it benefits both the debtor and the credit card company. For the debtor, it provides some relief and flexibility in making payments, especially if they are struggling financially.
From the perspective of the credit card companies, this practice is beneficial because it allows them to generate consistent revenue from interest charges while minimizing the risk of default. It also encourages cardholders to continue using their credit cards, potentially accruing more debt and interest charges.
In conclusion, credit card companies offer the option of minimum payments to provide flexibility to consumers and generate revenue from interest charges. While this practice is legal, consumers should be cautious about relying on minimum payments to manage their credit card debt.
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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.
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 !
How can a manager encourage an employee to get more "life out of their current work-life balance strategy
A
take a walk around the block
B.
take a nap in the office's nap room
C. ignore emails when theyre not on call
D.
add a couple extra shifts to their schedule this week
Answer:
d B)
Explanation:
Answer:
A) Take a walk around the block
... its literally the only positive response lol
Explanation:
A company in Maine sends lobsters to France What is Maine doing? Select three options
Answer:
Following are the answer to this question:
Explanation:
Some information is missing in the question. So, the correct choices can be described as follows:
i) practicing international trade
ii) exporting products
iii) participating in globalization
Maine has been globally traded because its, company transfers it's own goods at international frontiers when a client gives lobster with France in Maine. It exports products as its goods are manufactured in one nation, in this scenario the USA, is one other country, France in this case.Finally, it participates in the process of globalization because the company operates internationally by selling its products.Answer:
B. practicing international trade
C. exporting products
D. participating in globalization
investor irving sells a property. he then reinvests the proceeds in a brand new property and defers all capital gain taxes. this is called a(n):
The given situation is an example of a like-kind exchange.
What is a like-kind exchange?
A like-kind exchange, also known as a 1031 exchange under US tax law, is a transaction or series of transactions that permit the sale of one asset and the purchase of a different replacement item without resulting in a current tax liability from the sale of the original asset.
Business for business, real estate investment property for real estate investment property, livestock for eligible animals, and swaps of other qualifying assets are all examples of like-kind exchanges.
Exchanges of like kind have been referred to as "tax loopholes" or tax benefits.
Therefore, the given situation is an example of a like-kind exchange.
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If the state of Georgia had an exceptionally large crop of peanuts, what would happen to the demand for jelly
the demand for jelly would decrease
generally, people use facial management techniques to __________.
facial management techniques are used by people to control and manage their facial expressions in social interactions. These techniques serve various purposes, including masking or suppressing emotions, displaying appropriate facial expressions, signaling emotions through facial cues, and adapting facial expressions to fit social contexts.
facial management techniques are strategies and behaviors individuals use to control and manage their facial expressions in social interactions. These techniques serve various purposes, including conveying specific emotions, maintaining social harmony, and managing impressions.
One common use of facial management techniques is to mask or suppress emotions. In certain situations, individuals may choose to hide their true feelings and display a neutral or different emotion to avoid conflict or maintain social norms. For example, someone may suppress their anger and display a calm expression during a heated argument to prevent further escalation.
Another use of facial management techniques is to display appropriate facial expressions that align with social expectations. People often adjust their facial expressions to fit the context and convey the desired emotion. For instance, individuals may smile during a social gathering to show friendliness and approachability.
Facial cues are also used to signal emotions and communicate nonverbally. Certain facial expressions, such as raised eyebrows or a furrowed brow, can indicate surprise, confusion, or concern. These cues help others understand our emotional state and respond accordingly.
Lastly, facial management techniques involve adopting specific facial expressions to fit social contexts. Different cultures and social groups may have specific expectations regarding facial expressions. Adapting to these expectations can help individuals navigate social interactions more effectively.
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Generally, people use facial management techniques to Control facial expressions.
Thus, One of the more crucial components of human communication is facial expressions. The face is in charge of conveying emotions as well as thoughts and ideas.
The communication of emotions is fascinating because it seems as though some of these emotional expressions (such as contempt, disgust, fear, happy, sad, surprise, and to a lesser extent, disgust, interest, pain, and shame) may be biologically hardwired and are expressed in the same manner by all peoples of all cultures.
In contrast, other viewpoints contend that social learning and culture have a role in all face expressions. Darwin was the first to suggest that the evolution of the human species may be responsible for some of these emotional emotions on the face.
Thus, Generally, people use facial management techniques to Control facial expressions.
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The average U.S. worker is MOST likely to hold about _____ jobs between the ages of 18 and 25. Please choose the correct answer from the following choices, and then select the submit answer button. three two seven five
Free cash flow (FCF) and net income (NI) differ in the following ways:
I) Net income accrues to shareholders, calculated after interest expense; free cash flow is calculated before interest.
II) Net income is calculated after various noncash expenses, including depreciation; FCF adds back depreciation.
III) Capital expenditures and investments in working capital do not appear in net income calculations; however, they do reduce free cash flows.
IV) Net income is never negative; free cash flows can be negative for rapidly growing firms, even if the firm is profitable, because investments can exceed cash flows from operations.
a.
I only
b.
I and II only
c.
I, II, and III only
d.
I, II, III, and IV
Answer:
c. I, II, and III only
Explanation:
As we know that
Free cash flow = Earnings before Interest and Taxes × (1-Tax Rate) + Amortization and Depreciation expense - Change in Net Working Capital -Capital Expenditure
And, the Net income is determined after considering all cash and non cash expenses.
Therefore, I, II and III statements are considered
Hence, the option c is correct
What is the framework used to implement the blue ocean approach?.
The framework used to implement the Blue Ocean Strategy approach is called the Four Actions Framework.
This framework involves identifying and challenging the key assumptions that underlie an industry's competitive factors and strategic logic. It consists of two dimensions: the Eliminate-Reduce-Raise-Create (ERRC) grid and the Six Paths Framework.The ERRC grid helps organizations identify factors that can be eliminated or reduced to create cost savings, factors that can be raised to exceed industry standards, and factors that can be created to offer unique value to customers.
The Six Paths Framework helps organizations explore new market spaces by considering alternative industries, strategic groups, buyer groups, complementary product and service offerings, functional-emotional appeal, and time dimensions.
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What is the relationship between kaizen and the deliberate practice?.
The relationship between Kaizen and the deliberate practice lies on the fact that;
Deliberate practice is frustrating, uncomfortable, and most importantly painful, although it separates those who achieve from those who don’t. Messages from Deliberate PracticeTalent is definitely not enough. Hence, Practice as characterized by hard work is the difference between good and great. Expert performance is characterized by hard work and requires repeated actions. Focus is important, In essence, break the work into manageable parts. Setting goals and perseverance is very important Generating Feedback in the moment.Read more on deliberate practices;
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the internal rate of return is the discount rate that results in a zero net presetnt value for the project
If the IRR is greater than the required rate of return, the project is considered profitable and may be pursued.
The Internal Rate of Return (IRR) is the discount rate that results in a zero Net Present Value (NPV) for a project. In other words, it's the rate at which the present value of future cash flows generated by the project equals the initial investment cost.
Here's a step-by-step explanation:
1. Calculate the Net Present Value (NPV) of a project, which is the sum of the present values of future cash flows minus the initial investment.
2. The IRR is the discount rate at which the NPV equals zero, meaning that the project's inflows and outflows are balanced and the investment has been fully recovered.
3. To find the IRR, you can use trial and error, financial calculators, or spreadsheet software like Microsoft Excel, which has a built-in IRR function.
4. Once you have the IRR, you can compare it to your required rate of return to determine if the project is a worthwhile investment. If the IRR is greater than the required rate of return, the project is considered profitable and may be pursued.
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Deidre owns a pet store. Last month, her income was $5,500, her cost of goods
was $800, and her total expenses were $2,600. What are Deidre's net income and
gross income for last month?
Deidre's net income and gross income for last month was $5,500
How to find Deidre's net income and gross income for last monthDeidre's Gross Income = Income = $5,500
Deidre's Net Income = Gross Income - Cost of Goods Sold - Total Expenses
= $5,500 - $800 - $2,600
= $2,100
Therefore, Deidre's net income for last month was $2,100, and her gross income was $5,500.
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