The pituitary gland produces a variety of hormones, including growth hormone, which promotes the development of bones and other body structures and helps the body absorb nutrients and minerals.
What is Hormones?Your body uses hormones as chemical messengers. They move to tissues or organs through your bloodstream. They affect numerous processes, including growth and development, and work gradually over time. How your body converts food into energy is through metabolism.
Hormones are substances that communicate with your organs, skin, muscles, and other tissues through your blood to coordinate various bodily functions.
Main Hormones
Adrenocorticotrophic hormone (ACTH)
Thyroid-stimulating hormone (TSH)
Luteinizing hormone (LH)
Follicle-stimulating hormone (FSH)
Prolactin (PRL)
Growth hormone (GH)
Melanocyte-stimulating hormone (MSH)
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A product's target market can influence where it is placed on the shelf.
True
False
Answer:
I'm pretty sure false! Hopefully this helps
In which situation would a savings account be the best investment to earn interest?
Osaving for retirement in 20 years
O saving to buy a new car in three years
O saving to buy a new house in seven years
O saving to easily access the money when needed
Answer:
Explanation:
A savings account would be the best investment to earn interest if you are saving to easily access the money when needed.Savings accounts are designed to offer a safe place to store your money and earn interest on your balance. They typically offer easy access to your funds, with no penalty for making withdrawals. However, savings accounts usually have lower interest rates compared to other investment options, such as stocks or bonds.For long-term savings goals such as retirement or buying a house, other investment options such as stocks or mutual funds may offer higher returns over the long run. However, these options come with higher risks and are typically not as easily accessible as a savings account.For short-term savings goals such as buying a car in three years, a savings account can also be a good choice since you'll want to have the money available when you need it, and you don't want to risk losing it in the stock market.Overall, a savings account is a good option for saving money that you may need to access in the near future, and it offers a lower risk and more stable return compared to other investment options.
A savings account is the best investment to earn interest is saving to easily access the money when needed. Thus the correct option is D.
What is the interest rate?Interest rate refers to the amount charged by the bank when lending any money to the borrower. The borrower has to repay the loan amount based on this interest rate along with the principal amount.
Savings money is typically deposited into interest-bearing accounts where the risk of losing your initial investment is low. You can store money in savings accounts while getting a meager interest return.
The optimal investment choice for you will depend on your personal financial objectives and risk tolerance. It could be a good idea to speak with a financial counselor if you are unclear about the investment option to select.
Therefore, option D is appropriate.
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1.
In 2016, a market had sales of £350.000. In 2017, the market grew by 5%.
Calculate the new market size in sales value.
Answer:
The new market size in sales value is 367,500
Explanation:
Answer:
£367,500
Explanation:
the market was £350,000 in 2016.
in 2017, the market grew by 5%.
the new market size will 5% more than 2016.
if 2016 was 100%, 2017 will be 105%
2017 = 105% x £350,000
=105/100 x £350,000
=1.05 x £350,000
=£367,500
Fred Ethridge is a valued employee of a large Canadian company. He is in the process of negotiating a new compensation package for the coming year. As he is looking to purchase a new residence, one of the alternatives that is being considered is an interest free loan that would be used to purchase this property. Fred needs $350,000 to comfortably finance this purchase. As he has an excellent credit rating, the Royal Bank is prepared to extend the $350,000 on a 5 year, closed mortgage at a rate of 4.75 percent. The company has indicated that they will extend a $350.000, 5 year, interest free loan in lieu of a raise. The Company's accounting department will calculate the after tax cost of providing the loan and his employer will offer Fred the alternative of additional salary that has the same after tax cost to the Company. The Company is subject to tax at a combined federal/provincial rate of 29 percent. When funds are available, the Company has alternative investment opportunities that earn a pre-tax rate of 10 percent. Because of Fred's current high salary, any additional compensation will be taxed at a combined federal/provincial rate of 49 percent. Assume that the prescribed rate for the current year is 2 percent. Required: A. Determine the tax consequences to Fred and the cost to the Company, in terms of lost after-tax earnings, of providing Fred with a $350,000 interest free loan for the first year of the loan. B. Determine the amount of additional salary that could be provided to Fred for the same after tax cost to the Company that you calculated in Part A. C. Which alternative would you recommend that Fred accept? Explain your conclusion.
Fred Ethridge is a valued employee of a large Canadian company. a. The tax consequences to Fred and the cost to the Company is $24,850, b. The amount of additional salary for the same after-tax cost to the Company is $9,571.37, and c. Fred should consider accepting the interest-free loan provided by the company.
To determine the tax consequences to Fred and the cost to the Company, let's calculate the figures for each part of the question:
A. Tax consequences to Fred and cost to the Company of providing the interest-free loan for the first year:
Interest Cost:
The interest cost on the loan can be calculated as follows:
Interest Cost = Principal Amount * Interest Rate
Interest Cost = $350,000 * 4.75% = $16,625
Tax Consequences to Fred:
As the loan is interest-free, Fred will not have any taxable interest income.
Cost to the Company:
The cost to the Company is equal to the lost after-tax earnings from investing the funds elsewhere. Since the alternative investment opportunities earn a pre-tax rate of 10% and the combined federal/provincial tax rate is 29%, the after-tax rate of return is:
After-Tax Rate of Return = Pre-tax Rate of Return * (1 - Tax Rate)
After-Tax Rate of Return = 10% * (1 - 29%) = 7.1%
Cost to the Company = Principal Amount * After-Tax Rate of Return
Cost to the Company = $350,000 * 7.1% = $24,850
B. Amount of additional salary for the same after-tax cost to the Company:
To calculate the additional salary that could be provided to Fred, we need to determine the after-tax cost to the Company, taking into account the higher tax rate for additional compensation.
After-Tax Cost to the Company:
The after-tax cost to the Company is calculated using the after-tax rate of return and the tax rate for additional compensation:
After-Tax Cost to the Company = Principal Amount * After-Tax Rate of Return / (1 - Tax Rate)
After-Tax Cost to the Company = $350,000 * 7.1% / (1 - 49%)
After-Tax Cost to the Company = $350,000 * 7.1% / 51%
After-Tax Cost to the Company = $4,886.27
Amount of Additional Salary:
To determine the additional salary, we divide the after-tax cost to the Company by the after-tax rate of return for additional compensation:
Additional Salary = After-Tax Cost to the Company / After-Tax Rate of Return
Additional Salary = $4,886.27 / (1 - 49%)
Additional Salary = $9,571.37
C. Recommendation for Fred:
Based on the calculations, Fred should consider accepting the interest-free loan provided by the company. The cost to the Company of providing the loan is lower compared to offering an additional salary. Additionally, Fred will not have any taxable interest income from the interest-free loan.
However, it is important for Fred to consult with a financial advisor or tax professional to assess the specific implications of the loan and consider his overall financial situation and long-term goals before making a final decision.
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Someone help me in my homework please?
Answer:
im sorryi wish i was good at math
Explanation:
im failing math btw
1st - Hashim Khan, the owner, invested $57,500 cash and 32,500 of photography equipment in the
business.
4th - Paid $3,000 cash for an insurance policy covering the next 24 months.
7th - Services are performed and clients are billed for $10,000.
13th - Purchased office supplies for $1,400. Cash paid $400 and remaining outstanding.
20th - Received $2,000 cash in photography fees earned previously.
24th - A client immediately pays $15,000 for services to be performed at a later date (unearned service
revenue).
29th - In addition, the business acquires photography equipment. The purchase price is $100,000, pays
Explanation:
1st - Hashim Khan, the owner, invested $57,500 cash and 32,500 of photography equipment in the
business.
4th - Paid $3,000 cash for an insurance policy covering the next 24 months.
7th - Services are performed and clients are billed for $10,000.
13th - Purchased office supplies for $1,400. Cash paid $400 and remaining outstanding.
20th - Received $2,000 cash in photography fees earned previously.
24th - A client immediately pays $15,000 for services to be performed at a later date (unearned service
revenue).
29th - In addition, the business acquires photography equipment. The purchase price is $100,000, pays
An economy produces agricultural goods and capital goods. If the changing global economic landscape means that the economy now experiences a comparative advantage in the production of agricultural goods and so the economy reallocates its resources toward agricultural goods, it would
a.
expand the production possibilities frontier.
b.
contract the production possibilities frontier.
c.
move the economy along the production possibilities frontier.
d.
move the economy outside the production possibilities frontier
Therefore, the correct answer is: a. Expand the production possibilities frontier.
When an economy experiences a comparative advantage in the production of a particular good, it means that it can produce that good at a lower opportunity cost compared to other goods. In this case, if the changing global economic landscape leads to the economy having a comparative advantage in agricultural goods, the economy would reallocate its resources towards the production of agricultural goods. This reallocation of resources would have an impact on the production possibilities frontier (PPF), which represents the maximum combination of goods an economy can produce given its resources and technology.
In this scenario, the reallocation towards agricultural goods would expand the production possibilities frontier. This means that the economy would be able to produce more agricultural goods without sacrificing the production of capital goods. The expansion of the PPF signifies an increase in the economy's overall output and efficiency.
To illustrate this, let's consider a hypothetical example. Suppose an economy initially produces an equal amount of agricultural and capital goods. Due to its comparative advantage in agricultural goods, the economy decides to allocate more resources towards agricultural production. As a result, it is able to increase its output of agricultural goods while still maintaining the production of capital goods. This expansion of production possibilities demonstrates the economy's ability to produce more goods and achieve higher levels of economic growth.
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Who is ultimately responsible for product accountability at the study site?.
The person that is ultimately responsible for product accountability at the study site is: investigator/institution.
Who is an investigator?An investigator can be defined as the person that is charge of investigational product as the person help to investigate investigational products by ensuring that drug accountability is put in place.
Examples of investigational product are:
VaccineDrugClinical trial palliative etcTherefore The person that is ultimately responsible for product accountability at the study site is: investigator/institution.
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When given a choice between selling a national brand of makeup and a private- label store brand, a specialty store retailer may choose to encourage the sale of a private-label brand: for all of the above reasons to increase its merchandising flexibility to increase the potential for realizing higher margins at lower retail prices to increase customer loyalty and patronage to create differential assortment advantages by offering brands unique to the retailer
The retailer is expanding its merchandising flexibility by promoting and selling a private-label brand rather than a national brand. Option A is correct.
This allows the retailer to create distinctive advantages in the assortment. This additionally expands the capability of higher edges at lower retail costs and accordingly client devotion and support likewise increments.
A branding arrangement known as a private label involves one company manufacturing a product and another company branding, marketing, and selling that product. The product is designed, marketed, and priced by the private label seller, but the manufacturer actually produces it and oversees quality control.
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Complete question as follows:
When given a choice between selling a national brand of makeup and a private- label store brand, a specialty store retailer may choose to encourage the sale of a private-label brand:
A. for all of the above reasons
B. to increase its merchandising flexibility
C. to increase the potential for realizing higher margins at lower retail prices
D. to increase customer loyalty and patronage
E. to create differential assortment advantages by offering brands unique to the retailer
The amount businesses have left after paying their rent, interest on debt, and employee costs is called profits.
True
False
Answer:
Answer above mine is incorrect, real answer is TRUE
Explanation:
Create a WBS of your own choosing (Deliverable Based/ Phase
Based)
based on coming to Canada and applying to Pures College
To create a Work Breakdown Structure (WBS), you will need to understand what a WBS is and how it works, and the terms Deliverable Based and Phase Based.
The WBS is an acronym for Work Breakdown Structure. It is a hierarchical, deliverable-oriented approach to project management that can help in planning and organizing your work.A Work Breakdown Structure (WBS) is a way of dividing a project into manageable parts. It is composed of a series of deliverables that represent the work required to complete the project. The WBS divides the project into smaller, more manageable parts, making it easier to plan, schedule, and control.What is Deliverable Based?A deliverable-based work breakdown structure (WBS) is a hierarchical decomposition of the project into progressively smaller, more manageable pieces of work that can be completed and tracked to create specific deliverables.What is Phase Based?A phase-based work breakdown structure (WBS) divides a project into phases or stages that are linked in a logical sequence to accomplish the project's objectives.The Steps to create a WBS:
Step 1: Define the Project
Step 2: Breakdown the Project into Phases or Deliverables.
Step 3: Create a Hierarchical Structure.
Step 4: Determine the Level of Detail.
Step 5: Review and Refine.
Step 6: Define the Work Package.
Step 7: Update the WBS as Needed.
To create a WBS of your own choosing based on coming to Canada and applying to Pures College, you can use the following example:
Step 1: Define the ProjectComing to Canada and Applying to Pures CollegeStep 2: Breakdown the Project into Phases or Deliverables.
• Phase 1: Pre-arrival- Determine reason for coming to Canada- Apply to Pures College- Obtain study permit- Obtain visa- Arrange accommodation
• Phase 2: Arrival- Arrange transportation- Find temporary accommodation- Attend orientation- Apply for SIN number- Open a bank account- Apply for health insurance- Attend language classes (if needed)- Find permanent accommodation- Register for classes at Pures College
• Phase 3: Post-arrival- Attend classes- Study for exams- Obtain work permit- Find a part-time job- Apply for internships- Apply for a co-op job- Graduate
Step 3: Create a Hierarchical Structure.• Phase 1• Phase 2• Phase 3Step 4: Determine the Level of Detail.
• Phase 1- Determine reason for coming to Canada- Apply to Pures College- Obtain study permit- Obtain visa- Arrange accommodation
• Phase 2- Arrange transportation- Find temporary accommodation- Attend orientation- Apply for SIN number- Open a bank account- Apply for health insurance- Attend language classes (if needed)- Find permanent accommodation- Register for classes at Pures College
• Phase 3- Attend classes- Study for exams- Obtain work permit- Find a part-time job- Apply for internships- Apply for a co-op job- Graduate
Step 5: Review and Refine• Adjust phases as necessary
Step 6: Define the Work Package
• Work Package 1: Determine reason for coming to Canada
• Work Package 2: Apply to Pures College• Work Package 3: Obtain study permit
• Work Package 4: Obtain visa
• Work Package 5: Arrange accommodation
• Work Package 6: Arrange transportation
• Work Package 7: Find temporary accommodation
• Work Package 8: Attend orientation
• Work Package 9: Apply for SIN number
• Work Package 10: Open a bank account
• Work Package 11: Apply for health insurance
• Work Package 12: Attend language classes (if needed)
• Work Package 13: Find permanent accommodation
• Work Package 14: Register for classes at Pures College
• Work Package 15: Attend classes
• Work Package 16: Study for exams
• Work Package 17: Obtain work permit
• Work Package 18: Find a part-time job
• Work Package 19: Apply for internships
• Work Package 20: Apply for a co-op job
• Work Package 21: GraduateStep 7: Update the WBS as Needed
• Make updates to the WBS as necessary to account for changes to the project
A Work Breakdown Structure (WBS) is a method used to break down a complex project into smaller and more manageable pieces. A WBS can be created in two ways: deliverable-based and phase-based. In this case, we will be creating a WBS for the process of coming to Canada and applying to Pures College, using the deliverable-based approach. Here is an example of a WBS:
1. Pre-arrival preparations
1.1. Obtain a study permit
1.2. Obtain a visa (if required)
1.3. Research Pures College and its programs
1.4. Apply for admission to Pures College
1.5. Arrange for accommodation
1.6. Book flights
2. Arrival in Canada
2.1. Clear customs and immigration
2.2. Travel to accommodation
2.3. Settle in
3. Orientation and preparation for studies
3.1. Attend orientation at Pures College
3.2. Register for classes
3.3. Obtain necessary textbooks and materials
3.4. Purchase a transit pass or other transportation options
3.5. Learn about campus resources and services
4. Academic studies
4.1. Attend classes
4.2. Complete assignments
4.3. Participate in group work
4.4. Prepare for exams
5. Graduation and post-graduation
5.1. Complete program requirements
5.2. Apply for a post-graduation work permit (if applicable)
5.3. Consider further studies at Pures College or other institutions
5.4. Prepare to return to home country (if applicable)
This WBS includes all the major deliverables involved in the process of coming to Canada and applying to Pures College, from pre-arrival preparations to graduation and post-graduation activities.
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How can the various templates that are available for new Word documents be accessed?
opening up an instance of Word
pressing CTRL+N with Word open
clicking File to enter Backstage View
all of the above
Answer: All of the above
Explanation:
When you open up Word newly, the available templates will be listed for you to choose one of your preference and if those are not enough, one can still get more online.
Pressing CTRL+N with Word open will also enable you to have access to the various templates. Finally, clicking File will enable you to enter Backstage View where you can then click on New to see the various templates.
Answer:
the answer is d) all of the aboveExplanation:
Which formula is NOT correct?
A) COGS=COGAS-EI
B) BI=COGS+EI-P-FI
C) EI=BI+P+FI-COGS
D) COGAS=BI+P+FI
Answer:
Explanation:
The answer is d the correct formula is COGS=BI+P+FI
______ angels are individuals who have already started and successfully operated their own businesses.
2. Show that the sum of Marginal Propensity To Consume (MPC) and Marginal Propensity To Save (MPS) is equal to 1, and that Average Propensity To Consume (APC) and Average Propensity To Save (APS) is equal to 1.
The sum of average propensity to consume and marginal propensity to consume is never equal to one because APC refers to Average Propensity to Consume, which defines the amount of consumption in every 1 rupee of income for all levels of income, whereas MPC refers to the percentage change in consumption when the level of income changes.
The average proclivity to consume (APC) is the ratio of consumption expenditure (C) to income (Y), indicating the average proportion of income spent on consumption.
It may be stated algebraically as APC=YC.
The average propensity to save (APS) is the ratio of saving (S) to income (Y), which expresses the average proportion of income saved.
It is stated algebraically as APS=YS.
Because revenue is either spent or saved, the total of APC and APS is assumed to be one.
As a result, the greater the APC, the lower the APS, and vice versa. However, the value of APC might be larger than one if consumption exceeds income, which occurs at very low-income levels.
In this situation, the savings are used to fulfill the autonomous consumption requirements, resulting in an APC value larger than 1.
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When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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Which of the following are true? (multiple answers)
OFor options on futures, the value of the at-the-money call option is always equal the value of the at-themoney put option.OAn American call option on a non-dividend-paying stock can be exercised early if the option is sufficiently inthe-money.OThe volatility is positively associated with the price of an option.DAn American option with six months to expiry must always be less valuable than an American option with three months to expiry.DTo compute implied volatility, one needs historical asset prices and an options pricing model.
The true statements are:
- An American call option on a non-dividend-paying stock can be exercised early if the option is sufficiently in-the-money.
- To compute implied volatility, one needs historical asset prices and an options pricing model.
- For options on futures, the value of the at-the-money call option is not always equal to the value of the at-the-money put option. The values of these options depend on various factors such as the underlying futures price, time to expiration, and volatility.
- An American call option on a non-dividend-paying stock can be exercised early if the option is sufficiently in-the-money. This allows the option holder to realize the gains before expiration. However, for dividend-paying stocks, early exercise may be influenced by the dividend payment dates and the amount of dividends.
- The volatility of an underlying asset is positively associated with the price of an option. Higher volatility increases the probability of large price movements, which in turn increases the potential value of the option.
- The value of an American option with six months to expiry is not always less valuable than an American option with three months to expiry. The value of an option depends on various factors such as the underlying asset price, strike price, time to expiration, volatility, and interest rates. It is possible for an option with a longer time to expiry to have a higher value if other factors are favorable.
- To compute implied volatility, historical asset prices and an options pricing model are needed. Implied volatility is a measure of the market's expectation of future volatility based on the observed prices of options. By inputting the market prices of options into an options pricing model, such as the Black-Scholes model, implied volatility can be derived.
The true statements are that an American call option on a non-dividend-paying stock can be exercised early if sufficiently in-the-money, and implied volatility calculation requires historical asset prices and an options pricing model.
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I am confused here. Help me, tomorrow is my exam. Is tailoring a secondary activity or tertiary? Bcoz a tailor also makes suits etc and also fixes them. For example if my coat has a cut, the tailor will repair it.
Answer:
This is soley based on a personal response no bias. ANS- TERTIARY
Tertiary is a skilled built labor job and Seconadary is a not as needed/skill required based work force such as fast food or retail work.
Explanation:
Of third rank, importance, or value chiefly British : of, relating to, or being higher education
Of, relating to, or constituting the third strongest of the three or four degrees of stress recognized by most linguists
Dalia Ramirez Anchondo deposits $ 200 into her savings annuity every paycheck. She gets paid weekly. The credit union will pay Dalia 4% compounded quarterly. What is the future value of Dalia in 4 years.
Help me!!!!
Answer: $41,418.96
Explanation:
There are four quarters in a year and the interest rate is a yearly rate that should be converted to a quarterly rate:
= 4% / 4
= 1%
Delia gets paid $200 a week. There are 12 weeks in a quarter so the quarterly contribution is:
= 200 * 12
= $2,400
The number of quarters she invests is:
= 4 * 4years
= 16 quarters
As this payment is constant, it is an annuity.
Value after 4 years will be:
= Annuity * Future value interest factor of annuity, 1%, 16 periods
= 2,400 * 17.2579
= $41,418.96
Which of the following is a disadvantage of a market economy?
A. It sustains a high degree of uncertainty.
B. It restricts personal freedom.
C. It discourages creativity and new ideas for doing things.
D. It does not allocate resources as efficiently as other types of economies.
In a market economy, there can be a high degree of uncertainty due to competition and fluctuations in production. Although market economies are typically associated with economic freedom and innovation, and, contrary to the options presented, are often considered efficient in resource allocation.
Explanation:An element of a Market Economy can indeed create a high degree of uncertainty. Since decisions about production and prices are made by businesses based on the demand and supply, nobody can predict with certainty what decision a business might take next. This can lead to increased competition, production fluctuations and often to individuals and businesses taking high risks, which ultimately increases uncertainty.
So, the disadvantages of a market economy include it sustaining a high degree of uncertainty (option A). The market economy does not necessarily restrict personal freedom (option B), in fact, it's usually associated with a high degree of personal and economic freedom. Nor does it discourage creativity and new ideas (option C), as competition within a market economy often encourages innovation. Lastly, it is in fact usually considered to efficiently allocate resources through the forces of supply and demand (option D).
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in the economy of talikastan in 2015, exports were $200, gdp was $2000, government purchases were $200, imports were $270, and investment was $500. what was talikastan’s consumption in 2015?
Talikastan's consumption in 2015 was $1370.
In order to calculate the consumption in Talikastan in 2015, we need to use the equation for GDP:
GDP = C + I + G + (X - M)
where:
C = consumption
I = investment
G = government purchases
X = exports
M = imports
Given the values provided:
GDP = $2000
Exports (X) = $200
Government purchases (G) = $200
Imports (M) = $270
Investment (I) = $500
We can rearrange the equation to solve for consumption (C):
C = GDP - I - G + (M - X)
Substituting the given values into the equation:
C = $2000 - $500 - $200 + ($270 - $200)
C = $2000 - $500 - $200 + $70
C = $1370
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Which of the following is not an example of professional behavior
?
therefore, what is the relationship between a perfectly competitive firm's mrp curve for an input and that firm's demand curve for that input?
The marginal revenue product (MRP) curve for an input indicates the value of the marginal product of a particular input, whereas the demand curve for an input refers to the quantities of the input that a firm is willing and able to buy at various input prices.
What is the reason?In a perfectly competitive market, the demand curve for an input is perfectly elastic, implying that the firm is a price taker and can purchase as much input as it wishes at the going market price.
On the other hand, the MRP curve for an input is downward sloping since as the firm adds more input, the marginal product of that input decreases, and the marginal revenue earned from producing additional units of output declines.
This implies that for a perfectly competitive firm, the MRP curve of an input coincides with the demand curve for that input.
Therefore, in the short run, a perfectly competitive firm uses inputs up to the point where the MRP equals the input price, maximizing its profits.
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which of the following commodities is a product of the primary or extractive industry
A. Cars
B. Gold
C. Hair Processing
D . Houses
choose the best words to complete each sentence and form a true statement
Bard needs help repaying the loan he got to pursue a graduate program in a top-ranking university. If Bard opts for a work-study program, he will get a blank job. But first, Bard needs to check if hid college participates in the blank
military
part-time
full-time
Federal work-study program
Federal pell grant
Federal perkins loan program
If Bard opts for a work-study program, he will get a part time job. But first, Bard needs to check if hid college participates in the Federal work-study program.
What is the work-study program?The work-study program is a program that allows students in tertiary institutions to be able to work while studying in order to be able to finance their education.
The federal government offers a work-study program for certain universities where the student will have to work part-time and will have to maintain a certain grade. Bard needs to check if his university is one of such university where the federal government offers the program.
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Joe can read 7 page of hi book in 5 minute. At thi rate, how long will it take him to read the entire 275-page book?
Joe will need about 196.43 minutes minutes to read the entire 275-page book.
We can use the formula rate = distance/time to calculate this. The distance is the number of pages in this case, and the time is the amount of time it takes to read those pages.
We know Joe can read 7 pages in 5 minutes, so we can use these values to calculate how long it will take him to read 275 pages: rate = 275 pages / time.
We get time = 275 pages / 7 pages per 5 minutes when we solve for time.
275/7=39.286
pages per 5 minutes= 39.286 *5=196.43 minutes
Converting the time from minutes to hours, we get that it will take Joe
1 hour = 60 minutes
= 196.43/60
=3 hours 16 minutes
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You are considering investment in a hotel that costs $20m to purchase that you anticipate will produce an NOI of $1.1million annually and you will receive $25m after expenses (ie, net sale proceeds) when you sell the property at the end of 10 years. What is the unlevered IRR of the property? Please represent your answer as a percent with TWO decimal places (ie, X.XX)
The unlevered IRR of the property can be calculated by finding the internal rate of return (IRR) of the cash flows without considering any financing costs.Therefore, the unlevered IRR of the property is 7.77%.
In this case, the cash flows are the initial investment of $20 million, the annual NOI of $1.1 million, and the net sale proceeds of $25 million at the end of 10 years.
To calculate the unlevered IRR, we can use the IRR function in Excel or a financial calculator. The cash flows are as follows:
Year 0: -$20 million (initial investment)
Year 1-10: $1.1 million (annual NOI)
Year 10: $25 million (net sale proceeds)
Using the IRR function in Excel, the unlevered IRR is 7.77%. Therefore, the unlevered IRR of the property is 7.77%.
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Identify a circumstance outside the economy that can cause unemployment.
A. The United States hosts the Olympic Games
B. A hurricane damages the Gulf Coast
O
C. A new museum opens in the city of Dallas
O
D. The northeast experiences a summer heat wave
Answer:
B. A hurricane damages the Gulf Coast
Explanation:
If a hurricane occurs, it would destroy businesses and this can cause unemployment.
If the United States hosts the Olympic Games and if a new museum opens in the city of Dallas, employment would increase
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what is the recommended size of the paging file under
The recommended size of the paging file depends on the amount of physical memory in your computer and your usage patterns. It is generally recommended to set the initial size of the paging file to 1.5 times the amount of RAM. However, you may need to adjust this size based on your specific needs. Regularly monitoring your computer's performance will help you determine if any further adjustments are necessary.
The paging file, also known as the swap file or virtual memory file, is a file on your computer's hard drive that is used to supplement the physical memory (RAM) when it becomes full. The recommended size of the paging file depends on several factors, including the amount of physical memory in your computer and your usage patterns.
Here is a step-by-step guide to help you determine the recommended size of the paging file:
1. Check the amount of physical memory (RAM) installed on your computer. You can find this information by right-clicking on the "Computer" or "My Computer" icon, selecting "Properties," and looking for the "Installed memory (RAM)" section.
2. Take note of the recommended size of the paging file. The general rule of thumb is to set the initial size of the paging file to 1.5 times the amount of physical memory. For example, if you have 4GB of RAM, the initial size of the paging file should be 6GB.
3. Consider your usage patterns. If you regularly run memory-intensive applications or work with large files, you may need a larger paging file to accommodate the increased demand for virtual memory. In such cases, you can set the maximum size of the paging file to be even larger than the initial size.
4. Adjust the paging file size. To change the size of the paging file, go to the "System Properties" window (accessed by right-clicking on "Computer" or "My Computer" and selecting "Properties") and click on the "Advanced system settings" link. In the "Performance" section, click on the "Settings" button and go to the "Advanced" tab. Under the "Virtual memory" section, click on the "Change" button. Here, you can adjust the size of the paging file by selecting the appropriate drive and choosing either the "System managed size" option or the "Custom size" option, where you can specify the initial and maximum size.
5. Monitor the performance. After making changes to the paging file size, it's important to monitor the performance of your computer to ensure that it is functioning optimally. If you notice any issues or performance degradation, you can revisit the paging file settings and make further adjustments as needed.
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