This illustration demonstrates the idea of counterurbanization, which is the movement of people form urban to rural areas.
Which four migration types are there?Moving within just a state, nation, or continent is referred to as internal migration. migrating to a new state, nation, or continent is known as external migration. Influx of refugees is the acts of relocating to another country. Immigrating to another country.
Which migration examples come to mind?For instance, salmon are produced in rivers and migrate to the sea to reproduce and develop.They return to the rivers where they were born to spawn after spending five to 10 years in the ocean. Gecarcoidea natalis red crabs from Christmas Island migrate for comparable reasons.
To know more about migration visit:
https://brainly.com/question/14860111
#SPJ4
_________are the source of a firm's __________, which are the source of the firm's __________.
The resources are the source of a firm's capabilities, which are the source of the firm's core competencies RCC.
How Do You Define Resource?In the corporate world, resources are converted into useful goods or services. The infrastructure, labor force, armed forces, and natural wealth of a nation is employed for the development of its economy and political system as well as for the benefit of its citizens. Numerous fields, including economics, business, the environment, and human society, have used the concept of resources.
Three characteristics are shared by resources:Utility: Resources are employed to meet customer needs.
Limited accessibility: The supply of resources is insufficient compared to the demand.
Potential for depletion: As resources are used up, their availability decreases progressively.
Depending on their source, resources can be classed in a variety of ways, such as biotic or abiotic, renewable or non-renewable, and potential or actual.
To know more about resources visit:
https://brainly.com/question/15133538
#SPJ4
In general, minimum how long you need to monitor a Gigabit Ethernet link to approximate 10-12 BER? OA 1000 seconds 1200 seconds 12 seconds 1000 minutes OE 1 second OF 1012 seconds OB. O.C. D.
In general, the minimum time you need to monitor a Gigabit Ethernet link to approximate 10-12 BER is 1000 minutes.Option (OE) 1 second is incorrect since 1 second is not enough time to approximate a 10-12 BER. The BER is the ratio of the number of bits that have errors to the total number of bits that have been transmitted.
A 10-12 BER means that out of every 10,000,000,000,000 bits transmitted, 10 bits are likely to have errors. BER testing is important in any data transmission system because it can help detect signal quality issues early on and prevent major problems from arising. A Gigabit Ethernet link typically operates at 1 Gbps. To approximate a 10-12 BER, the system has to send a large number of bits, and this process can take a long time. In general, monitoring the Gigabit Ethernet link for approximately 1000 minutes can help approximate a 10-12 BER.
to know more about general intake pls visit:
https://brainly.com/question/13423034
#SPJ11
use the three conditions for monopolistic competition discussed in the chapter to decide which of the following firms are likely to be operating as monopolistic competitors. if they are not monopolistically competitive firms, are they monopolists, oligopolists, or perfectly competitive firms?
The three conditions for monopolistic competition are:
1. Many small firms: There are many small firms operating in the market, and none of them has a significant market share.
2. Differentiated products: Each firm produces a slightly differentiated product that is not a perfect substitute for the products of other firms in the market.
3. Easy entry and exit: It is easy for new firms to enter the market and start producing a similar product. Similarly, it is easy for firms to exit the market if they are not profitable.
Now, let's apply these conditions to the following firms and decide if they are likely to be operating as monopolistic competitors:
1. Local pizza shops: Local pizza shops are likely to be operating as monopolistic competitors since there are many of them, they offer slightly differentiated pizzas, and it is easy for new shops to enter the market and existing ones to exit.
2. Gas stations: Gas stations are likely to be operating as oligopolists rather than monopolistic competitors. The gas industry is dominated by a few large firms that have significant market power and often collude to control prices.
3. Pharmaceutical companies: Pharmaceutical companies are likely to be operating as monopolists. The industry is dominated by a few large firms that hold patents on drugs and have significant market power.
Additionally, the high barriers to entry (e.g., high research and development costs) make it difficult for new firms to enter the market.
4. Wheat farmers: Wheat farmers are likely to be operating in a perfectly competitive market. There are many small farmers, and their products are virtually identical, so there is no differentiation.
Also, there are no significant barriers to entry, and it is easy for farmers to enter and exit the market.
In summary, it is essential to analyze a firm's market structure and determine whether it operates in a monopolistically competitive market based on the three conditions mentioned above.
If a firm does not meet these conditions, it may be operating as a monopolist, oligopolist, or perfectly competitive firm.
To know more about competitive market refer here
https://brainly.com/question/29407851#
#SPJ11
why was bank of america industry successful at one point
Answer:
Bank of America (NYSE:BAC) has had its fair share of missteps over the past decade, but it's also had successes. Topping the list for the latter is the progress it's made in mobile banking, which has enabled the bank to slash operating expenses in its consumer banking segment.
You can get a sense for Bank of America's success in this regard by looking at the number of people who use its mobile application. In the most recent quarter, the bank boasted 19.6 million active mobile users. That's five times the number it had in 2009. To put this in perspective, Bank of America has 60 million total clients within 45 million households.
The impact on Bank of America's transaction mix has been dramatic. Mobile check deposits are up by a factor of 10 since 2012, and now account for 16% of all deposit transactions at the North Carolina-based bank. If you also factor in ATM transactions, two-thirds of Bank of America's deposit transactions are now automated. That compares to only 35% in 2009.
Explanation:
a pharmaceutical vice president has decided to gradually withdraw marketing and promotional support from a particular drug. she has instructed her sales force to no longer spend any time with physicians discussing this particular script, nor will any promotional support be provided. the number of generics competing against this formulary has increased, and the margins have declined precipitously. this is an example of: select one: a. retrenchment. b. harvesting. c. pruning. d. divestment.
The situation described is an example of harvesting.
The correct option is b. harvesting
Harvesting is a strategy where a company chooses to gradually reduce investments in a particular product or market segment that is no longer profitable or has limited growth potential. The pharmaceutical vice president's decision to withdraw marketing and promotional support for the drug shows a gradual reduction in investment. The sales force being instructed to no longer spend any time with physicians discussing the drug further shows a decrease in the investment. Additionally, the increased competition from generics and declining margins further supports the idea of harvesting, as the company is choosing to reduce investments in the drug and focus on more profitable areas. It is important to note that if the decision to reduce investments was sudden and the company chose to discontinue the drug entirely, it would have been an example of divestment. However, since the reduction is gradual, it is considered harvesting.
Learn more about investments here:
https://brainly.com/question/15105766
#SPJ11
3. Which of the following would NOT be a factor that affects which products a retailer chooses
to select to offer in a store?
A. Local customer preferences
B. Manufacturer incentives
C. Employee preferences
D. The store's location
ailor's
Employee choices wouldn't have any influence on the products a retailer selects.
What elements influence retail stores? What are the top five most crucial elements for a retail market?Location, marketing, shop design and appearance, service and selection, and bundle selling are the five pillars of retail success. Let's examine how each of them can assist you in starting a profitable retail business.
What are the seven elements that influence where an industry is located?The seven variables that affect whether or not an industry is established are: the supply of materials, labour, capital, market access, the availability of a plentiful supply of electricity, transport modes like railroads and roads for the road transport of finished goods and raw materials, and the availability of land.
To know more about retailer visit:
https://brainly.com/question/29509602
#SPJ1
A company with a completely fixed cost structure will have operating leverage of 1. True or False
False. Operating leverage refers to the degree to which a company's operating costs are fixed vs. variable.
A company with a completely fixed cost structure would have a high degree of operating leverage, because its costs would not change as production levels change.
The formula for operating leverage is the contribution margin (sales revenue minus variable costs) divided by the operating income. If a company has a completely fixed cost structure, its variable costs would be zero, making the contribution margin equal to the sales revenue. Therefore, the operating leverage would be infinity, not 1.
So, the statement "A company with a completely fixed cost structure will have operating leverage of 1" is false.
Learn more about operating leverage here: brainly.com/question/29690696
#SPJ4
Logan, Inc. Held 500 shares of treasury stock with a cost of $10 per share. In December, Logan sold 10 shares at $20 per share. The journal entry to record the sale of treasury stock using the cost method would include a (debit/credit) ________ to Treasury Stock in the amount of ________.
Answer:
Credit to treasury stock for $200
Explanation:
Based on the information given The Appropriate journal entry to record the sale of treasury stock would include CREDIT to treasury stock in the amount of $200
CREDIT to treasury stock $200
(10 shares at $20 per share)
(To record the sale of treasury stock)
While washing his hands before the client consultation with Chloe, Jayden dripped some water onto the countertop. When he came back later to wipe it up, it had evaporated. What happened to the drops of water?
Answer:
they changed their state to a gas
Explanation:
Remember, the three basic states of matter are;
solid,liquid,and gas.So, as the time when Jayden dripped some water onto the countertop, they were in a liquid state. However, due to the heat present in the atmosphere, these drops of water escaped (evaporated) into the gaseous form (i.e they became water vapor).
How can Jude, a high-end automobile dealer, decide whether to grant one of his potential customers credit?
A. ask the customers friends for feedback
B. check with a credit- and information- management company
C. check the previous credit card bills of the customer
D. check with all the previous employers of the customer
Answer:
B.check with a credit and information management company
What is a closed economy give an example?
The Economist defines a closed economy as: "An economy that does not engage in foreign trade; the opposite of an open economy.
What does closed economy mean?An economy that is "closed" does not engage in international trade, which means it does not import or export products and services to or from other nations. All commodities and services are generated inside the confines of a single economy in this scenario.How many countries are closed economy?Currently, no nation has a closed economy in reality. Brazil has the least amount of products imported when compared to other nations, making it the economy that is most similar to a closed one. The domestic barrier cannot, however, satiate all of the wants for products and services.The Economist defines a closed economy as: "An economy that does not engage in foreign trade; the opposite of an open economy.
To know more about closed economy, visit:
https://brainly.com/question/29795216
#SPJ4
beta corporation owns assets valued at $1,500,000 with liabilities of $700,000, and alpha holds assets valued at $350,000 with liabilities of $150,000. beta transfers 200,000 shares of stock and $50,000 cash, and it accepts $100,000 of alpha’s liabilities, in exchange for all of the alpha assets. alpha distributes the beta stock to its shareholders for their alpha stock and then ceases to exist.
"Type A" reorganization. The transaction does not qualify as a "Type C" reorganization because substantially all of the assets are not acquired with voting stock.
What are liabilities?A liability is anything that a person or organisation owes, usually money. Advances, accruing costs, mortgages, bonds, accounts payable, securities, and deferred revenues are all included in the liabilities section of the asset report.
Liabilities on the balance sheet's right side are represented by debts like as loans, accounts payable, mortgages, deferred revenue, bonds, warranties, and accumulated costs.
A company's liabilities are essential since they are utilised to fund operations and big expansions. They can also speed up business-to-business transactions.
Liabilities reduce your company's worth and equity, but assets create value and enhance equity. The more your assets exceed your liabilities, the better off financially your company is.
To learn more about liability visit:
https://brainly.com/question/18484315
#SPJ1
on october 1, 2021, eagle company forecasts the purchase of inventory from a british supplier on february 1, 2022, at a price of 100,000 british pounds. on october 1, 2021, eagle pays $1,800 for a three-month call option on 100,000 pounds with a strike price of $2.00 per pound. the option is considered to be a cash flow hedge of a forecasted foreign currency transaction. on december 31, 2021, the option has a fair value of $1,600. the following spot exchange rates apply: date spot rate october 1, 2021 $ 2.00 december 31, 2021 $ 1.97 february 1, 2022 $ 2.01 what journal entry should eagle prepare on october 1, 2021? event general journal debit credit a) cash 1,800 foreign currency option 1,800 b) forward contract 1,800 cash 1,800 c) foreign currency option 1,800 foreign exchange gain or loss 1,800 d) foreign exchange gain or loss 1,800 cash 1,800 e) foreign currency option 1,800 cash 1,800
The correct journal entry for Eagle Company on October 1, 2021, would be: a) Cash $1,800 Foreign Currency Option $1,800
The journal entry records the initial payment for the foreign currency option, which is considered a cash flow hedge of a forecasted foreign currency transaction. The debit to Cash reflects the payment made by Eagle Company, while the credit to Foreign Currency Option represents the increase in the value of the option.
It is important to note that this journal entry assumes that Eagle Company has determined that the fair value hedge accounting is not applicable and that it has elected to account for the option as a cash flow hedge. The fair value hedge accounting would involve recording changes in the fair value of the option in the income statement, while cash flow hedge accounting would involve recording changes in the fair value of the option in other comprehensive income.
In this scenario, Eagle Company has chosen to account for the option as a cash flow hedge, and therefore, the initial payment is directly recorded as an increase in the value of the option, which is reflected as a credit to Foreign Currency Option.
Learn more about journal entry here:
https://brainly.com/question/30499005
#SPJ11
when accounting profits are negative, economic profits
Answer:
will be negative is the answer to this question
Explanation:
Accounting profits take into account only implicit costs while economic profit takes both implicit as well as explicit costs and if accounting profits are negative with only implicit costs, economic profit will be more negative as more amount of costs are subtracted from it.
A decline in consumer spending during the Keynesian adjustment process leads to further production cutbacks, more lost income, and still less _______.
The third step in the Keynesian adjustment process included declines in consumer spending lead to further production cutbacks, more lost income, and still less consumption
What is Keynesian Theory?This refers to the economic theory that affects the total spending in the economy of a nation and how this affects the output and inflation.
With this in mind, we can see that in the third step in the Keynesian adjustment process, there is the decline in consumer spending lead to further production cutbacks, more lost income, and still less consumption
Read more about keynesian theory here:
https://brainly.com/question/6505999
On May 31, 20X1, the Arlene Corporation adopted a plan to sell its cosmetics line of business, considered a component of the entity. The assets of the component were sold on October 13, 20X1, for $1,120,000. The component generated operating income of $300,000 from January 1, 20X1, through disposal. In its income statement for the year ended December 31, 20X1, the company reported before-tax income from operations of a discontinued component of $620,000. What was the book value of the assets of the cosmetics component
Answer:
$800,000
Explanation:
Calculation to determine the book value of the assets of the cosmetics component
Assets of the component $1,120,000.
Less gain on sale of the assets ($320,000)
($620,000-$300,000)
Book value of the assets $800,000
($1,120,000-$320,000)
Therefore the book value of the assets of the cosmetics component will be $800,000
______ If an employer enforces an English-only policy in all areas of the workplace and at all times, including break times and other free time, the:A) employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).B) employer is much safer from a charge of national origin discrimination than an employer who only enforces the policy in certain areas and at certain times.C) employer impermissibly violates Title VII of the Civil Rights Act, which protects the ability of workers to express their cultural heritage at the workplace.D) employer’s policy is not unlawful because all individuals, irrespective of their national origin, are required to speak English in the United States.
Answer:
A) employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).
Explanation:
The Equal Employment Opportunity Commission (EEOC) is a federal agency that was established by US Congress on the 2nd of July, 1965 based on the Civil Rights Act of 1964 so as to uphold and enforce all civil rights law against workplace discrimination by the employers or employees in the United States of America.
Equal Employment Opportunity Commission (EEOC) guidelines asserts that employers of labor wouldn't be held liable for national origin discrimination after implementing an "English-only" rule, if the employer can show that it is necessary for the following;
I. To communicate with customers who can speak English only.
II. To efficiently promote cooperative work assignments among teams (employees).
III. To enhance or facilitate safety during an emergency.
Hence, if an employer enforces an English-only policy in all areas of the workplace and at all times, including break times and other free time, the employer’s policy is presumptively discriminatory according to the Equal Employment Opportunity Commission (EEOC).
What organizational & technical failures led to the data breach
at Equifax? (Please put where you got your sources from, thank
you!)
The organizational and technical failures that led to the Equifax data breach in 2017 have been extensively discussed and investigated. Sources such as the U.S. House of Representatives Committee on Oversight and Government Reform Report highlight the key failures.
These include the company's failure to patch a known vulnerability in a timely manner, inadequate security practices such as weak passwords and lack of encryption, poor communication and response to the breach, insufficient monitoring and detection systems, and issues with executive leadership and governance.
These failures collectively allowed hackers to exploit vulnerabilities, gain unauthorized access to sensitive data, and compromised the personal information of millions of individuals.
Learn more about Representatives Committee
https://brainly.com/question/16497550
#SPJ11
Assume that you are willing to postpone consumption of $1,000 today and buy a certificate of deposit (CD) at your local bank with the $1,000. Holding the CD for one year provides you with an 8% reward for saving or postponing consumption. This reward for postponing consumption implies that at the end of the year you will have how much more money for spending?
Answer:
the amount that should be show more money for spending is $80
Explanation:
The computation of the amount that should be show more money for spending is as follows;
= Certificate of deposit × reward for saving or postponing consumption percentage
= $1,000 × 8%
= $80
hence, the amount that should be show more money for spending is $80
Match each type of media to the purpose that best suits it.
1. a graph
A. to demonstrate correct form for a dance
2. a video
B. to show the effect of poor eating habits on
the heart
3. a photograph
C. to illustrate the soulful features of jazz
4. a music recording
D. to represent numerical facts on the world
population over the years
Answer:
music recorecording: to illustrate the soulful features of jazz, a graph:to represents numerical facts on the world population over the years, a photograph:to show the effect of poor eating habits on the heart, video:to demonstrates correct form for a dance.
Explanation:
Which condition is a result of open competition in a free market system?
A. Poor customer service
B. Government regulation
C. Higher prices
D. Higher quality goods
A result of open competition in a free market system is higher quality goods (option D).
What is the result of open competition?
Competition is when there are many producers operating in a particular industry. Competition is high in purely competitive markets and low in a monopoly. This is because in a pure competition, there are many producers while there is only one producer in a monopoly.
Due to the high level of competition in an industry, prices would be more likely to be low. This is because producers would want to attract more consumers by fairly pricing their goods. Also, producers would want to offer good customer service in order to retain consumers as there are many competing producers in the market. High quality goods are also a way to attract an retain customers.
A free market system is a market system where prices are set by the forces of demand and supply. There is no government regulation in this type of market.
To learn more about the free market system, please check: https://brainly.com/question/1188645
#SPJ1
true or false: 400,000 people are seriously injured in car crashes each year.
Answer:
True
Explanation:
400,000 people are seriously injured in car crashes each year.
Three characteristics of a formal business
?
Answer:
Here's some you can choose from!
Explanation:
(1) It has Defined Interrelationship
(2) It is based on Rules and Procedures
(3) It is based on Division of Work
(4) It is deliberately created
(5) It is Impersonal
(6) It is more stable
On September 30, 2021, the San Fillipo Corporation issued 8% stated rate bonds with a face amount of $300 million. The bonds mature on September 30, 2041 (20 years). The market rate of interest for similar bonds was 10%. Interest is paid semiannually on March 31 and September 30. (FV of $1, PV of $1, FVA of $1, PVA of $1, FVAD of $1 and PVAD of $1) (Use appropriate factor(s) from the tables provided. ) Required: Determine the price of the bonds on September 30, 2021. (Enter your answers in whole dollars. Round your final answers to nearest whole dollar amount. )
The price of the bonds is determined using the Present Value of a 20-year annuity formula with an 8% interest rate is $278,743,846.
The price of the bonds is determined using the Present Value of a 20-year annuity formula with an 8% interest rate. The calculation is: Price = $300,000,000 × [PVIFA 20%, 8%] = $300,000,000 × 0.7547 = $278,743,846.
The Present Value Interest Factor of Annuity (PVIFA) is used to calculate the present value of a series of payments over a certain period of time. In this case, the PVIFA is 20 years and the interest rate is 8%, which is the stated interest rate of the bond.
Therefore, the price of the bonds on September 30, 2021 is $278,743,846.
For more questions like Bond price click the link below:
https://brainly.com/question/15518377
#SPJ4
Which of the following is related to the actual attractiveness of a prize in a contest?A) Intrinsic valueB) Extrinsic valueC) Redemption ratesD) Internet inquiries
The term that is related to the actual attractiveness of a prize in a contest is intrinsic value.
Intrinsic value refers to the inherent worth or usefulness of something, regardless of its external or extrinsic value. In the context of a contest, the intrinsic value of a prize is what makes it desirable to the participants. For example, if the prize is a vacation to a dream destination, the intrinsic value of the prize is the experience and memories that the winner will gain from the trip. If the prize is a luxury car, the intrinsic value is the quality and features of the vehicle. Extrinsic value, on the other hand, refers to the external or tangible benefits that a prize can offer. For example, if the prize is a cash reward, the extrinsic value is the amount of money that the winner will receive. Extrinsic value can still be a factor in the attractiveness of a prize, but it is not the primary factor that determines whether a prize is desirable.
Redemption rates and internet inquiries are not directly related to the attractiveness of a prize in a contest. Redemption rates refer to the percentage of recipients of a promotional offer who actually take advantage of the offer. Internet inquiries are inquiries or requests for information that are made through the internet.
To know more about intrinsic value. visit:
brainly.com/question/30764018
#SPJ11
In an empirical economic analysis, how does the econometric model relate to the economic model? check all that apply.
The economic model is similar to the econometrics model as Both models attempt variables and its identical to the econometrics model.
Both choose and introduce variables. The econometric model imposes a functional form on the more generally specified economic model. According to the data B and D are true and A and C are false.
Basically, empirical economics analysis is the approach of economics by first indicating the data by the specification of the econometrics model. This is the study of the evidence-based interpretation of data that could be resolved by this empirical method.
During the empirical study, econometrics is the core approach for the economics empirical model.
For more questions like Empirical economics analysis visit the link below:
https://brainly.com/question/4745817
#SPJ4
Grace manufactures and sells miniature digital cameras for $250 each. Sales in May were 1,100 units, and management forecasts 4% growth in unit sales each month. (a) Determine the budgeted sales units of cameras for June. (b) Prepare the sales budget for June.
The budgeted sales units of cameras for June would be 1,144 units, which is calculated by multiplying the May sales of 1,100 units by the forecasted growth rate of 4% and adding that amount to May sales.
To determine the budgeted sales units of cameras for June, we first need to calculate the expected growth rate. The question tells us that management forecasts 4% growth in unit sales each month. Therefore, we can use this growth rate to calculate the expected sales units for June.
Use the budgeted sales units from part (a): 1,144 units. Multiply the budgeted sales units by the selling price per unit: 1,144 units x $250 = $286,000. So, the budgeted sales units for June are 1,144 units, and the sales budget for June is $286,000.
To know more about budgeted sales visit:-
https://brainly.com/question/32190039
#SPJ11
Commodity brokers use forward and futures contracts for which of the
following reasons?
A. The raw, unprocessed nature of commodities means that there is
always a third party to any commodity-purchase contract.
B. The riskiness of commodity production means that many
commodity producers go bankrupt before harvest time.
C. The seasonal nature of many commodities would lead to wide
variations in supply and price without these contracts.
D. Commodities come from many different countries with very
different currency exchange rates.
Answer: The seasonal nature of many commodities would lead to wide
variations in supply and price without these contracts.
The correct option is C.
Commodity brokers use forward and futures contracts for the seasonal nature of many commodities would lead to wide variations in supply and price without these contracts.
What does a commodity broker do?
A commodity broker is a firm or an individual who executes orders to buy or sell commodity contracts on behalf of the clients and charges them a commission. A firm or individual who trades for his own account is called a trader. Commodity contracts include futures, options, and similar financial derivatives.
How do commodity brokers make money?Compensation for commodity brokers is often on a commission basis. They receive a percentage of the gross commissions from the trades placed by their customers. Commissions are fees for the execution of buying and selling orders. Some commodity brokers are highly successful.
Learn more about commodity brokers here https://brainly.com/question/798039
#SPJ2
a firm's current profits are $900,000. these profits are expected to grow indefinitely at a constant annual rate of 2 percent. if the firm's opportunity cost of funds is 4 percent, determine the value of the firm:
The value of firm is $45,000,000
PV = $900,000 / (0.04 - 0.02) = $45,000,000
The PV after paying out current profits is
$45,000,000 - $900,000 = $44,100,000.
What is annual rate?
In the form of an annual percentage rate, the cost of borrowing money each year, including fees, is disclosed (APR).Due to the fact that it accounts for both interest rates and application fees, the annual percentage rate (APR) provides a more complete reflection of the cost of borrowing money to you.
To learn more about annual rate click the given link
https://brainly.com/question/25793394
#SPJ4
A new business has total sales of $14,000, applied $1,350 in merchandise discounts, and had returns of $234. Calculate the business's total net sales.
Answer:
$12,416
Explanation:
Applied merchandise discounts mean discounts issued.
The net sales will be total sales minus merchandise discounts applied minus returns.
Net sales = total sales - ( discounts + returns)
Net sales = $14,000 - ( $1,350 + $234)
Net sales = $14,000 - $1,584
Net sales = $12,416