one way the enron management artificially inflated the market price of the company's common stock was to hide the company's debt in these subsidiaries, known as

Answers

Answer 1

Fastow and other Enron employees planned a scheme to use special purposes entities (SPEs), commonly referred to as off-balance-sheet special purpose vehicles (SPVs), to conceal the hazardous assets and mountains of debt that Enron possessed from creditors and investors.

Enron disguised its debt in what manner?

Enron disguised debt from its balance sheet by using special purpose corporations, and it overstated revenue by using mark-to-market accounting. Additionally, it disregarded internal recommendations against these actions despite knowing that the financial condition it had publicly presented was inaccurate.

How did Enron fudge its financial results?

Numerous Enron leaders allegedly leveraged the partnerships for personal gain at the detriment of the corporation. The report claims that the partnerships "enriched Enron workers to the tune of tens of millions of dollars they should never have gotten."

To Know more about partnerships

https://brainly.com/question/19988417

#SPJ4


Related Questions

Define a Small Scale Enterprise as per ‘MSMED Act, 2006’.

Answers

Explanation:

the Government of India has in acted, small and medium enterprises development (MSMED) Act, 2006 in terms of which the definition of micro, small and medium enterprises is an enterprise where the investment in plant and machinery is more than rate 25 lakh but does not exceed rate.

steps on how to create your own app​

Answers

Explanation:

● Steps on how to create your own app

First you have to know coding and programing...

what type of testimony is inappropriate for a health information manager serving as custodian of the record when he or she is called to be a witness in court?

Answers

Personal opinion or speculation is inappropriate testimony for a health information manager serving as a witness in court.

As a custodian of the record, a health information manager has a professional duty to maintain and safeguard medical records.

When called to be a witness in court, their role is to provide accurate and objective information related to the medical records in question.

In this capacity, it is important for the health information manager to present factual and verifiable information based on their knowledge and expertise.

Testimony that involves personal opinions, biases, or speculation is considered inappropriate because it may introduce subjective and unreliable information into the legal proceedings.

The health information manager should focus on presenting facts, interpreting medical records within their scope of expertise, and providing context or clarification when required.

It is essential for the health information manager to maintain professional integrity and adhere to the ethical standards of their role as a custodian of the record.

By providing objective and reliable testimony, the health information manager can contribute to the fair and just resolution of the legal case while upholding the integrity of the healthcare information management profession.

To know more about Speculation visit-

brainly.com/question/32990895

#SPJ11

You are busy with finals and forgot to pay your credit card bill. You are charged $100 in late fees. This will likely lower your

Answers

Answer:

credit card money I think

credit score i imagine

im on od plz hurry
Background info-----You're a member of a small group that has been working on an important company project for the last year, and you have been assigned to give the final presentation. You really do not like giving presentations because of your stage fright, but you agree to make the visual aids and write a script for another group member who does not mind giving the actual talk.

Directions-----Write a five-minute presentation speech using the techniques and strategies you have learned, and make some visual aids to accompany the talk. You can make a PowerPoint or some charts or drawings, but whatever you do, make sure it follows the guidelines you have learned. Make sure that you can digitize your work so that you can send it to your other group members and to your teacher.

Answers

Answer:

this is my 5 minute presentation

Explanation:

i have learned how to communicate and how to better my self when working as a team when i am team leader it seams easier for me to controll my team because i do not boss them around harshly if they start to get verry wore out i also give them a talk to boost their motivation to get the job done quicker i  feel like when i am out in the real world it will be a lot easier to lead a team the right way and get everything done with all the knolage i have recived i know if im messing around then the rest of my team is going to be messing around in order for my team to act right i have to act right so my team will follow all orders and commands when givin and they will not have any problem with these orders

Which of these manufacturing processes involves products that cannot be broken into discreteunits?
A) job shop
B) batch
C) production line
D) continuous flow.

Answers

The correct answer is D) Continuous flow is the manufacturing process that involves products that cannot be broken into discrete units.

D) Products that cannot be separated into discrete units are manufactured using continuous flow. Continuous flow manufacturing produces items in a continuous, flowing state without pauses. In industries including oil refining, chemical processing, and food and beverage production, liquid or bulk goods are processed using this method. Continuous flow systems have a steady flow of ingredients and a continuous transformation process, making it difficult or impossible to segregate products into discrete components. Job shop, batch, and production line procedures use discrete units and are suited for items that can be identified and separated.

To know more about  Continuous flow

https://brainly.com/question/13322380

#SPJ11

Sam is getting his bachelor's degree. During some of his course work, he honed his research skills and learned to exhibit confidence while presenting to an audience. Which career has Sam most likely been preparing for?

Printing Technology
Telecommunications
Performing Arts
Journalism

Answers

Answer:

Journalism

Explanation:

Answer:

journalism

Explanation:

assume that the risk-free rate is 4.2 percent, and that the market risk premium is 5.9 percent. if a stock has a required rate of return of 14.2 percent, what is its beta?

Answers

The beta of the stock can be calculated as 1.81 given a risk-free rate of 4.2 percent, a market risk premium of 5.9 percent, and a required rate of return of 14.2 percent.

The required rate of return on a stock can be determined using the Capital Asset Pricing Model (CAPM), which is expressed as:

Required Rate of Return = Risk-Free Rate + Beta * Market Risk Premium

Given that the risk-free rate is 4.2 percent and the market risk premium is 5.9 percent, and the required rate of return is 14.2 percent, we can rearrange the formula and solve for beta:

14.2% = 4.2% + Beta * 5.9%

Solving this equation, we find that Beta ≈ 1.81.

Therefore, the beta of the stock is approximately 1.81.

To know more about Capital Asset Pricing Model, click here: brainly.com/question/32625782

#SPJ11

Classify the following items as (a) deferred expense (prepaid expense), (b) deferred revenue (unearned revenue), (c) accrued expense (accrued liability), or (d) accrued revenue (accrued asset).1. Fees earned but not yet received.2. Taxes owed but payable in the following period.3. Salary owed but not yet paid.4. Supplies on hand.5. Fees received but not yet earned.

Answers

The classification of the items is as follows:

1. Fees earned but not yet received: (d) Accrued revenue (accrued asset)
2. Taxes owed but payable in the following period: (c) Accrued expense (accrued liability)
3. Salary owed but not yet paid: (c) Accrued expense (accrued liability)
4. Supplies on hand: (a) Deferred expense (prepaid expense)
5. Fees received but not yet earned: (b) Deferred revenue (unearned revenue)


Deferred expenses or prepaid expenses are expenses that have been paid for in advance but have not yet been incurred.

Deferred revenue or unearned revenue is revenue that has been received but has not yet been earned. Accrued expenses or accrued liabilities are expenses that have been incurred but have not yet been paid.

Accrued revenue or accrued assets are revenues that have been earned but have not yet been received.

To know more about Deferred expenses refer to-

brainly.com/question/13658047#
#SPJ11

What is the most common type of life insurance policy offered by companies ? A. group life insurance B. term life insurance C. whole life insurance D. universal insurance 38

Answers

The most common type of life insurance policy offered by companies is group life insurance. This type of coverage is typically provided as part of an employee benefits package.

Group life insurance is often provided to employees at no cost, or for a nominal fee, and coverage usually persists for the duration of employment. As a collective policy, it's often more affordable for the company compared to individual life insurance policies, making it an attractive part of the benefits package. The convenience of this policy for both employer and employee contributes to its popularity. It's also worth noting that while term, whole, and universal life insurance can all be offered in a group setting, group term life insurance is the most common.

Learn more about group life insurance here:

https://brainly.com/question/32809654

#SPJ11

What is the term for goods that
your business ships to another
country?
A. Subsidiaries
C. Imports
B. Exports
D. Embargos

What is the term for goods thatyour business ships to anothercountry?A. SubsidiariesC. ImportsB. ExportsD.

Answers

The term for goods that your business ships to another country is known as Exports.

Export/ Exporting:

The process by which companies from one country sell their goods and services to companies or consumers in a different country is known as Exporting.The exports, along with imports, make up international trade.They are incredibly important to modern economies as they offer people and firms many more markets for their goods.Exporting into foreign markets can reduce per-unit costs by expanding operations to meet increased demand. Also, the companies that export into foreign markets gain new knowledge and experience that may allow the discovery of new technologies, marketing practices, and insights into foreign competitors.

Suppose that productivity growth in an economy over a two-year period has fallen to less than 2% per year, causing a severe recession. From the neoclassical view, which of the following will be more important in these circumstances?

a. an increase in the annual unemployment rate
b. supply and demand in the labor market
c. the problem of cyclical unemployment
d. the growth rate of long- term productivity

Answers

Answer: d. the growth rate of long- term productivity

Explanation:

From the question, we are informed that that the productivity growth in an economy over a two-year period has fallen to less than 2% per year, causing a severe recession. From the neo-classical view, the important things are

encouraging long-term growth, curtailing inflation.

Therefore, the growth rate of long- term productivity is the correct answer.

Marigold Corp. Had a transaction that caused a $3900 increase in both assets and liabilities. This transaction could have been a(n)

Answers

A company's total assets are equal to the amount of its liabilities plus its shareholders' equity, according to the accounting equation. The double-entry accounting method is thought to have its roots in this simple relationship between assets, liabilities, and equity.

What Is the Accounting Equation?A company's total assets are equal to the amount of its liabilities plus its shareholders' equity, according to the accounting equation.The double-entry accounting method is thought to have its roots in this simple relationship between assets, liabilities, and equity. Balanced balance sheets are maintained using the accounting equation. To put it another way, every entry made on the debit side has an equivalent entry (or coverage) on the credit side.Also known as the balance sheet equation or the basic accounting equation, the accounting equation has many different names.Assets and liabilities are the two major categories on the balance sheet that determine each company's financial status, regardless of how big or small it is. The third section of the balance sheet is owners' or shareholders' equity.

To Learn more About accounting equation Refer TO:

https://brainly.com/question/24401217

#SPJ4

Natalie wants to deposit $2,000 into a savings account at a 1.25 percent interest rate. The interest is compounded every six months. How much interest will she earn over two years?

Answers

Answer:

Natalie will earn $50.31 in interest over two years assuming that the interest is compounded every 6 months.

Explanation:

Natalie will earn $50.31 in interest over two years, assuming that the interest is compounded every six months.

Here's how to calculate it:

- First, we need to figure out how many times the interest will be compounded over two years. Since the interest is compounded every six months, there will be four compounding periods per year, or a total of eight compounding periods over two years.

- Next, we can use the formula A = P(1 + r/n)^(nt) to calculate the amount of money Natalie will have in her account after two years, where:

- A is the amount of money in the account after two years

- P is the principal (the initial amount of money deposited)

- r is the annual interest rate (1.25%)

- n is the number of times the interest is compounded per year (4, since it's compounded every six months)

- t is the number of years (2)

Plugging in these values, we get:

A = 2000(1 + 0.0125/4)^(4*2)

= 2000(1.00625)^8

= 2100.31

- Finally, we can subtract the initial principal from the final amount to find the amount of interest earned:

Interest = A - P

= 2100.31 - 2000

= 100.31

Rounding to the nearest cent, Natalie will earn $50.31 in interest over two years.

Answer:

$4050.16

Explanation:

using the formula 2000(1+.0125/2)^2(2) to represent the 6 month period (A=P(1+r/n)^nt) you get 4050.15625 which rouned to the nearest tenth is 4050.16 to represent the change

Which development with most reflects Karl max is belief in the economic system that he predicted to replace free market

Answers

The development with most reflects Karl max that is belief in the economic system that he predicted to replace free market is option B. Workers share all the profits generated from a factory. Read below about Karl Max's belief in economic system.

What is Karl Max's belief on the economic system?

Marx believed that in a capitalist system, society would inevitably divide themselves into two classes – the business owners and the workers. The workers would produce the material goods and conduct all the labor, while the owners would reap all the financial and social benefits.

Therefore, the correct answer is as given above

learn more about Karl Max: https://brainly.com/question/731472

#SPJ1

The complete question goes thus:

Which development would most reflect Karl Marx's belief in the economic system that he predicted would replace free markets? A. Governments eliminate all taxes on wealthy corporations. B. Workers share all the profits generated from a factory. C. Companies begin to sell their products in overseas markets. D. Businesses refuse to hire workers who demand high wages.

Distinguish between the sources of information about foreign employment and the ways of getting it.​

Answers

Working for a company in another country is referred to as foreign employment, and you usually only work in one country. This wouldn't be your native country .

While the terms "foreign employment" and "international workforce" (people of a different nationality) are sometimes used interchangeably, the term really refers to a multinational corporation expanding outside of its home country and recruiting there.

Employers prefer foreign employment  because they cannot find qualified local employees, necessitating the hiring of foreigners to do the job.

The following are some methods for obtaining information about foreign employment:

Newspapers, notice boards, electronic media (radio, FM, television, etc.), websites, and public programs

Learn more on foreign employment-

https://brainly.in/question/15969075

#SPJ9

What is the straight time pay for each of the following for a 40 hour week

Answers

U forgot to add the picture

2. The owner of a franchise benefits from brand name recognition, access to professional
and nationwide advertising.

Answers

Answer:

True

Explanation:

It is TRUE that the owner of a franchise benefits from brand name recognition, access to professional and nationwide advertising.

This is because the owner of a franchise has various advantages. The advantages include enhanced reputation which covers all the places there is a franchise.

Then there is an increase in management techniques and work practices, including access to national advertising to cover many places and continuous support.

What is the marginal revenue and marginal cost for this diagram?

What type of market is this? Explain your answer

What is the marginal revenue and marginal cost for this diagram?What type of market is this? Explain

Answers

Marginal revenue :

2060120200300420560

Marginal cost :

108210192640

It is a Monopolistic market structure because marginal revenue is greater than the marginal cost.

Marginal Revenue is the increase in the revenue by selling one extra product in the market. It is calculated by the Change in revenue divided by the change in output.

Marginal cost is the change in cost by producing one extra unit of output. It is calculated by a change in cost divided by the change in units.

Monopolistic market structure is where there are multiple companies producing similar products in the market.Example for monopolistic structure can be a grocery store.

For more about Marginal revenue refer to the link:https://brainly.com/question/12231343

One of Josh’s coworkers pokes fun at Josh for his political views. Although Josh tries to ignore the comments, the situation has gotten worse—even becoming obvious to customers. What kind of situation is Josh in?
1.)Conflict

2.)Conflict Resolution

3.)Integrity Test

4.)Ethical Dilemma

Answers

The answer is Conflict as the other be just don’t make any sense.

Read the chart from "Career Planning for High Schoolers. " Two column table from 2014 with general college majors listed. Which major leads to the highest-paying starting salary? education communication engineering business.

Answers

According to the chart from "Career Planning for High Schoolers," the highest paying starting salary is in the field of Engineering.

The top three (3) highest starting salaries according to the chart are:

Engineering Computer Science Business

Out of these three, Engineering is the highest paying with a starting salary of $62,891 which serves as an incentive for the really difficult years of undergraduate study in the field.

In conclusion, engineering is the highest.

Find out more at https://brainly.com/question/12061625.

Read the chart from "Career Planning for High Schoolers. " Two column table from 2014 with general college

Answer:

engineering

Explanation:

Problem 4: Capital Budgeting (30 points) A friend of yours identified a need for a gourmet cookie shop in Arlington and he wants to open one very soon. He is very talented in the kitchen and bakes amazing cookies; but, when it comes to finance, he is not really that bright. He thinks that you will be the icing on the cookie if you join him on this project. He already has spent $15,000 on marketing research to come up with the following projections about the project. The project requires an initial investment of $60,000 for equipment and other related expenses. This initial investment will be depreciated down to a book value of $15,000 over 5 years, after which you will not continue operating the bakery. The average price of a cookie will be $4, and the marketing company estimates that you are going to sell 20,000 cookies for the first year; 25,000 for the second; 40,000 for the third; 50,000 for the fourth, and 60,000 for the last year. The net working capital requirement for each year is estimated to be 5% of the following year's revenues. Each cookie will cost $1 to make, and other fixed costs will run $10,000 per year for each year. The equipment will have a salvage value of $20,000 at the end of the fifth year. In an effort to estimate an appropriate discount rate for this project, you have determined that your operations are going to be similar to Crumble Cookies Inc. After some research you have identified that Crumble Cookies Inc. Has an equity beta of 1. 6 and a debt to value ratio of 40%. You on the other hand would finance the project more conservatively with only 20% debt and expect to be able to raise debt at the risk-free rate. A a) Given that the expected return on the market portfolio is 8%, the risk-free rate is 3%, and the tax rate is 25%, what would be the NPV of this project? (25 points) b) What would the NPV be if you decided to keep operating the bakery after year 5 and kept generating the same cash flow for each year thereafter forever? (Ignore the salvage value in this part) (5 points)

Answers

The NPV of the project, considering a 5-year operation and subsequent cessation, is approximately $19,340.52.

To calculate the NPV, we first determine the cash flows for each year by subtracting the costs from the revenues. Then, we discount each cash flow to its present value using the discount rate. The net working capital requirement for each year is 5% of the following year's revenues.

Using the given information, we find the following cash flows for each year:

Year 1: Revenue = $80,000, Costs = $30,000, Net working capital = $4,000

Year 2: Revenue = $100,000, Costs = $30,000, Net working capital = $5,000

Year 3: Revenue = $160,000, Costs = $30,000, Net working capital = $8,000

Year 4: Revenue = $200,000, Costs = $30,000, Net working capital = $10,000

Year 5: Revenue = $240,000, Costs = $30,000, Net working capital = $12,000

Next, we discount each cash flow to its present value using a discount rate of 8% (given the expected return on the market portfolio). The present values of the cash flows are then summed up, and the initial investment of $60,000 is subtracted to obtain the NPV.

Calculating the NPV using the formula mentioned earlier, we find an NPV of approximately $19,340.52.

Learn more about cash flow analysis here: brainly.com/question/31737269

#SPJ11

(This class is called life management)

A basic decision that you make every day about every day things are known as:

A) Major Decisions
B) Routine Decisions
C) Classic Decisions
D) Life altering decisions

Answers

Answer:

B is answers for the question

Explanation:

please give me brainlest and follow me

DETAILS The Cartesian coordinates of a point are given. (a) (4√3,4) (i) Find polar coordinates (r, 8) of the point, where r>0 and 0 ≤ 0 < 2x. (r, 0) = -C (ii) Find polar coordinates (r, ) of the point, where r <0 and 0 ≤ 0 < 2. (r, 0) = =([ (1, -3) (1) Find polar coordinates (r, 0) of the point, where r> 0 and 0 ≤ 0 < 2. (r, 0) = (ii) Find polar coordinates (r, 0) of the point, where r< 0 and 0 ≤ 0 < 2n. (r, 0) = 3. [-/12 Points] (b) MY NOTES

Answers

Given Cartesian coordinate of point as `(4√3,4)`. To find the polar coordinates of the point, we use the following formulas:   `r= √x^2+y^2, θ = tan⁻¹(y/x)`We have `(x,y) = (4√3,4)`Therefore, `r = √(4√3)^2 + 4^2 = √48+16 = √64 = 8`Note: √(3^2) = 3`tanθ = y/x`    `θ = tan⁻¹(y/x)`    `θ = tan⁻¹(4/4√3)`    `θ = tan⁻¹(1/√3)`    `θ = 30°

`Therefore, polar coordinates are `(r,θ) = (8, 30°)`(a)(i) For `r>0 and 0 ≤ θ < 2π, (r,θ)` is `(8,30°)`.(ii) For `r<0 and 0 ≤ θ < 2π, (r,θ)` is `(-8,30°+π)`(b)Given `(x,y) = (1,-3)`Therefore, `r = √1²+(-3)² = √10`Note: √(3^2) = 3`tanθ = y/x`    `θ = tan⁻¹(y/x)`    `θ = tan⁻¹(-3/1)`    `θ = -71.57°`Therefore, polar coordinates are `(r,θ) = (√10,-71.57°)`(b)(i) For `r>0 and 0 ≤ θ < 2π, (r,θ)` is `(√10,-71.57°)`.(ii) For `r<0 and 0 ≤ θ < 2π, (r,θ)` is `(-√10,-71.57°+π)`Therefore, polar coordinates are`(√10,-71.57°)and(-√10,-108.43°)`.

Know more about Cartesian coordinate here:

https://brainly.com/question/30515867

#SPJ11

The Shirt Works sells a large variety of tee shirts and sweatshirts. Steve Hooper, the owner, is thinking of expanding his sales by hiring high school students, on a commission basis, to sell sweatshirts bearing the name and mascot of the local high school.



These sweatshirts would have to be ordered from the manufacturer six weeks in advance, and they could not be returned because of the unique printing required. The sweatshirts would cost Hooper $16.00 each with a minimum order of 203 sweatshirts. Any additional sweatshirts would have to be ordered in increments of 203.



Since Hooper’s plan would not require any additional facilities, the only costs associated with the project would be the costs of the sweatshirts and the costs of the sales commissions. The selling price of the sweatshirts would be $32.00 each. Hooper would pay the students a commission of $7.00 for each shirt sold.



Required:

1. What level of unit sales and dollar sales is needed to attain a target profit of $7,308?

2. Assume that Hooper places an initial order for 203 sweatshirts. What is his break-even point in unit sales and dollar sales? (Round your intermediate calculations, round "Break-even point in unit sales" up to the nearest whole unit and round "Break-even point in dollar sales" to the nearest whole dollar.)

3. How many sweatshirts would Hooper need to sell to earn a target profit of $8,222? (Round final answer up to the nearest whole unit.)

Answers

1. The unit and dollar sales levels needed to attain a target profit of $7,308 are 812 and $25,984.

2. The break-even point with 203 sweatshirts is $4,669.

3. The unit sales level needed to attain a target profit of $8,222 is 914.

What is the break-even point?

The break-even point represents the required sales units for no profit or loss to be achieved.

At the break-even point, the total revenue equals the total costs (fixed and variable).

Data and Calculations:

Selling price per sweatshirt = $32

Variable cost per unit = $23 ($7 + $16)

Contribution margin per unit = $9 ($32 - $23)

Contribution margin ratio = 0.28125 ($9/$32)

Fixed costs = $0

Target profit = $7,308

1. Sales level to attain a target profit of $7,308 = 812 units ($7,308/$9)

And $25,984 ($7,308/0.28125)

2. Break-even point with 203 sweatshirts = $4,669 ($23 x 203)

3. Target profit = $8,222

Sales level to attain a target profit of $8,222 = 914 units ($8,222/$9)

Learn more about the break-even point at https://brainly.com/question/21137380

#SPJ1

The value of any asset is the present value of the cash flows the asset is expected to provide. The cash flows a business is able to provide to its investors is its free cash flow. This is the reason that fcf is so important in finance. True or false?.

Answers

This is true that The value of any asset is the present value of the cash flows the asset is expected to provide. The cash flows a business is able to provide to its investors is its free cash flow. This is the reason that FCF is so important in finance.

The phrase "cash flow" is typically used to represent payments that are projected to happen in the future, are thus unknown, and so need to be forecast using cash flows; a cash flow in its restricted sense is a payment (in a currency), especially from one central bank account to another; Operating activities, investment activities, and financing activities make up the three categories of cash flows. Cash-related net income activities are included in operating activities.

The quantity of money coming into and going out of your business over a specific time period is known as cash flow. Because it allows you to both satisfy your current financial responsibilities and make plans for the future, cash flow is crucial.

To know more about cash flow refer to:  https://brainly.com/question/15046681

#SPJ4

program alpha and echo were audited as major programs last year with audit findings the threshold to differentiate type a programs from type b programs would be

Answers

Program Alpha and Echo were audited as major programs last year, indicating their significant impact on the organization. The threshold to differentiate Type A programs from Type B programs depends on factors such as financial expenditure and risk assessment.

Last year, programs Alpha and Echo underwent major program audits. As a result of the audit findings, the threshold to differentiate type A programs from type B programs would be established. This means that certain criteria would need to be met in order for a program to be classified as type A or type B. Type A programs may have higher risk or significance, while type B programs may have lower risk or significance. The specific criteria for this differentiation would depend on the organization's policies and procedures.  Generally, Type A programs have larger budgets or are considered high risk, while Type B programs have smaller budgets and lower risk levels. In this case, it seems that both Alpha and Echo surpassed the threshold, qualifying them as Type A programs due to the audit findings.

To learn more about risk assessment, visit:

https://brainly.com/question/28234732

#SPJ11

What are the 3 main characteristics for a market structure?

Answers

The three main characteristics of a market structure are the number and type of firms, the degree of competition and the pricing strategies used by firms.

The number and type of firms present in a market structure determines the degree of competition and pricing strategies adopted by firms. If there are only a few firms in the market, then these firms can set prices at whatever level they choose, with little to no competition.

On the other hand, if there is a large number of firms competing in the same market, then prices tend to be lower and competition is more intense. The type of firm also plays a role in the market structure; for example, if there are many large firms with huge market shares, then those firms have more power to influence prices and impose their own pricing strategies.

The degree of competition is a key factor in determining the market structure. If competition is low, then firms can maintain high prices and earn high profits; alternatively, if competition is high, then firms have to lower prices in order to remain competitive and attract customers.

The degree of competition also affects the pricing strategies adopted by firms; for example, if competition is low, then firms can use a strategy of price skimming, where they set high prices in order to maximize profits, while if competition is high, then firms have to use strategies such as price discrimination and predatory pricing, where prices are set at a lower level to attract customers.

Finally, the pricing strategies used by firms are also a key factor in determining the market structure. Firms use different pricing strategies to maximize profits, such as price skimming, price discrimination, and predatory pricing. Price skimming is the practice of setting high prices initially to generate higher profits, whereas price discrimination is the practice of setting different prices for different customers. Predatory pricing is the practice of setting prices lower than those of competitors in order to drive them out of the market.

Learn more about Price skimming at : https://brainly.com/question/28265861

#SPJ4

Flagler Corporation shows a total of $660,000 in its Common Stock account and $1,600,000 in its Paid-in Capital Excess account. The par value of Flagler's common stock is $8. How many shares of Flagler stock have been issued? A. 117,500. B. 200,000.
C. 82,500. D. It cannot be determined

Answers

Flagler Corporation has a total of $660,000 in its Common Stock account and $1,600,000 in its Paid-in Capital Excess account. The par value of Flagler's common stock is $8. To calculate the number of shares issued, we can use the information provided.



First, we need to determine the total value of the stock issued. This can be found by adding the Common Stock account and the Paid-in Capital Excess account: $660,000 (Common Stock) + $1,600,000 (Paid-in Capital Excess) = $2,260,000. Now, to find the number of shares issued, we need to divide the total value of the stock issued by the par value of the common stock:
$2,260,000 / $8 = 282,500 shares
However, this is not one of the options provided. We can then determine the number of shares in the Common Stock account by dividing the total amount in the account by the par value:
$660,000 / $8 = 82,500 shares
Thus, the correct answer is C. 82,500 shares of Flagler stock have been issued.

learn more about stock here:

https://brainly.com/question/31476517

#SPJ11

Q.2 Two firms produce homogeneous products. The inverse demand function is: p(x 1

,x 2

)=a−x 1

− x 2

, where x 1

is the quantity chosen by firm 1,x 2

the quantity chosen by firm 2 , and a>0. The cost functions are C 1

(x 1

)=x 1
2

and C 2

(x 2

)=x 2
2

. Firm 1 is a Stackelberg leader and firm 2 a Stackelberg follower. Q.2.a Find the subgame-perfect quantities. Q.2.b Calculate each firm's equilibrium profit.
Previous question

Answers

Q.2.a) Find the subgame-perfect quantities: The inverse demand function is given byp(x1,x2)=a−x1−x2where x1 and x2 are the quantities produced by Firm 1 and Firm 2, respectively. Now, the cost functions are as follows:C1(x1)=x12andC2(x2)=x22It is given that Firm 1 is the Stackelberg leader and Firm 2 is the Stackelberg follower. Let q1 be the production quantity chosen by Firm 1 and q2 be the production quantity chosen by Firm 2.

Firm 2's Reaction Function: We start by finding Firm 2's reaction function for this game. Given that Firm 2 is a Stackelberg follower, it will produce the quantity that maximizes its profit, taking Firm 1's production quantity as given.

That is, it will solve the following optimization problem: Maximize π2(x2,q1)= p(x1,q2) * x2 - C2(x2)

Firm 2's profit is a function of the quantity it produces and Firm 1's production quantity. Using the inverse demand function, we can substitute for the price in terms of the quantities produced:x2(a - x1 - x2) - x22 Differentiating w.r.t. x2, and setting the derivative equal to zero, we get:∂π2(x2,q1) / ∂x2= a - 2x2 - x1 = 0 => x2 = (a - x1) / 2The above equation is Firm 2's reaction function.

Firm 1's Optimization Problem: Firm 1 knows that Firm 2 will produce the quantity given by the above reaction function. So it has to maximize its profit by choosing q1, taking q2 to be (a - q1) / 2. The profit function of Firm 1 is given by:π1(q1,q2)=(a - q1 - q2)q1 - q12 Differentiating w.r.t. q1 and setting the derivative equal to zero, we get:∂π1(q1,q2) / ∂q1= a - 2q1 - q2 = 0 => q1 = (a - q2) / 2The above equation is the optimal production quantity for Firm 1, given that it is the Stackelberg leader. Substituting this value of q1 in Firm 2's reaction function, we get: q2 = (a - (a - q2) / 2) / 2=> q2 = (a / 3)The subgame-perfect quantities are q1 = (a - q2) / 2 and q2 = (a / 3)

Q.2.b) Calculate each firm's equilibrium profit: Let's calculate each firm's equilibrium profit at the above subgame-perfect quantities. Firm 1's profit:π1(q1,q2)=(a - q1 - q2)q1 - q12=> π1(a/3, 2a/3) = (a/3) * (2a/3) - (a^2)/9= a2 / 27Firm 2's profit:π2(x2,q1)= p(x1,q2) * x2 - C2(x2)=> π2(a/3, a/3) = (a/3) * (a/3) - (a^2)/9= a2 / 27Hence, each firm's equilibrium profit is a2 / 27.

To know more about equilibrium profit visit :

https://brainly.com/question/3234586

#SPJ11

Other Questions
PLEASE HELP WILL GIVE BRAINLIESTAND 5.0 RATING Keynes believed that business leadersbehaved rather like sheep when they made their business investmentdecisions. What was it that explained such behavior, in hisview? please answer quick I need to get this for my mock test please wright 3-5 sentinces on the reform movement (summary) WILL MARK BRAINLYIST There are 100 students in the freshman class at School. The students were asked whether they liked math or English and whether they Ilked sclence or social studles. Out of the 30 students that like science, 20 also like math. There were 60 students that liked math. Create a frequency table, relative frequency by row, relative frequency by column, and relative frequency by total. Which systems of equations have no solution? 1. If the molarities of the solutions pictured were the same, would they have thesame pH? Justify your answer. Which of the following statements is correct. If there is more than one correct, select only one. O A mechanism is part of a kinematic chain. O A kinematic chain is part of a mechanism. None of the other options. O A machine is part of a mechanism. O A machine is part of a kinematic chain. Discuss the similarities and differences between competitive and noncompetitive enzyme inhibition The third part is about applying all the concepts learned on your personal business idea in the first week.How did MBA foundation change your mindset about your business idea? Did you find the gaps in your idea and plan after 10 weeks? The tone is first person.Note: 50% of the grade is allocated to part this part - applying the concepts on your first personal business idea( In other words, how did MBAF and your research about the emerging technologies help you to modify, polish, and fill the gaps in your personal business .our business idea was angel rental solutions based in Vancouver question 1. transactions (6 points) let schedule s1 has t1, t2 and t3 are transactions t1 t2 t3 read(z) write(y) read(x) commit read(x) write(x) read(z) write(z) commit read(x) write(x) read(y) commit let schedule s2 has t1, t2 and t3 are transactions t1 t2 t3 read(z) write(y) read(x) commit read(x) write(x) read(z) write(z) commit read(x) write(x) read(y) commit 1.1) s1 is a conflict equivalent to s2 or not? and why? (3 points) 1.2) s1 is a view equivalent to s2 or not? and why? (3 points) 3A 15-foot tree casts a shadow 20 feet long at the same time a nearby building casts a shadow4166 feet long. How tall is the building? tudies showing that attractive people are presumed to have other positive traits provide support for:a. BIRGing.b. the averageness effect.c. the halo effect.d. stereotype threat. How has the thoughts of European colonization of Africa changed over the years thhe prim factorization of a number 3 to the power of 2 x 5 to the power of 3 x 7. which statement is true about the factors of the number. What is the volume, in cubic feet, of the tent?5 ft4 ft8 ft6 ft 5a - 25d factor using the GCF What does the 5th and 6th amendment guarantee? Could i please get some help finding the mid point? The higher taxation of labour income with respect to capital gains: Increases inequality because reduces labour supply Decreases inequality because it increases the returns for small investors Increases inequality because it increases r-g Decreases inequality because it decreases r-g