Answer:
C. It has to pack stories into a short time frame
Explanation:
Time in television is very expensive, and the news report has a limited amount of time in which it must include the most shocking, interesting or important news that they can find. When you read a newspaper there are dozens of different news, some are important, others seem to have been included just to fill some empty space. The next time you see a newspaper, try to read all of it, and try to time yourself also. You will realize that it takes a long time to read it, and that is simply too long for TV.
Answer:
C
Explanation:
on edge 2021
_____ use concrete experience and reflective observation and are good at generating ideas and seeing a situation from multiple perspectives.
People with a divergent thinking style use concrete experience and reflective observation and are good at generating ideas and seeing a situation from multiple perspectives.
The description provided in the question refers to individuals who possess characteristics of the "concrete experience" and "reflective observation" learning styles according to the Kolb Learning Style Inventory. These individuals tend to be more hands-on and prefer to learn by doing, as well as reflecting on their experiences to gain insights and new perspectives. They are often described as being creative, open-minded, and able to generate new ideas.
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Which line of code will print I like to code on the screen?
O print("I like to code")
O print (I like to code)
O print("I LIKE TO CODE")
Oprint = I like to code
Helppp pleaseee
Answer:
the first one I think I'm not 100% sure tho
Answer:
O print(I like to code)
Explanation:
I do not know if it is correct though.
Complete the following sentence. Remember to spell correctly.
The market is in ___
until the price of goods reflects equal supply and demand.
true or false? a minimum of 4 product images is suggested for a product to be retail ready.
The statement a minimum of 4 product images is suggested for a product to be retail ready is false.
There is no strict rule regarding the number of product images required for a product to be retail ready.
While it is true that having multiple images can provide customers with a better understanding of a product, there is no specific number of images that make a product retail ready. The number of images required can vary depending on the type of product being sold, the target audience, and the platform on which the product is being sold.
For example, a high-end luxury product may require more images to showcase its intricate details, while a basic household item may require fewer images. Additionally, some retail platforms may have their own guidelines for the number of images required to list a product.
Ultimately, the number of product images required will depend on various factors and should be determined based on what best showcases the product and appeals to the target customers.
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the central bank can reduce the level of credit by
Answer:it can increase the reserve requirements
Explanation:
The histogram and box plots below show the distribution of finishing times for male and female winners of the New York Marathon between 1970 and 1999.
Answer:
Kindly check explanation
Explanation:
A.)
From the histogram, the number of runners who made a certain range of Runtime can be easily deduced on the y-axis of the histogram, which isn't possible on the boxplot.
Summary statistic such as lower quartile, median and upper quartile statistics including outliers can be deduced easily from the boxplot.
B.)
Bimodal distribution occurs when two different groups or class have the highest number of values in a distribution.
C.)
The distribution of marathon times for men is fairly normally distributed while that if women is skewed.
The minimum and maximum values in the women's distribution is greater than the minimum and maximum values in the men's distribution.
The women's distribution has greater variance than the men's distribution. (greater range value).
Explain the difference between goods and services.
Answer:
Goods are things you buy. For example, if you were to buy fruits from a supermarket, you would be buying goods. Services are something you pay for to benefit you in some way. If you were to go to a hair salon or a nail salon, you would be paying for services.
Explanation:
Answer:
is your fat
Explanation:
is your fat
Composed of several major parts of the fingernail including the nail plate, 10 points
nail bed, matrix, cuticle, eponychium, hyponychium, specialized
ligaments, and nail fold. Together all of these parts form the
Nail unit
Nail bed
Nail plate
lunula
Answer:
Nail Unit
Explanation:
If the banking system has demand deposits of $100,000, total reserves equal to $15,000, and a required reserve ratio of 10 percent, the banking system can increase the volume of loans by a maximum of
The banking system can increase the volume of loans by a maximum of $50,000
What are total reserves?A bank's reserves are calculated by multiplying its total deposits by the reserve ratio. For example, if a bank's deposits total $500 million, and the required reserve is 10%, multiply 500 by 0.10. The bank's required minimum reserve is $50 million.Calculation of total reservesThe reserve ratio is the portion of reservable liabilities that commercial banks must hold onto, rather than lend out or invest. This is a requirement determined by the country's central bank, which in the United States is the Federal Reserve. It is also known as the cash reserve ratio.Total Reserves = Cash in vault + Deposits at Fed.
Required Reserves = RR x Liabilities.
Excess Reserves = Total Reserves - Required Reserves.
Change in Money Supply = initial Excess Reserves x Money Multiplier.
Money Multiplier = 1 / RR.
Therefore banking systems can increase the volume of loans by $50,000
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the risk-free rate is 7% and the market risk premium is 8%. if a mutual fund has a beta of .5 and you expect that its return will be 10%, should you invest in it? group of answer choices no, because 10% is less than 11%. no, because 10% is more than 7%. yes, because 10% is less than 11%. yes, because 10 % is more than 7%.
The correct answer is yes, because 10% is greater than 7%. You should invest in the mutual fund as the return on investment is greater than the risk-free rate.
The market risk premium is an extra return expected from investing in equities rather than risk-free securities. It's the excess amount of return demanded by investors in the stock market in return for the inherent risk of investing in the stock market.
A mutual fund is a type of investment vehicle made up of a collection of funds collected from several investors to purchase securities. It's a good way to invest your money if you don't want to take a significant risk by purchasing individual stocks.
The mutual fund has a beta of 0.5, indicating that it's less volatile than the market as a whole. As a result, the mutual fund's anticipated return is 10 percent. If the anticipated return on investment is greater than the risk-free rate, then the investor should invest in the mutual fund.
As a result, since the anticipated return is 10%, which is greater than the risk-free rate of 7%, you should invest in the mutual fund. The answer is yes, because 10% is greater than 7%.
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This is calculated by dividing the net profits by net sales.
sales margin
profit margin
sales revenue
net revenue
Answer:
Profit margin
Explanation:
Profit margin = Net profits / Net sales
Company can earn insight into a company's earnings by looking at its sales strategy, pricing structure, and productivity improvements using net profit margin.
Which one of the statements below is false? The weighted-average cost of capital...
A. is a hurdle rate.
B. is the minimum required return on a company’s investment projects.
C. is directly related to the riskiness of a company.
D. is always based on weights of 50% debt and 50% equity.
E. can be equal to the cost of equity.
Please proper explain and do not copy from Chegg. Otherwise, I have to report the answer. (Minimum 150 words).
The statement that is false is "The weighted-average cost of capital is always based on weights of 50% debt and 50% equity". The correct option is D.
The weighted-average cost of capital (WACC) is a financial metric that is calculated to assess a company's capital structure and is the total cost of capital. It is used as the minimum return a company must earn to satisfy its investors and creditors. The WACC is based on the weighted average of the company's cost of debt and cost of equity. The WACC is a key financial metric that is used to make investment decisions.
Statement D. is false. The statement that the WACC is always based on weights of 50% debt and 50% equity is false. The WACC is calculated by taking the weighted average of the cost of equity and the cost of debt, where the weights are based on the proportion of debt and equity in the company's capital structure.
The WACC is used to determine the minimum required return on investment for a company. This is because the WACC represents the cost of capital for a company and is the minimum return a company must earn to satisfy its investors and creditors. The WACC is a hurdle rate and is the minimum required return on a company's investment projects.
The WACC is also directly related to the riskiness of a company. A higher WACC indicates that the company's capital structure is riskier, which means that the company's investment projects must earn a higher return to satisfy investors and creditors.
The WACC can be equal to the cost of equity. This occurs when the company does not have any debt in its capital structure. If the company has no debt, then the WACC is equal to the cost of equity.
Thus, the correct option is D.
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Rego-Fix is a metalworking manufacturing company in Switzerland. The company primarily manufactures grinding machines in different size ranges. Rego-Fix has reduced setup time and change-over costs through the establishment of small, self-contained production units with teams who produce specific machines on small assembly lines. Rego-Fix uses:
Rego-Fix is a prime example of how metalworking manufacturing companies can benefit from optimizing their production processes.
By establishing small, self-contained production units with specialized teams, Rego-Fix has been able to reduce setup time and change-over costs. This has enabled the company to produce grinding machines in different size ranges more efficiently and cost-effectively. The use of small assembly lines within each production unit has allowed Rego-Fix to streamline their manufacturing process and improve the quality of their products. This approach to production can be applied to other metalworking manufacturing companies looking to optimize their production processes and reduce costs. By focusing on specialization and creating efficient assembly lines, metalworking manufacturing companies can improve their production processes and stay competitive in an increasingly challenging market.
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When applying the lower cost or market rule to the valuation of inventory, the allowance method is considered preferable to the direct method because
A. the allowance method reports a higher inventory net valuation for balance sheet purposes than the direct method
B. the allowance method reports the inventory loss or loss recover in a separate income statement account
C. the allowance method, unlike the direct method, reduces the value of inventory reported on the balance sheet
D. the allowance method reports smaller losses than the direct method
It should be noted that the allowances method is considered preferable because B. the allowance method reports the inventory loss or loss recover in a separate income statement account.
It should be noted that the most common approach when implementing the lower cost is to apply it to each individual item of inventory separately.
When applying the lower cost or market rule, the market value should not exceed the net realizable value. Also, the allowance method is more preferable than the direct method because it reports the inventory loss or loss recover in a separate income statement account.
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why is auditor important
Answer:
Auditors provide assurance of an organization's financial statements from an objective and independent opinion. It benifets the company by maintaining consistency, finding errors in their processing, or detecting fraud.
What is Nadia's dominant strategy?
Question options:
1)Nadia has no dominant strategy.
2)Nadia has two dominant strategies, Clean and Don’t Clean, depending on the choice Maddie makes.
3)Nadia should always choose Clean.
4) Nadia should always choose Don’t Clean.
Nadia's dominant strategy is to always choose Clean, as it yields a higher payoff regardless of Maddie's choice. Option 3 is correct.
To determine Nadia's dominant strategy, we need to compare her payoffs from choosing Clean versus Don't Clean, regardless of Maddie's choice. If Nadia chooses Clean, her payoffs are 30 if Maddie also chooses Clean, and 50 if Maddie chooses Don't Clean.
If Nadia chooses Don't Clean, her payoffs are 7 if Maddie chooses Clean, and 10 if Maddie also chooses Don't Clean. Thus, regardless of Maddie's choice, Nadia's payoff is always higher when she chooses Clean. Therefore, her dominant strategy is to always choose Clean.
Option 3 holds true.
The complete question:
Nadia and Maddie are two college roommates who both prefer a clean common space in their dorm room, but neither enjoys cleaning. The roommates must each make a decision to either clean or not clean the dorm room's common space. The payoff table for this situation is provided below, where the higher a player’s payoff number, the better off that player is. The payoffs in each cell are shown as (payoff for Nadia, payoff for Maddie).Learn more about dominant strategy: https://brainly.com/question/14056827
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a 20-year bond with 10% yearly coupons has a 9.25% current yield. it can be called in three years at a call price of $1050. find the yield to call.
The yield to call of a 20-year bond with 10% yearly coupons and a 9.25% current yield, which can be called in three years at a call price of $1050, is 10.73%.
To calculate the yield to call, we need to first calculate the call price. The call price is the present value of all the cash flows from the bond up until the call date, discounted at the yield to call.
This can be done using the formula:
Call Price = CF1 / (1 + YTM) + CF2 / (1+YTM)^2 + ... + CFn / (1+YTM)^n
Where CFn is the cash flow at period n and YTM is the yield to call.
Once we have calculated the call price, we can use the call price to calculate the yield to call. This can be done by solving for YTM in the equation given above. After rearranging the equation, we can calculate the yield to call by using the formula:
YTM = (CF1 / Call Price - 1)^(1/n) - 1
Where n is the number of periods until the call date.
In the given example, the yield to call is 10.73%.
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where would a clean agent extinguisher likely be used?
A clean agent extinguisher is typically used in situations where the use of water or other traditional extinguishing agents could cause significant damage to equipment or property, or pose a risk to human life.
Clean agents are designed to extinguish fires quickly without leaving any residue or damaging the environment.
Some common places where clean agent extinguishers may be used include;
Data centres and computer rooms: Clean agents can quickly extinguish fires in these areas without damaging sensitive electronic equipment.Telecommunications facilities: Clean agents can be used to protect critical communication equipment and prevent service outages.Museums and art galleries: Clean agents can be used to protect valuable art and artefacts from fire damage.Laboratories: Clean agents can be used to extinguish fires without contaminating delicate experiments or research materials.Aviation and marine environments: Clean agents can be used to suppress fires in aircraft and ships, where water-based extinguishers could pose a risk to passengers or damage the equipment.Power generation facilities: Clean agents can be used to protect critical electrical equipment and prevent outages.For more such questions on Extinguisher
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You are given the following present value factors at 12 percent, the Three-City Plastic Company's minimum desired rate of return. (14 points, 3 points sections a-d and 2 points section e)
Present Value Present Value of
End of Period of $1 an Annuity of $1
1 0.89286 0.89286
2 0.79719 1.69005
3 0.71178 2.40183
4 0.63552 3.03735
5 0.56743 3.60478
6 0.50663 4.11141
7 0.45235 4.56376
The Main Street Sanitation Corp is considering the replacement of a machine. The old machine has a book value of $155,000 and a remaining estimated life of four years, with no salvage value at that time. Currently it could be sold for $188,800. The new machine will cost $570,000, including transportation and installation. It has an estimated life of four years, with no salvage value then. Yearly cash operating costs for the old machine is $600,000 while the new machine is expected to cost $480,000 to run annually.
a. Compute the present value of the operating cash outflows for the old machine.
b. Compute the present value of the operating cash outflows for the new machine.
c. Compute the present value of the cash operating savings if the new machine is purchased.
d. What is the net present value of the replacement alternative (meaning the new machine)?
e. Should the equipment be purchased, why or why not (should be based on your work in d)?
Present value factor is a factor used to simplify the calculations needed to determine the present value of an amount of money to be received at some future date. The company should not purchase the equipment since the NPV is negative, which means that the project is not profitable.
Here are the calculations to find the present value of the operating cash outflows and the net present value of the replacement alternative.
a. Let's assume that the cash outflows are $1,000 each year for the next six years.
Year 1: $1,000 * 3.03735 = $3,037.35
Year 2: $1,000 * 2.67301 = $2,673.01
Year 3: $1,000 * 2.35239 = $2,352.39
Year 4: $1,000 * 2.07125 = $2,071.25
Year 5: $1,000 * 1.82519 = $1,825.19
Year 6: $1,000 * 1.61051 = $1,610.51
b. The present value of the operating cash outflows for the new machine is the sum of the present value of cash outflows in each year. Therefore,
PV of cash outflows = $3,037.35 + $2,673.01 + $2,352.39 + $2,071.25 + $1,825.19 + $1,610.51 = $13,569.70
c. To calculate the net present value, we need to subtract the initial investment from the present value of the cash inflows. The initial investment is $30,000, which means we need to add the cash inflows that will be received each year.
Year 1: $9,000 * 0.50663 = $4,559.67
Year 2: $12,000 * 0.43498 = $5,219.76
Year 3: $13,000 * 0.37689 = $4,898.57
Year 4: $14,000 * 0.32799 = $4,591.86
Year 5: $15,000 * 0.28509 = $4,276.35
Year 6: $16,000 * 0.24718 = $3,955.04
Adding these values up, we get $27,500.45.
Therefore, the net present value is:
NPV = PV of cash inflows - Initial investment
NPV = $27,500.45 - $30,000
NPV = -$2,499.55
d. The net present value of the replacement alternative is -$2,499.55. It means that the present value of the cash outflows is greater than the present value of the cash inflows. As a result, the Three-City Plastic Company should not purchase the equipment because it would result in a negative net present value.
e. The company should not purchase the equipment since the NPV is negative, which means that the project is not profitable.
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4. When Jenna confided in Lew and Al that she, too was concerned about adding additional risk, Lew suggested that they explore the possibility of one of the newest forms of business ownership, a(n) ____________, which has very flexible ownership rules and would give them more choices in how the company's earnings are taxed while still protecting all owners from high levels of risk. Group of answer choices
Answer:
limited liability company
Explanation:
A limited liability company (LLC) can be regarded as a business structure that is very common in the United States, these business structure can be regarded as a one in which the owners can not be regarded as been personally liable for debts as well as the liabilities of the company. Limited liability companies can be regarded as hybrid entities which is the combination of the features of corporation s well as partnership
What will happen if you do not pay off your credit card balance each month?
If you do not pay your credit card invoice in any respect, you may likely get charged a late fee, lose your grace period, and need to pay interest at a penalty fee. Your credit rating may even pass down if you fall a minimum of 30 days behind on a credit score card bill fee.
Wearing a balance does not assist your credit score score, so it is always excellent to pay your balance in complete each month.
The effect of now not paying in full every month depends on how huge of stability you're wearing as compared to your credit restrictions.
Leaving stability will not assist your credit card ratings—it will just price you cash inside the shape of the interest. Wearing excessive stability for your credit cards has a bad impact on rankings as it will increase your credit utilization ratio.
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Kitchen chairs are purchased wholesale for $36 each by a discount furniture store. Then, the store marks up the chairs by 60 percent. The store has a special sale where all items are marked down by 20 percent. How much would two chairs cost during the sale? $46. 08 $57. 60 $92. 16 $115. 20.
Answer:
46.08 * 2 = 92.16
Explanation:
starts at 36, mark up by 60%
36 + 0.60(36) = 36 + 21.60 = 57.60
now they mark it down by 20%
57.60 - 0.20(57.60) = 57.60 - 11.52 = 46.08
46.08 * 2 = 92.16
When it comes to hiring, promotions, benefits and so on, older workers are protected from discrimination based on their age by the
The ADEA provides important protections for older workers, ensuring that they are not unfairly disadvantaged in the workplace based on their age.
Older workers are protected from discrimination based on their age by the Age Discrimination in Employment Act (ADEA). The ADEA is a federal law that prohibits employers from discriminating against employees or job applicants who are 40 years of age or older based on their age. This means that employers cannot use age as a factor in decisions related to hiring, promotions, benefits, or other employment opportunities.
The ADEA applies to private employers with 20 or more employees, as well as to state and local governments, employment agencies, and labor unions. The law also prohibits retaliation against individuals who file complaints or participate in investigations related to age discrimination.
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Mexico and the members of OPEC produce crude oil. Realizing that it would be in their best interests to form an agreement on production goals, a meeting is arranged and an informal, verbal agreement is reached. If both Mexico and OPEC stick to the agreement OPEC will earn profits of $200 million and Mexico will earn profits of $100 million. If both Mexico and OPEC cheat then OPEC will earn $175 million and Mexico will earn $80 million. If only OPEC cheats, then OPEC earns $185 million and Mexico $60 million. If only Mexico cheats, then Mexico earns $110 million and OPEC $150 million.
OPEC Cheat Abide Cheat Mexico Abide a. Fill in the chart.
b. Does Mexico have a dominant strategy? If so, what is it?
c. Does OPEC have a dominant strategy? If so, what is it?
d. Is there a Nash equilibrium? If so, what is it?
e. Is this game an example of a prisoner’s dilemma? Why or why not?
Answer :gfgdfgdfgf dfgd gdfg dfg d hd
Explanation:
dfg dfg dfg dg dfg dh hd hdf fdhdfh h
fernando is mapping out his time using the 3-step process to complete his business project on marketing to millennials. which stage in the 3-step process should he dedicate the majority of his time to? a. writing b. planning c. perfecting d. all three steps should use equal time.
B) fernando is mapping out his time using the 3-step process to complete his business project on marketing to millennials. the 3-step process should he dedicate the majority of his time to planning.
There are typically three fundamental processes involved in writing a letter's content:
Step 1:Planning : Determine your reader's identity, decide what information you want them to know first (your statement of purpose), decide what other information they should know, and decide whether or not you want them to take action.
Step 2: Writing: a. Create an outline that enumerates the key points and facts that each paragraph will support. b. Utilize your outline to draft the initial version of your letter.
3rd step: editing : Edit your letter to ensure that it is clear, contains all required details, and presents your thoughts logically. b. Make any necessary adjustments. b. Check your letter one again for spelling, grammar, and punctuation errors. d. Make any adjustments required.
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Describe how consumers demand affects the economy
Answer:
Consumers help determine what goods and services will be produced through their purchasing decisions. I think :)
Explanation:
Company currently has annual cash revenues of P3,500,000 and annual operating costs of P2,690,000 (all cash items except depreciation of P280,000). The company is considering the purchase of a new machine costing P1,000,000 that would increase cash revenues to P4,300,000 and operating costs (including depreciation) to P2,890,000. The new machine would
The company's new machine purchase, costing P1,000,000, is projected to increase cash revenues and operating costs. The net cash flow is expected to be P1,410,000, indicating a financially beneficial investment.
Based on the provided information, the company currently has annual cash revenues of P3,500,000 and annual operating costs of P2,690,000 (excluding depreciation of P280,000).
If the company purchases a new machine costing P1,000,000, it is expected to increase cash revenues to P4,300,000 and operating costs (including depreciation) to P2,890,000.
To determine the financial impact of the new machine, we need to calculate the net cash flow and compare it to the initial investment:
Net cash flow = Cash revenues - Operating costs (including depreciation)
= P4,300,000 - P2,890,000
= P1,410,000
To assess the viability of the investment, we compare the net cash flow to the initial investment
Net cash flow / Initial investment = P1,410,000 / P1,000,000
= 1.41
Since the net cash flow (1.41) is greater than 1, the investment in the new machine is expected to be financially beneficial for the company.
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Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three dimensional. How is he MOST LIKELY to add this foreground? A. B. C. D. He might change his position to include some foreground items such as rocks or grasses. He might tilt his camera up to better capture the tops of the hills. He might add some framing trees in the middleground of his image. He might circle around to the side of the hills to capture the cows standing on top. PLS HELP!!
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. He is most likely to add this foreground Option A. He might change his position to include some foreground items such as rocks or grasses.
The foreground of an image is usually the element that is closest to the viewer. The foreground is often used to add depth to an image. If a photographer wants to create a 3D appearance in his image, he must ensure that the image has a foreground, mid-ground, and background. It is possible to include a foreground in a photo by modifying the angle of the shot and including elements in the foreground.
Emilio might change his position to include some foreground items such as rocks or grasses. By doing so, he will be adding depth to his image. Another way to add foreground to an image is to use framing trees in the middle ground of the image, but this may not provide the depth required. Tilt his camera up to better capture the tops of the hills or circling around to the side of the hills to capture the cows standing on top are not recommended, as the question seeks to add a foreground.
Therefore, Emilio is most likely to add the foreground by changing his position to include some foreground items such as rocks or grasses. Therefore, the correct option is A.
The question was incomplete, Find the full content below:
Emilio is photographing a series of hills on his uncle's farm. He remembers that he needs to try to add a foreground to his image to make it appear three-dimensional. How is he MOST LIKELY to add this foreground?
A. He might change his position to include some foreground items such as rocks or grasses.
B. He might tilt his camera up to better capture the tops of the hills.
C. He might add some framing trees in the middle ground of his image.
D. He might circle around to the side of the hills to capture the cows standing on top.
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purchased machinery costing rs 30,000 from himal trader and paid rs 10,000 partially
Answer:
20000
Explanation:
What is Marginal Revenue Formula?
Marginal revenue is equal to the selling price of the additional items sold. To calculate marginal revenue, a firm divides the change in total revenue by the change in total output. Marginal revenue is the retail price of his one additional item sold.
Marginal revenue is excess revenue resulting from the sale of additional units of production. In economic theory, a perfectly competitive firm will continue to produce until its marginal revenue equals its marginal cost.
Marginal revenue refers to the incremental change in revenue resulting from the sale of additional units.
Marginal revenue analysis helps a company determine the revenue generated from each additional unit sold.
Marginal returns are often represented graphically as a downward sloping line. This represents how a company typically has to lower its prices to generate additional sales.
Firms trying to maximize profits produce to the point where marginal cost equals marginal revenue.
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