The political pundit is using the national-security argument to argue for the trade restriction on steel rods.(option 5)
What is the national-security argument?The national-security argument is used to defend trade restrictions. It is when a country limits trade or a particular product to protect its national security or military interests.
A government might use this argument to justify trade restrictions that restrict the flow of goods or services across its borders to protect its national security interests. In the given student question, the political pundit is using the national-security argument to argue for the trade restriction on steel rods.
She argues that the government should impose a tariff on steel rods because they are a necessary input into the production of various weapons. She contends that free trade would make the United States overly dependent on foreign countries for the supply of steel rods and thus, in case of war, unable to make enough weapons to defend itself.
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suppose there is a surplus of qualified architects in the united states. over time, we would expect:
Suppose there is a surplus of qualified architects in the United States, over time, we would expect the price of architectural services to decrease.
This is because of the fact that there is a higher supply of the service than the demand, which means that the firms need to lower the prices so that they can still attract customers. There are two primary factors that lead to the increase in the number of qualified architects in the United States.
Increase in the number of architecture schoolsDecrease in the number of job opportunities for architects.Because of these two factors, we can expect that the supply of architectural services will continue to increase.
Therefore, the price of architectural services decreases when there is a surplus of qualified architects.
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aggregate output is the primary measure of the economy's . multiple choice question. total output of goods and services expressed in real terms marginal output of goods and services total output of goods and services adjusted for inflation total output of goods and services
Aggregate production is the sum of all the output that is generated and delivered in the economy throughout a specific time period.
What is the main factor that determines aggregate output?The annual total output of goods and services is the main indicator of the health of the economy. defines total output as the sum of all final commodities and services produced inside a nation's borders over a given time period, usually a year.
What is the main indicator of how the economy is doing?Gross domestic product, or GDP, which represents the total cost of all final goods and services produced in a nation over a given year, is frequently used to estimate the size of a country's overall economy.
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if the nominal exchange rate is 1.3 canadian dollars per us dollar, the canadian cost of the basket is 160,000 canadian dollars and the us cost of the basket is $120,000, find the purchasing power parity.
If the nominal exchange rate is 1.3 Canadian dollars per us dollar, the Canadian cost of the basket is 160,000 Canadian dollars and the us cost of the basket is $120,000, the purchasing power parity will be 1.33.
Purchasing Power Parity (PPP) is an economic concept that measures the relative purchasing power of different currencies by comparing the prices of goods and services in different countries. PPP takes into account the fact that the same item may have a different price in different countries, even when exchanged at the same exchange rate.
The purchasing power parity between the Canadian dollar and the US dollar can be calculated using the nominal exchange rate of 1.3 Canadian dollars per US dollar.
If the Canadian cost of the basket is 160,000 Canadian dollars and the US cost of the basket is $120,000, the purchasing power parity is calculated by dividing the Canadian cost by the US cost:
Purchasing Power Parity = 160,000/120,000 = 1.33
This means that the Canadian dollar is 1.33 times stronger than the US dollar.
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Conflict in the channel can be healthy because ________.A) it can disrupt channel effectivenessB) normal give-and-take simply is normalC) the channel could become passive and non-innovativeD) it can cause harm to channel relationshipsE) the respective rights of the channel partners take priority
Typos or irrelevant parts of the question should be ignored. When answering questions, it is recommended to use the terms included in the question for a more effective response.
As a question answering bot, when answering questions, it is important to always be factually accurate, professional, and friendly. It is also important to be concise and not provide extraneous amounts of detail.
Conflict in the channel can be healthy because the channel could become passive and non-innovative. It is also important to note that normal give-and-take is simply normal, and the respective rights of the channel partners take priority. When channels become too comfortable or overly passive,
They tend to lack innovation and creativity. They may continue to operate in the same way without seeking new and innovative ways to improve the business. This is where conflict can be helpful as it provides an opportunity to think outside the box and identify new and improved ways of doing things.
Conflict in the channel can also help channel partners to identify areas of weakness that they may not have noticed before. When partners are not in agreement, it provides an opportunity to analyze and evaluate the channel's performance,
identify areas of weakness, and make necessary adjustments. Through this process, partners can come up with new and innovative ideas to improve the business's effectiveness and productivity.In conclusion, conflict in the channel can be healthy because it helps to disrupt channel effectiveness, encourage innovation,
Identify areas of weakness, and promote growth. It is important, however, to prioritize the respective rights of the channel partners and to maintain a professional and respectful relationship with each other.
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customer relationship management involves managing all aspects of a customer's relationship with an organization. true false
"Customer relationship management involves managing all aspects of a customer's relationship with an organization" is True as the Customer Relationship Management (CRM) involves managing all aspects of a customer's relationship with an organization.
This includes customer acquisition, customer service, marketing, sales, and retention. By utilizing CRM tools, companies can track customer interactions and responses, segment customers, manage campaigns, and identify potential opportunities.
With CRM, companies can build stronger relationships with their customers and improve their overall customer experience. This helps to foster brand loyalty and leads to increased sales and profits.
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the family restaurant chain had a 12% return on a $60,000 investment in new ovens. the investment resulted in increased sales and an increase in income that was 3% of the increase in sales. the increase in sales was
The family restaurant chain's investment in new ovens resulted in a 12% return, and an increase in sales of $60,000. The increase in income was 3% of the increase in sales, which is $2,016.
The family restaurant chain had an investment of $60,000 in new ovens that resulted in a 12% return. This return is measured by the increase in sales, which is 3% of the increase in sales.
Therefore, the increase in sales is equal to 100% of the initial investment, or $60,000.
To calculate this, we need to first determine the amount of the return on the investment, which is 12%. This means that the increase in sales is equal to 12% of the initial investment, or $7,200.
To calculate the amount of the increase in sales, we need to add this to the initial investment, resulting in a total increase in sales of $67,200.
The increase in income is also determined by the increase in sales. It is 3% of the increase in sales, so it is equal to 3% of $67,200, or $2,016.
This is the increase in income from the family restaurant chain's investment in new ovens.
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If a firm's production function exhibits diminishing marginal product of the variable input in the short run, which of the following about the firm's short-run marginal cost (MC) curve must be true?
A
As output increases, the MC curve slopes upward.
B
As output increases, the MC curve slopes downward and becomes flatter.
C
As output increases, the MC curve slopes downward and becomes steeper.
D
The MC curve is horizontal.
E
The MC curve is vertical.
The correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.
If a firm's production function exhibits diminishing marginal product of the variable input in the short run, the correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.
This is because, with diminishing marginal product, as more variable input is added, the increase in output becomes smaller. Therefore, the cost of producing an additional unit of output increases, leading to an upward-sloping MC curve.
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suppose the current market wage rate (w) is $4. in the short run, a firm's marginal cost at the current output level is $2. what is this firm's marginal product of labor (mpl)?
The marginal product of labor (MPL) represents the additional output that a firm produces when it hires one more unit of labor.
Given that the market wage rate (w) is $4, we can assume that the firm's marginal cost (MC) includes the cost of labor. Therefore, we can rewrite the formula as follows:
MPL = ΔQ / ΔL = ΔP / ΔL / (w)
Since the firm's marginal cost at the current output level is $2, we can assume that the firm's total cost (TC) is equal to the cost of labor (w) plus the cost of other inputs. Therefore, we can rewrite the formula as follows:
MPL = ΔQ / ΔL = ΔP / ΔL / (TC - w)
However, since the firm is operating at its profit-maximizing level of output, we know that its marginal revenue (MR) is equal to its price (P). Therefore, we can rewrite the formula as follows:
MPL = ΔQ / ΔL = (MR - MC) / (TC - w)
Given that the firm's marginal cost is $2, and the market wage rate is $4, we can substitute the values into the formula:
MPL = ΔQ / ΔL = (MR - MC) / (TC - w)
MPL = (4 - 2) / (TC - 4)
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true or false: quantity supplied increases as price decreases, and economic profit is usually higher at lower product prices and output.
The given statement is false. An industry with intense competition and falling costs has an upward-sloping long-term supply curve.
Economic profit is typically larger at lower product prices and output as supply increases as price declines. Productive efficiency describes long-term market circumstances where marginal cost and marginal revenue are equal.
The law of supply is a microeconomic principle that asserts, with all other things being equal, that if the cost of an item or service rises, suppliers will offer more of those goods or services, and vice versa. According to the rule of supply, suppliers will try to maximize their earnings when the price of an item rises by offering more products for sale.
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pacific electronics has a website that sells electronic parts to phone manufacturers. which type of e-commerce website does pacific electronics have?
Pacific Electronics has a B2B (Business-to-Business) e-commerce website. This type of website allows them to sell electronic parts to phone manufacturers.
The type of e-commerce website that Pacific Electronics has is B2B (Business to Business).B2B e-commerce refers to online business conducted between companies, rather than between businesses and customers (B2C).
B2B e-commerce is becoming increasingly popular, and it involves one business selling goods or services to another. Manufacturers, wholesalers, and distributors frequently engage in B2B e-commerce.
A B2B e-commerce site can sell goods or services to another business or facilitate transactions between two businesses by acting as a platform. B2B e-commerce portals, such as Alibaba and Amazon Business, act as intermediaries for buyers and sellers, allowing them to connect and trade with one another.
B2B e-commerce has become more widespread in recent years, with many businesses seeing the benefits of buying and selling online. It allows businesses to reach a larger audience, expand their reach, and access a wider range of goods and services. It also speeds up the purchasing process while saving time and money for both businesses.
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Define business in your own words. What do you believe a business is?
Answer: a person's occupation, or a company
Explanation:
starling wants to retire with $2430000 in his retirement account exactly 40 years from today. he will make annual deposits at the end of each year to fund his retirement account. if he can earn 8 percent per year, how much must he deposit each year? round to the nearest penny.
The $1518750 total annual payment will be made.
What is the projected value of an annuity?The value of a series of recurring payments at a specific future date, assuming a specific rate of return, or discount rate, is the future value of an annuity.
An annuity is calculated using the following formula: Future Value of an Annuity is calculated using the formula C (((1+i)n - 1)/i), where C represents the regular payment, I represents the annual interest rate or discount rate in decimal form, and n represents the number of years or periods. In essence, 1 is multiplied by the interest expressed as a decimal, and then n is added.
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apple's move into the indian iphone market with trade in offers, discounted service agreements and interest free payment plans is an example of
Apple's move into the Indian iPhone market with trade-in offers, discounted service agreements, and interest-free payment plans is an example of market penetration.
Now the Apple has to increase its market share in the region and remain competitive in the local market.
Market penetration is a marketing strategy employed by companies in order to increase the market share of their products or services. It involves introducing a new product or service to the existing customer base and creating more demand in existing markets.
Apple's move into the Indian market is an example of this strategy. Through its trade-in offers, discounted service agreements, and interest-free payment plans, Apple was able to penetrate the Indian market and increase its customer base.
It also allowed Apple to increase its market share in the region and remain competitive in the local market.
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if germany, an advanced economy, has an average real gdp growth rate of 2.5%, how long will it take for germany to double its real gdp?
To estimate the time it takes for Germany's real GDP to double with a growth rate of 2.5%, we can use the Rule of 70. The formula is 70 / growth rate = time (in years).
In this case, 70 / 2.5 = 28 years. So, it will take approximately 28 years for Germany to double its real GDP at a 2.5% growth rate
If Germany, an advanced economy, has an average real GDP growth rate of 2.5%, it will take approximately 28 years to double its real GDP.
What is GDP?
Gross Domestic Product (GDP) is the total amount of goods and services created in a country in a specified time period. GDP is a measure of a country's economic activity, as well as its general well-being. GDP is often used as a metric for comparing economic performance across different countries or over time in a given country. Germany's real GDP growth rate is 2.5%, which means that its GDP will grow by 2.5% per year. The formula for calculating the time it takes for a quantity to double when growing at a constant rate is known as the doubling time. The doubling time formula is as follows: Doubling Time = 70/growth rate Using the above formula, we can calculate that Germany will double its real GDP in approximately 28 years. This is because:70/2.5 = 28Therefore, it will take Germany around 28 years to double its real GDP.
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.
based on the given information, calculate the net cash flow from operating activities using the indirect method. during the previous year, skyrim co. reported a net income of $136,500. its depreciation expense was $38,000 and its accounts payable balance decreased by $29,250.
Based on the given information, the net cash flow from operating activities using the indirect method is $105,750.
The net cash flow can be calculated using the following formula:
Net Cash Flow from Operating Activities using the indirect method= Net Income + Depreciation Expense - Decrease in Accounts Payable Net Income = $136,500
Depreciation Expense = $38,000
Decrease in Accounts Payable = $29,250
Net Cash Flow from Operating Activities using the indirect method= $136,500 + $38,000 - $29,250= $105,750
Therefore, the net cash flow from operating activities using the indirect method is $105,750.
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a corporation must present details about contributed capital in the a.first year of operation. b.management discussion and analysis section. c.notes to the financial statements or parenthetically adjacent to each capital stock account. d.footnotes.
In the first year of operation, a corporation must present details about contributed capital in the Management Discussion and Analysis section, Notes to the Financial Statements, or parenthetically adjacent to each capital stock account. This information may also be provided in the footnotes.
About capital corporation notesThe Management Discussion and Analysis section should include the total contributed capital amount and describe any differences between the contributed capital amount and the amount shown in the financial statements.
The Notes to the Financial Statements should include a description of the contributions made to the corporation, the total contributed capital amount, and any differences between the contributed capital amount and the amount shown in the financial statements.
The contributed capital account should also be broken down into sub-accounts and parenthetically adjacent to each capital stock account, showing the total contributed capital amount, the amount of each type of capital stock, and any differences between the contributed capital amount and the amount shown in the financial statements.
Lastly, footnotes should provide the details of the contributed capital, including the amount of each type of capital stock, the dates of contributions, and any differences between the contributed capital amount and the amount shown in the financial statements.
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lora agrees to make aubrey a quilt out of all of her past t-shirts for $50.00. is that a good according to the ucc?
No, this agreement would not be considered good according to the Uniform Commercial Code (UCC).
The UCC is typically used to govern contracts that involve the sale of goods and services, and the exchange of money. In this case, Lora is not selling anything to Aubrey, so the UCC would not apply.
The Uniform Commercial Code (UCC) is a set of laws that govern commercial transactions in the United States. These laws provide a framework for conducting business transactions and define the rights and obligations of parties involved in these transactions.
In this case, Lora and Aubrey have agreed to make a quilt out of t-shirts for $50.00. According to the UCC, this agreement is a contract and is considered valid as long as both parties agree to the terms and exchange goods or services.
This means that if Lora and Aubrey both agree to the terms of the contract and Lora provides the services of making the quilt while Aubrey pays the $50.00, then the contract is legally binding.
The UCC recognizes contracts that involve the exchange of goods or services, and it provides guidelines for how these contracts should be formed, executed, and enforced.
In this case, the contract involves the exchange of services (Lora making the quilt) and payment (Aubrey paying $50.00), and both parties have agreed to the terms of the contract.
It is important to note that for a contract to be legally binding under the UCC, it must meet certain requirements. These include an offer, acceptance of the offer, consideration (something of value exchanged between the parties), and mutual assent (both parties agree to the terms of the contract).
In this case, Lora has offered to make the quilt for $50.00, Aubrey has accepted the offer and agreed to pay $50.00, and both parties have exchanged something of value (services and payment).
In conclusion, the agreement between Lora and Aubrey for making a quilt out of t-shirts for $50.00 is considered a valid contract under the UCC, as long as both parties agree to the terms and exchange goods or services.
The UCC provides a framework for conducting business transactions and defines the rights and obligations of parties involved in these transactions, ensuring that contracts are legally binding and enforceable.
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true or false: the securities exchange act of 1934 was established to administer the provisions of the 1933 act. it also extended the disclosure principle of the 1933 act by requiring periodic disclosure of relevant financial information by firms with already-issued securities on secondary exchanges.
Answer:
True. The Securities Exchange Act of 1934 was established to administer the provisions of the Securities Act of 1933, and it also extended the disclosure principle of the 1933 Act by requiring periodic disclosure of relevant financial information by firms with already-issued securities on secondary exchanges. The 1934 Act created the Securities and Exchange Commission (SEC) to oversee and regulate the securities industry, and it set forth regulations for securities trading, registration, and reporting requirements.
it is often argued that this policy increases the technological capability of american producers relative to that of foreign firms. true or false: this argument is correct only if the knowledge provided by basic research is excludable.
The statement "it is often argued that this policy increases the technological capability of American producers relative to that of foreign firms." is false because basic research, by its nature, is not excludable.
Basic research is conducted to gain knowledge or understanding without immediately or necessarily having a specific application in view. This research is often widely shared and used by others, making it impossible to exclude anyone from using it. Even if patents are taken out on the discoveries or products that result from basic research, other entities may be able to use the knowledge for their own development. In conclusion, basic research is not excludable and this argument is false.
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the current federal minimum wage is $7.25 per hour and has been since 2009. how much would the minimum wage need to be to constitute a living wage?
The current federal minimum wage is $7.25 per hour and has been since 2009. The minimum wage should be $15 an hour in order to be a living wage. A minimum wage is the lowest hourly rate that employers must pay their employees. It is a way for the government to ensure that employers pay their workers a fair wage.
There are several different minimum wage rates throughout the United States. These rates are determined by federal and state governments, and they vary depending on the location and industry. The federal minimum wage is currently set at $7.25 an hour. However, some states and municipalities have higher minimum wage rates. For example, the minimum wage in California is $13 an hour. In Seattle, the minimum wage is $16.69 an hour.
What is a living wage?
A living wage is the amount of money that a worker must earn in order to afford the basic necessities of life, such as food, housing, and healthcare. It is often higher than the minimum wage because it takes into account the cost of living in a particular area. A living wage varies depending on the location and family size of the worker.
How much would the minimum wage need to be to constitute a living wage?
The minimum wage should be $15 an hour in order to be a living wage. This is based on the concept of a "living wage" as defined by the MIT Living Wage Calculator, which calculates the minimum amount of money a worker needs to earn to cover basic expenses such as food, housing, healthcare, and transportation. The calculator takes into account the cost of living in a particular area and the family size of the worker.
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Answer:
1997
7
Explanation:edge 23
which of the following would exist if the united states, canada, and mexico abolish all tariffs on each other's goods and implement a common tariff on goods imported from other countries? group of answer choices free trade area customs union economic union common market quasi common market
If the United States, Canada, and Mexico abolished all tariffs on each other's goods and implemented a common tariff on goods imported from other countries, the region would become a common market.
A common market is a type of trading arrangement in which member countries eliminate trade barriers, such as tariffs and quotas, and allow the free movement of goods, services, capital, and labor.A common market would allow businesses to trade freely within the region without facing trade barriers, making it easier for companies to do business and increase economic integration.
It would create jobs and enhance the competitiveness of the region's businesses. In a common market, countries do not give up their sovereignty, but they agree to work together on economic matters to improve their economies. The European Union is an example of a common market.
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3. if the balance of nicole gorman, capital had instead increased $115,000 after the closing entries were posted and the withdrawals remained the same, what would have been the amount of net income or net loss?
The amount of net income would have been $130,000. This increase in capital balance would have been due to the increase in net income or the decrease in net loss.
Since the withdrawals remained the same, the change in capital balance can only be attributed to the change in net income or net loss.
Now, the formula for the calculation of the capital balance is as follows:
Closing Capital Balance = Beginning Capital Balance + Net Income/Loss - Withdrawals
Hence, we can write the above formula as follows:
Net Income/Loss = Closing Capital Balance - Beginning Capital Balance + Withdrawals
Now, substituting the given values:
Net Income/Loss = $415,000 - $300,000 + $15,000
Net Income/Loss = $130,000
Thus, the amount of net income would have been $130,000.
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Competitive advantage is gained in the value chain through which of the following types of activities? a. primaryb. establishing
Competitive advantage is gained in the value chain through primary activities. The answer is option a. primary.
What is a value chain?A value chain is a set of activities that firms undertake to create and deliver a product or service that is valuable to the customers. The value chain comprises two main activities: primary activities and support activities. Primary activities are related to the production and delivery of the product, while support activities provide support for primary activities. Primary activities are as follows: Inbound, logistics, Operations, Outbound logistics, Marketing and sales Service. Therefore, competitive advantage is gained in the value chain through primary activities.
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An individual owns a bond at $960 and it's convertible at $40. If he converts the bond at a time when the stock is trading at $42 per share and the bond is trading at $1,040, which of the following is TRUE?
Group of answer choices
a. He receives 24 shares.
b. He receives 26 shares.
c. He realizes a $80 gain on the conversion.
d. He receives 25 shares.
The given statement "An individual owns a bond at $960 and it's convertible at $40. If he converts the bond at a time when the stock is trading at $42 per share and the bond is trading at $1,040", is true. So, the correct option is D.
A convertible bond is a type of bond that can be converted into a predetermined number of shares of the issuing company's common stock. Convertible bonds are hybrid security that is part debt and part equity, and they are generally considered riskier than conventional bonds.
The conversion ratio, which represents the number of common shares that a bond can be converted into, is typically included in the bond agreement. For instance, if the conversion ratio is 25:1, a $1,000 bond can be converted into 25 common shares. At the same time, convertible bonds include a coupon rate that pays interest, which makes them similar to conventional bonds.
Let's get back to the question now. A bond of $960 convertible at $40 means that the investor can convert this bond into 24 shares of stock (960/40 = 24). If the bond is traded at $1040 and the stock is trading at $42 per share, the bond's conversion value is now $1,008. So, the investor can now exchange this bond of $1,008 for 24 shares of stock, giving him $1,008/ $42 per share = 24 shares.
Therefore, he will get 24 shares of stock on converting his bond. This means that the correct option is D. He receives 25 shares.
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extel inc. acquires components to create its computers from an assortment of suppliers. the company then puts them together according to customer specifications to create custom-made computers. this is an example of
Acquiring components to create its computers from an assortment of suppliers and putting them together according to customer specifications to create custom-made computers is an example of vertical integration.
Vertical integration is a type of business strategy where a company purchases suppliers or distributors in order to increase the company's control over its products, production, or distribution. In this case, Extel Inc. acquires components from various suppliers to create custom-made computers.
This strategy enables Extel Inc. to better manage costs, optimize their product designs, and to create unique products that are tailored to customer specifications. It also allows the company to leverage economies of scale, meaning that the larger the order is, the cheaper the cost of production will be.
In addition, vertical integration reduces the company’s reliance on outside sources for components and services, allowing them to have better control over the production process.
Thus, the given question is an example of vertical integration.
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in the nineteenth century, pools, trusts, and mergers were: group of answer choices seen as beneficial by consumers. ways that manufacturers sought to control the marketplace. unheard of. used only rarely.
In the nineteenth century, pools, trusts, and mergers were ways that manufacturers sought to control the marketplace. Option 3 is the correct answer.
A sizable portion of the economy is said to be made up of manufacturers. The history of manufacturing dates back to antiquity. Yet, the traditional maker for many centuries was a single competent craftsman with helpers. Each artist guarded the trade secrets of their craft and exclusively taught apprentices. Manufacture was only possible through manual processes. Option 3 is the correct answer.
Manufacturers development was largely influenced by the Industrial Revolution. One outcome of the Industrial Revolution was the development of new technology (such as steam engines) that made it possible to mechanize manufacturing, which raised the amount of commodities produced. Because of this, manufacturers started using mass manufacturing at the start of the 20th century to create their products. Option 3 is the correct answer.
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what do you think i should do? find the closest financial institution and put your money there. put it under your mattress. financial institutions can be unsafe. use trusted sources to research financial institutions before making a decision.
Option 4 is Correct. Maintain your own records to compare with those of your financial institution, then research financial institutions using reliable sources before making a choice.
Get an alert from your financial institution when your account balance approaches zero dollars. Important Learnings. Savings accounts are a secure location to keep your money because the FDIC for bank accounts and the NCUA for credit union accounts both guarantee all deposits made by customers.
Deposit insurance is also included with certificates of deposit (CDs) issued by banks and credit unions. The most crucial factors to consider when selecting a bank may be interest rates and costs, convenience, and any additional features it may provide, depending on your personal financial goals and style (such as budgeting tools, cash back, competitive mortgage rates).
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Correct Question:
Ask your financial institution to notify you when you are close to $0 in your account. Keep your own records to compare with your financial institution's then what do you think i should do?
1. find the closest financial institution and put your money there.
2. put it under your mattress.
3. financial institutions can be unsafe.
4. use trusted sources to research financial institutions before making a decision.
joachim produces and sells baskets. his marginal cost for one basket is $10, and his average cost is $7. he gains producer surplus every time that he sells a basket at a price: group of answer choices below $10. below $7. above $10. above $7.
The price must be above $7 for him to gain a producer surplus if he gains producer surplus every time that he sells a basket at a price. Thus, option c is correct.
If he sells a basket above his mean cost of $7, then he will have a favorable producer surplus because he is selling the basket above his price of production. The price must be above $7 for him to gain a producer surplus. If he wants to continue his profit in the market he should maintain the surplus in his business.
If he sells a basket below his original cost of $10, then he will get a loss. Therefore, the cost of baskets must be above $10 to gain a producer surplus in the market.
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A firm's dynamic capabilities allow it to respond agilely to market changes, as well as to ______.
A firm's dynamic capabilities allow it to respond agilely to market changes, as well as to create, integrate, and reconfigure internal and external competencies to address rapidly changing environments.
A firm's dynamic capabilities have a huge impact on its response to the constantly evolving market. In the face of fast-changing market situations, dynamic capabilities have become more important. For instance, if a firm is operating in a market that has shifted from high-technology products to low-technology products, dynamic capabilities will allow it to adjust quickly to the new environment. By modifying its current offerings and developing new offerings, the company can capitalize on new opportunities in the low-technology market.
Dynamic capabilities can also help firms avoid market changes that pose a significant risk to their survival. Because they can constantly monitor the market and adapt to new circumstances, companies with dynamic capabilities can rapidly adjust to new conditions and avoid major risks. A company with dynamic capabilities can respond rapidly to market changes, develop new goods and services, enhance existing goods and services, and reconfigure internal and external competencies to meet new challenges. As a result, a company can sustain its competitive advantage and maintain its place in the market.
Learn more about dynamic capabilities here: https://brainly.com/question/30512485
#SPJ11
xavier notices that the marginal utility of working with a tutor seems to fall with each hour the tutor helps him study. if xavier keeps the tutor until his grade actually begins to fall, his marginal utility will be:
Answer:
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