in monopolistic competition, each firm uses the demand curve and the marginal revenue curve to establish output and price. in monopoly, the firm uses the demand curve and the marginal revenue curve to establish output and price. multiple choice question. individual; market market; individual

Answers

Answer 1

Monopolistic competition is a form of imperfect competition in which many producers sell products that are differentiated from one another. The concept of a monopolistic market implies that the firms involved in it have some degree of power to establish the price and output of their product.In monopolistic competition, each firm uses the individual demand curve and the marginal revenue curve to establish output and price.

The demand curve of the individual firm is downward sloping, implying that the higher the price of the product, the lower the quantity demanded. Marginal revenue, on the other hand, is the additional revenue obtained by selling one extra unit of output.

The firm in a monopoly, on the other hand, uses the market demand curve and the marginal revenue curve to determine output and price.The marginal revenue curve, like the demand curve, is downward sloping in a monopoly. An individual firm in monopolistic competition has no influence over the market price because there are numerous producers producing slightly different products.

Know more about monopoly here:

https://brainly.com/question/29765560

#SPJ11


Related Questions

if the reserve requirement is 6 %, how much will your deposit increase the total value of checkable deposits?

Answers

When the Federal Reserve's reserve requirement is 6%, a deposit of $1,000 in checkable deposits would boost the total value of checkable deposits by $16,667 (1/0.06 x $1,000), according to the money multiplier.

The reserve requirement is a portion of a deposit that a bank is not permitted to lend out. The rest of the deposit is lent out by the bank, and those loans result in the creation of new deposits in the economy's banking system. This deposit creation process is governed by the money multiplier, which is the ratio of new deposits to original deposits.The money multiplier is 1 divided by the reserve ratio. As a result, a 6% reserve ratio yields a money multiplier of 1/0.06, or 16.67. This implies that for each $1 deposited, $16.67 in new deposits will be created in the banking system.

For more questions on reserve requirement

https://brainly.com/question/13758092

#SPJ11

when marginal utility is zero, total utility is group of answer choices at its minimum. at its maximum. decreasing. increasing.

Answers

When marginal utility is zero, total utility is at its maximum.

This is because total utility is the sum of all marginal utilities. When marginal utility is zero, no further increase in utility can be gained by consuming more of the good or service.

Therefore, total utility is maximized and cannot increase further.

This concept is based on the law of diminishing marginal utility, which states that as more of a good or service is consumed, the marginal utility of each additional unit decreases.

Therefore, when marginal utility reaches zero, total utility cannot increase anymore and is thus maximized.

To know more about marginal utility click on below link:

https://brainly.com/question/15561406#

#SPJ11

The first __________ steps of the strategic management process describe the planning that must take place.

Answers

The first two steps of the strategic management process describe the planning that must take place.

Strategic management is the comprehensive set of activities and procedures required to handle an organization's strategic direction. It is an ongoing process that assists firms in evaluating and modifying their objectives and plans in response to changes in their internal and external environments.

Strategic management is concerned with defining and achieving an organization's objectives in a continuously evolving environment. A structured and systematic approach is required to accomplish this objective.

In strategic management, planning is an essential aspect. Planning is the first step in the strategic management process, as it lays the groundwork for the remainder of the process. Planning aids in the identification of an organization's objectives, strengths, and limitations, as well as the identification of opportunities and threats that could affect its performance.

As a result, it is necessary to engage in a detailed analysis of an organization's internal and external environments during planning. As a result, the initial two steps of the strategic management process describe the planning that must take place. The subsequent stages include strategy formulation, strategy implementation, and strategy evaluation.

To learn more about Strategic management visit: https://brainly.com/question/24845876

#SPJ11

pretax financial income is shown 36500 the tax rate for 2006 is 35% why isnt tax expense equal to 35% x 36,000?

Answers

Tax expense is not equal to 35% x 36,500 because financial income and taxable income may not be the same due to differences in accounting rules and tax laws.

Tax expense is the amount of taxes that a company must pay based on its taxable income, which is calculated by applying the appropriate tax rate to the taxable income. However, financial income and taxable income may not be the same due to differences in accounting rules and tax laws.

For example, some expenses may be deductible for tax purposes but not for financial reporting purposes, while other expenses may be treated differently for tax and financial reporting purposes. Additionally, there may be differences in the timing of recognizing revenue or expenses for tax and financial reporting purposes.

In this case, the company's financial income is $36,500, but we do not have enough information to determine its taxable income. The tax rate for 2006 is given as 35%, but this is only the rate that would be applied to taxable income, not financial income.

To know more about the Financial income, here

https://brainly.com/question/29016905

#SPJ4

Under the RUPA, a dissociation takes place whenever a partner is no longer associated with the running of the firm. TRUE/FALSE 17

Answers

Under the RUPA (Revised Uniform Partnership Act), a dissociation takes place whenever a partner is no longer associated with the running of the firm. The given statement is true.

What is dissociation?

Dissociation is the term used in partnership law to describe the severance of ties between a partner and a partnership. A dissociation happens when a partner's connection with the partnership comes to an end, either voluntarily or involuntarily, according to the RUPA.

A dissociation can be caused by a variety of factors, including death, expulsion, resignation, bankruptcy, or retirement. Dissociation and partnership The dissociated partner is no longer involved in the partnership's management and business affairs once dissociation has occurred.

The dissociated partner, on the other hand, continues to be responsible for the company's debts incurred before the dissociation. A dissociation can cause significant disruptions to the partnership's financial stability and operations, depending on the terms of the partnership agreement and the reason for the dissociation.

In conclusion, Under the RUPA, a dissociation takes place whenever a partner is no longer associated with the running of the firm. This statement is true.

To know more about Revised Uniform Partnership Act refer here

https://brainly.com/question/18849672#

#SPJ11

a flight from portland, oregon, to spokane, washington, decreased in price from $232 to $198. what is the markdown percent?

Answers

The markdown percent for the flight from Portland, Oregon, to Spokane, Washington, decreased in price from $232 to $198 is 14.6%.

To calculate the markdown percent of a flight from Portland, Oregon, to Spokane, Washington, decreased in price from $232 to $198, follow these steps:

Step 1: Calculate the dollar difference between the two prices.

$232 - $198 = $34

Step 2: Divide the dollar difference by the original price.

$34 / $232 = 0.146

Step 3: Multiply the result by 100 to calculate the markdown percent.

0.146 x 100 = 14.6% markdown

Therefore, the markdown percent for the flight from Portland, Oregon, to Spokane, Washington, decreased in price from $232 to $198 is 14.6%.

To know more about the markdown percent :

https://brainly.com/question/28017140

#SPJ11

all of the following are problems with the agency relationship except select one: a. principals and agents may have divergent goals b. agents cannot act as decision makers c. shareholders lack direct control of large publicly traded companies d. it is difficult for the principal to verify that the agent has behaved appropriately

Answers

Answer:

Explanation:

Durante as aulas, os estudantes da 3ª série deveriam escolher uma entre as três atividades físicas possíveis, sendo elas: natação, futsal e dança. Na turma, 25% escolheram dança, 15% escolheram natação, e os outros 24 estudantes escolheram futsal. Podemos afirmar que, nessa turma, existe um total de:

A) 64 alunos

B) 55 alunos

C) 48 alunos

D) 45 alunos

E) 40 alunos

g if a firm's total debt ratio is greater than 0.5, then: group of answer choices its current liabilities are quite high its debt-equity ratio exceeds 1.0 it has more long-term debt than equity it has too few total assets

Answers

If a firm's total debt ratio is greater than 0.5, then it means that its total liabilities are quite high compared to its total assets.

The total debt or liability here is the obligation that must be paid by the company in cash within a certain period of time. These liabilities are divided into three categories based on the time of repayment, namely long-term liabilities, current liabilities and other liabilities.

The total debt ratio is calculated by dividing total liabilities by total assets. Additionally, if the total debt ratio is greater than 0.5, then it means that the firm's debt-equity ratio exceeds 1.0, as the debt-equity ratio is calculated by dividing total liabilities by total equity. This means that the firm has more long-term debt than equity, and has too few total assets.

Learn more about he total debt ratio: brainly.com/question/27993089

#SPJ11

which fund category must change from modified accrual to accrual basis when preparing government-wide financial statements?

Answers

Governmental is the fund category whose accrual basis must be changed from modified accrual when preparing government-wide financial statements. Thus, Option A is correct.

Governmental funds use modified accrual basis accounting, which records revenue when it is measurable and available and records expenditures when they are incurred.

However, when preparing government-wide financial statements, all funds must be reported on the accrual basis, which records revenue when it is earned and expenses when they are incurred, regardless of when cash is received or paid out.

Proprietary funds already use the accrual basis, and fiduciary funds do not typically have a significant impact on government-wide financial statements.

This question should be provided as:

Which fund category must change from modified accrual to accrual basis when preparing government-wide financial statements?

A) GovernmentalB) ProprietaryC) FiduciaryD) A & B only

Learn more about Governmental funds https://brainly.com/question/16153765

#SPJ11

a new corporate bond is being offered for $930. the bond has a face value of $1,000 and matures in 10 years. the coupon rate is 7% per year, payable annually. what is the company's cost of capital for this bond issue if the bond broker's fee

Answers

Note that the company's cost of capital for this bond issue, taking into account the bond broker's fee, is approximately 7.43%.

What is the explanation for the above response?


To calculate the company's cost of capital for this bond issue, we need to calculate the yield to maturity (YTM) of the bond. The YTM is the rate of return that investors can expect to earn if they buy the bond at its current price and hold it until maturity, assuming all interest payments are reinvested at the same rate.

We can use the present value formula to solve for the YTM:

PV = C/(1+r)^1 + C/(1+r)^2 + ... + C/(1+r)^n + F/(1+r)^n

Where PV is the present value of the bond ($930), C is the annual coupon payment ($70 = $1,000 x 7%), r is the YTM, n is the number of years to maturity (10), and F is the face value of the bond ($1,000).

Plugging in the values, we get:

$930 = $70/(1+r)^1 + $70/(1+r)^2 + ... + $70/(1+r)^10 + $1,000/(1+r)^10

We can solve for r using a financial calculator or spreadsheet software, or by using trial and error to find the rate that makes the left and right sides of the equation equal. Using a financial calculator, we get a YTM of approximately 7.96%.

However, we need to adjust the YTM to account for the bond broker's fee. If the bond broker's fee is a one-time payment of $30, for example, the adjusted price of the bond would be $960 ($930 + $30). Using the same formula with the adjusted price, we get a YTM of approximately 7.43%.

Therefore, the company's cost of capital for this bond issue, taking into account the bond broker's fee, is approximately 7.43%.

Learn more about cost of capital at:

https://brainly.com/question/30045916

#SPJ1

l has a major medical policy with a $500 deductible and 80/20 coinsurance. l is hospitalized and sustains a $2,500 loss. what is the maximum amount that l will have to pay?

Answers

In this case, the most "l" will be responsible for paying is $400. The insurance provider will pay the balance of the loss, or $2,100 ($2,500 - $400).

The insurance provider, which is a contract given to the insured, outlines the terms and conditions under which the insurer would pay the insured, or their chosen beneficiary or assignee, compensation.

The premium is the sum of money that the insurer bills the policyholder for the insurance coverage specified in the insurance policy. In the event that the insured suffers a loss that could be protected by the insurance policy, paying the insured makes a claim to the insurer for handling by a claims adjuster.

Learn more about insurance provider, from :

brainly.com/question/12574380

#SPJ12

factors that limit the range of prices a firm may set are known as pricing . multiple choice question.

Answers

Pricing constraints, also known as pricing limits, are factors that limit the range of prices a firm can set. These constraints can be divided into three categories: market-imposed constraints, internal constraints, and legal constraints.

Market-imposed constraints are factors that are beyond a company’s control, such as the prices of its competitors and the price expectations of the market. For example, if a company’s competitors are all charging the same price, then the company may not be able to charge a higher price.

Internal constraints are those that are within a company’s control, such as the costs of producing its goods or services, its profit goals, and the pricing policies it chooses to adopt. For example, if a company’s costs are high, then it may not be able to charge a low price.

Legal constraints are those that are imposed by government regulations. For example, some industries are subject to price controls, which limit the prices that companies can charge.

In summary, pricing constraints are factors that limit the range of prices a firm may set, such as market-imposed constraints, internal constraints, and legal constraints.

To know more about pricing constraints click on below link :

https://brainly.com/question/14582910

#SPJ11

what pros and cons exist between structuring as either a) a single member llc or b) a multi-member llc that elects to be an s corporation with irs and film financing

Answers

When considering whether to structure as either a single-member LLC or a multi-member LLC that elects to be an S corporation for IRS and film financing, there are several pros and cons to consider.


Pros of structuring as a single-member LLC: 

No requirement for formal organizational meetingsNo requirement to report income to the IRS as separate from the owner   No requirement to file special tax returns


Cons of structuring as a single-member LLC:

Lack of legal protection in the event of a lawsuitLimited access to financing and creditDifficult to bring on additional investors



Pros of structuring as a multi-member LLC that elects to be an S corporation for IRS and film financing:   

Protection from personal liability for the members  Ability to divide profits amongst multiple members Ability to bring on additional investors


Cons of structuring as a multi-member LLC that elects to be an S corporation for IRS and film financing:  

Requirement to file special tax returns  Requirement for formal organizational meetings Requirement to report income to the IRS as separate from the owner

To know more about single-member LLC refer here :

https://brainly.com/question/15733960#

#SPJ11

how can crews be used in the estimation of labor? how does this compare with using individual workers?

Answers

Crews can be used in the estimation of labor in order to determine how many workers are required for a given task, and to ensure that the work is completed efficiently and effectively. This approach is generally more efficient than using individual workers because it allows for better coordination and communication, and can help to avoid errors and delays that may result from working alone.

Additionally, crews are typically able to complete work faster than individual workers because they can divide the labor and work simultaneously on different aspects of a project.

In terms of estimating labor costs, crews can be more cost-effective than using individual workers because they can typically work more efficiently, which means that they can complete more work in less time. This can translate into lower labor costs overall, particularly when large-scale projects are involved. However, the size and composition of the crew will depend on the specific needs of the project, as well as the skills and experience of the individual workers involved.

Ultimately, the use of crews versus individual workers will depend on a number of factors, including the size and complexity of the project, the availability of skilled labor, and the overall cost and timeline of the project.

To learn more about estimation of labor : https://brainly.com/question/26245657

#SPJ11

if you want to pay a set fee to receive unlimited or reduced-fee legal assistance, you should use a:

Answers

If you want to pay a set fee to receive unlimited or reduced-fee legal assistance, you should use a legal retainer.

A legal retainer refers to a fee charged by a lawyer or a law firm to represent a client for a specified period. This fee is paid in advance, which allows the lawyer to provide unlimited or reduced-fee legal assistance to the client. The retainer agreement includes the scope of the legal services to be provided, the fees to be paid, and the duration of the legal representation.

The amount of the legal retainer varies depending on the complexity of the legal case and the location of the law firm. In addition to the retainer fee, the client may still be responsible for other legal costs such as filing fees, expert witness fees, and court fees. However, the retainer fee is credited against these costs. The benefits of a legal retainer are that it provides certainty in the legal fees and budgeting of legal expenses.

A client may also receive priority access to a lawyer's time and expertise. It also allows clients to have a long-term relationship with their lawyer and build trust and familiarity with their legal counsel.In conclusion, if you want to pay a set fee to receive unlimited or reduced-fee legal assistance, you should use a legal retainer.

To know more about legal assistance, refer here:

https://brainly.com/question/2354481#

#SPJ11

what term is used to describe a situation in which a real estate licensee tells a customer an advertised

Answers

In real estate, the term "misrepresentation" is used to describe a situation in which a real estate licensee provides false or misleading information to a customer regarding a property or other real estate transaction. Misrepresentation is a form of fraud and is illegal in most jurisdictions.

The primary intent of a real estate licensee making a misrepresentation is to deceive the customer into making a decision which the licensee believes to be advantageous to them. In some cases, the licensee may simply be careless in providing inaccurate information.

Misrepresentations can take many forms, including inaccurate or incomplete disclosure of material facts, fraudulent claims, or inaccurate or incomplete disclosure of the terms of a transaction. A licensee can also be found guilty of misrepresentation if they fail to disclose material information that is necessary for the customer to make an informed decision.

Misrepresentation may also involve making promises that the licensee knows cannot be kept. If a licensee is found to have committed misrepresentation, the customer can often seek damages from the licensee, including the cost of any repairs that may be necessary as a result of the misrepresentation.

It is important that real estate licensees take care to ensure that all information provided to customers is accurate and complete, and that promises are made with the intent of keeping them.

If a licensee is found guilty of misrepresentation, they may face civil or criminal penalties, including fines, suspension or revocation of their real estate license, or even jail time.

To know more about misrepresentation here

https://brainly.com/question/29663893

#SPJ11

the price elasticity of supply group of answer choices will be positive when supply is elastic and negative when it is inelastic. will be negative when supply is elastic and positive when it is inelastic. will always be positive. will be positive when demand for the good is inelastic. will be positive when demand for the good is elastic.

Answers

The price elasticity of supply will be negative when supply is elastic and positive when it is inelastic (option b).

Price elasticity of supply can be defined as the percentage change in quantity supplied divided by the percentage change in price.

When supply is elastic, a small change in price will result in a relatively larger change in the quantity supplied. This means that the price elasticity of supply will be greater than zero but less than one, and therefore negative.

In this case, the quantity supplied is more sensitive to price changes, and supply is said to be elastic, resulting in a negative price elasticity of supply.

In conclusion, price elasticity of supply measures the sensitivity of supply to changes in price. When supply is elastic, the price elasticity of supply will be negative, and when supply is inelastic, the price elasticity of supply will be positive.

Hence the right choice is (b).

To know more about elasticity here

https://brainly.com/question/28790459

#SPJ4

suppose you were selling an older computer you owned for $200 online and a person you didn't know offered to write you a check for it. what would be the safest thing for you to do?

Answers

If a buyer offered to write you a check instead we must be telling the buyer to cash the check at his bank and bring you cash would be the safest course of action.

Why is accepting checks risky?

Although it is generally secure to pay by check, if we continue to do so, we may be more vulnerable to fraud and theft. Financial experts advise using a credit or debit card in place of cash for this reason.

You had to make purchases from paper catalogues or send in utility payments for a very long time if you wanted to pay with a check. Because of this, your checks contain personal information including your full name, postal address, and phone number.

The fact that checks include your banking routing and account numbers on them otherwise, how would the payment be processed is even more alarming. You could become a target for shady activities with all that information available for anyone to see who handles your bill.

Learn more about check, here:

https://brainly.com/question/2734173

#SPJ6

is a person's confidence and faith in another person's goodwill.multiple choicetrustreputationsocial responsibilitymoral standingemotional value

Answers

A person's confidence in another person's goodwill is known as trust.

Trust is a fundamental human value that is essential for the development of relationships. It is an individual's firm belief in another person's goodwill, ability, or honesty. Trust is based on honesty, openness, and the expectation that the other person will follow through on their promises. Trust is essential in both personal and professional relationships.What is trust?Trust is essential for social interaction, and it is a fundamental human value. A person who trusts others is more likely to make friends and establish healthy relationships.

A person's confidence in another person's goodwill, ability, or honesty is known as trust. Trust is based on honesty, openness, and the expectation that the other person will follow through on their promises.The benefits of trust include the following:It promotes cooperationIt reduces uncertaintyIt fosters teamworkIt lowers costsIt increases productivityIt strengthens relationshipsIt facilitates communicationIt fosters innovationIt increases the likelihood of successful negotiationsIt reduces the need for monitoringIt fosters better problem-solving.

Learn more about person's confidence here:https://brainly.com/question/29407898

#SPJ11

the demand for british pounds is initially at d1. if the u.s. dollar depreciates relative to the pound, where will the demand for pounds be after the depreciation? select the correct curve label.

Answers

The demand for British pounds is initially at D1. If the US dollar depreciates relative to the pound, the demand for pounds will shift to the right. The correct curve label for the new demand curve is D2.

Demand refers to the quantity of goods or services that consumers are willing and able to purchase at a given price level. The quantity demanded is inversely proportional to the price level. Higher prices reduce the quantity demanded, while lower prices increase it.

Demand curves are drawn using price and quantity data, and they have a negative slope because of the inverse relationship between price and quantity. The demand curve shows the relationship between price and quantity demanded.

When demand shifts, it means that the relationship between price and quantity demanded has changed. The demand curve shifts either to the left or right.

When demand shifts to the left, it means that the quantity demanded has decreased for all price levels, and the demand curve will shift to the left. When demand shifts to the right, it means that the quantity demanded has increased for all price levels, and the demand curve will shift to the right.

Therefore, if the US dollar depreciates relative to the pound, the demand for pounds will shift to the right. The correct curve label for the new demand curve is D2.

Learn more about demand curve here: https://brainly.com/question/1139186

#SPJ11

what is the expected percent return and standard deviation for a person who constructs a portfolio by investing $420 in stock 1 and $180 in stock 2? (round your answer for standard deviation to two decimal places.)

Answers

The expected percent return of the portfolio is 8.4%, and the standard deviation is 13.42%.

To answer this question, we need to know the expected percent returns and standard deviations of stock 1 and stock 2, as well as the correlation between the two stocks. Let's assume that we have this information:

Stock 1 has an expected return of 8% and a standard deviation of 12%Stock 2 has an expected return of 12% and a standard deviation of 18%The correlation between the two stocks is 0.6

To calculate the expected percent return and standard deviation of the portfolio, we can use the following formulas:

Expected percent return of portfolio = w1 × r1 + w2 × r2

Standard deviation of portfolio = sqrt(w1^2 × s1^2 + w2^2 × s2^2 + 2 × w1 × w2 × s1 × s2 × p)

Where:

w1 and w2 are the weights of stock 1 and stock 2 in the portfolio, respectively (in this case, w1 = 0.7 and w2 = 0.3)r1 and r2 are the expected percent returns of stock 1 and stock 2, respectivelys1 and s2 are the standard deviations of stock 1 and stock 2, respectivelyp is the correlation between the two stocks

Plugging in the numbers, we get:

Expected percent return of portfolio = 0.7 × 8% + 0.3 × 12% = 8.4%

Standard deviation of portfolio = sqrt((0.7^2 × 12%^2) + (0.3^2 × 18%^2) + (2 × 0.7 × 0.3 × 12% × 18% × 0.6)) = 13.42%

Learn more about standard deviation: https://brainly.com/question/475676

#SPJ11

on february 3, smart company sold merchandise in the amount of $5,800 to kennedy company, with credit terms of 2/10, n/30. the cost of the items sold is $4,000. smart uses the perpetual inventory system and the gross method. kennedy pays the invoice on february 8 and takes the appropriate discount. the journal entry that smart makes on february 8 is:

Answers

The Journal Entry will be:

Debit: Accounts Receivable (Kennedy Company) $5,800
Debit: Cost of Goods Sold 4,000
Credit: Sales 5,800
Credit: Accounts Payable (Kennedy Company) 5,800

When Smart Company sold the merchandise to Kennedy Company, they received the revenue and created an accounts receivable balance, so they debit Accounts Receivable and Credit Sales for $5,800. When Smart Company purchased the items for resale, they created an inventory asset, so they debit Cost of Goods Sold for $4,000.

When Kennedy Company pays for the goods and takes the appropriate discount on February 8, Smart Company receives the payment of $5,652. The journal entry to record this payment is:


Debit: Cash 5,652
Credit: Accounts Receivable (Kennedy Company) 5,800
Credit: Discounts Taken 148

Since Kennedy Company was able to take a discount of 2/10, n/30, they are able to subtract $148 from the invoice, bringing their total payment to $5,652. The journal entry to record this payment is to debit Cash for the amount received and credit Accounts Receivable for the original balance. The discount taken is then credited.

To know more about Journal Entry:

https://brainly.com/question/15889958

#SPJ11

What is entrepreneur. Characteristics of entrepreneur. -5. Function of entrepreneur. -5

Answers

An entrepreneur is a person who starts a new business with the intention of making a profit while taking on financial risk.

An entrepreneur is a person who starts a new business or enterprise with the intention of making a profit while taking on financial risk. Entrepreneurs are frequently thought of as being innovative and creative in their business practices.

Characteristics

Entrepreneurs are prepared to take chances and make choices that may result in loss.Entrepreneurs frequently use creativity and innovation to create new goods or services and discover novel methods of doing things.Entrepreneurship may be tough and needs persistence and fortitude in the face of setbacks and challengesEntrepreneurs have a strong sense of commitment to their companies and their jobs. They have a clear sense of purpose and a burning desire to change the world.Entrepreneurs are dedicated to achieving their goals and have a clear vision of what they want to accomplish.

Functions

Entrepreneurs frequently create new commodities to fill market gaps, fostering innovation and advancement.Entrepreneurs contribute to economic growth and development by creating jobs for themselves and others.Entrepreneurs invest in their businesses and take on financial risk, which stimulates economic growth.Entrepreneurs frequently find new markets and generate demand for their goods or services, which helps the economy expand.Entrepreneurs have the power to build riches for themselves and their stakeholders while also boosting the general economic well-being of their neighborhood or society.

Read more about entrepreneurs on:

https://brainly.com/question/22477690

#SPJ4

mccabe discount store had a profit margin of 1.7% and return on assets of 9.4% in 2022. what was their asset turnover? select answer from the options below 5.53 4.76 1.60 0.18

Answers

The asset turnover is 5.53 (option a).

Return on assets (ROA) is a measure of how efficiently a company uses its assets to generate profit. It is calculated by dividing the net income by the total assets. In this case, the ROA is 9.4%, which means that for every dollar of assets, the company earned 9.4 cents in profit.

To solve for the asset turnover, we can use the following formula:

Asset Turnover = Revenue / Total Assets

We don't have the revenue, but we can use the profit margin to calculate it. Profit margin is calculated as net income divided by revenue. So we can rearrange this formula to solve for revenue:

Revenue = Net Income / Profit Margin

Substituting in the values we have, we get:

Revenue = Net Income / 0.017

Now we can substitute this expression for revenue into the asset turnover formula:

Asset Turnover = Revenue / Total Assets

Asset Turnover = (Net Income / 0.017) / Total Assets

We know that the ROA is 9.4%, so we can express the net income as a percentage of the total assets:

Net Income = ROA x Total Assets

Net Income = 0.094 x Total Assets

Substituting this into the asset turnover formula, we get:

Asset Turnover = (0.094 x Total Assets) / 0.017 x Total Assets

Asset Turnover = 5.53

Therefore, the answer is (a) 5.53.

To know more about assets here

https://brainly.com/question/13848560

#SPJ4

Seasonal fruits and vegetables are shipped from Chile and sold in the United States along with domestically grown produce.a. Trueb. False

Answers

It is true that the seasonal fruits and vegetables are shipped from Chile and sold in the United States along with domestically grown produce.

Seasonal fruits and vegetables are shipped from Chile and sold in the United States along with domestically grown produce is a true statement.

Chile is one of the top exporters of fresh produce such as fruits and vegetables to the United States.

Chile has an agricultural season that differs from that of the United States, which means that they can supply seasonal produce all year round.

In fact, they are the top exporters of fruits like grapes, cherries, and blueberries to the United States.

Chile is able to provide these fruits when the domestic market is unable to do so.

This allows the United States to have access to these fruits throughout the year.

To learn more about economic growth, visit this link:

https://brainly.com/question/1690575

#SPJ11

which of the following is a reason(s) that keeps managers from selfishly diversifying the firm for higher compensation? a. concerns for their reputation and strong managerial talent market b. concerns for their reputation and weak managerial talent market c. fear that the firm would lose value d. to avoid the responsibility of a more highly complex firm

Answers

The correct answer for managers are kept from selfishly diversifying the firm for higher compensation is mainly because of concerns for their reputation and strong managerial talent market.

What is Managerial Talent?

Managerial talent refers to the set of skills that allows people to organize resources and bring out the best in employees to achieve common objectives. It involves a range of activities, including setting goals, delegating tasks, allocating resources, and monitoring performance.

Managerial talent is crucial to a company's success because it allows organizations to streamline their activities, improve efficiency, and deliver better results.

Compensation is the payment given to employees in exchange for their services. There are several forms of compensation, including salaries, wages, benefits, and bonuses. Compensation packages are designed to attract, retain, and motivate employees, as well s to align their interests with those of the company.

The reason that keeps managers from selfishly diversifying the firm for higher compensation is concerns for their reputation and strong managerial talent market.

Managerial talent is scarce and in high demand, making it difficult for firms to attract and retain top talent. Companies that are perceived as overly focused on short-term gains or that fail to provide opportunities for growth and development are likely to face challenges in attracting and retaining top talent.

As a result, managers are often motivated by concerns for their reputation to avoid actions that may harm the firm's long-term prospects or that are inconsistent with its values.

For more information about managerial talent refer here :

https://brainly.com/question/29564277?

#SPJ11

why did hamilton propose creating a permanent national debt by issuing new bonds as old ones were paid off?

Answers

Hamilton proposed creating a permanent national debt by issuing new bonds as old ones were paid off because he believed that it would be beneficial for the US economy.

He believed that the perpetual debt would provide the US with a sound financial base and credit worthiness. Hamilton argued that the US government should take on debt in order to fund public works, such as infrastructure and other investments, and that taking on debt would also help ensure that the federal government would remain independent from the states.

Hamilton also argued that the national debt could be used to reduce the risk of high inflation by providing the US government with a reliable source of money. Finally, Hamilton believed that the permanent debt could help to create a reliable system of taxation that would be beneficial to the US economy in the long term.

To know more about debt click here:

https://brainly.com/question/17286021#

#SPJ11

salamagundi, inc. has the following income statement (in millions): for the year ended december 31, 2019 net sales: $160 cost of goods sold: $100 gross profit: 60 operating expenses: 40 net income: $20 using vertical analysis, what percentage is assigned to net sales?

Answers

Net sales for Salamagundi Inc. is 100%.

Salamagundi Inc. had the following income statement (in millions) for the year ended December 31, 2019:

Net Sales: $160

Cost of Goods Sold: $100

Gross Profit: $60

Operating Expenses: $40

Net Income: $20


To calculate the percentage assigned to net sales, we use vertical analysis. This type of analysis expresses each item of the income statement as a percentage of the total sales. To calculate the percentage assigned to net sales, divide net sales by total sales, which in this case is 100%. Therefore, net sales for Salamagundi Inc. is 100%.

To know more about Net sales:

https://brainly.com/question/30532417

#SPJ11

prepare a revised operating segments note to comply with asc 280. chic does not ahve any unusual or extraordinary items, significantt noncash items other than depreciation and amortization or equity method affiliates

Answers

To comply with ASC 280, Chic should prepare a revised operating segments note. There are no unusual or extraordinary items, significant noncash items other than depreciation and amortization, or equity method affiliates present in Chic.

A segment is part of a company that offers various products or services operates in various geographic regions or serves various consumers. In general, a segment has different income and expenditure data from the rest of the business. Operating segments are used to evaluate a company's performance, assess risk, and allocate resources to specific business activities. In the preparation of the revised operating segments note, Chic should include the following information:

Revenue earned from external consumers and other external entities is disclosed. A company can identify the revenue it receives from external entities and use this data to assess how well its business is doing.Operating income is used to assess a company's performance. Chic should include a table displaying operating income by segment. Intersegment income and expenses are disclosed. This includes transactions between business units that operate in different segments. Expenditures are disclosed. Chic should report all expenditures by segment, including direct and indirect expenses. Externally obtained assets are reported. Chic should report all assets held by each segment that has been obtained from external sources.Other disclosures include a discussion of how the company assesses risk and allocates resources, as well as an analysis of how the company's business units interact with one another.

In conclusion, to comply with ASC 280, Chic should prepare a revised operating segments note. The note should include details on revenue earned from external consumers and other external entities, operating income, intersegment income and expenses, expenditures, externally obtained assets, and other disclosures.

Learn more about Operating Segment Note: https://brainly.com/question/29386947

#SPJ11

a competitive advantage: group of answer choices can be permanent if the firm has successfully implemented the strategic management process. exists when competing firms are unable to find investors. entails reducing investors' risk to near zero. can be identified when competitors are unable to duplicate or find it too costly to try to imitate.

Answers

A competitive advantage entails reducing investors' risk to near zero. (option c).

Here the statement states that a competitive advantage can be identified when competitors are unable to duplicate a strategy or find it too costly to try to imitate. This means that a company has developed a unique strategy or product that is difficult for competitors to replicate, giving it an edge in the marketplace.

To summarize, a competitive advantage is a crucial aspect of business success. It allows a company to outperform its competitors and achieve greater profitability. Achieving a competitive advantage requires careful strategic planning, identifying unique strengths, and developing strategies to leverage those strengths.

So, the correct option is (c).

To know more about competitive here

https://brainly.com/question/13686157

#SPJ4

Other Questions
if the dental director wanted to analyze the data collected from the cpi, which type of descriptive statistics should be used to measure central tendencies? numerade a constant 10-n horizontal force is applied to a 20-kg cart at rest on a level floor. if friction is negligible, what is the speed of the cart when it has been pushed 8.0 m? calculate the total distance that the water tanker has covered in March 2022 what is term god r[and its incarnations] mean in different religions of world, like crhristianity, islam. hinduism. buddhism. judaism. bahavis R. Davis students are going to run in a relay tournament. In the first round 3 students will run a 1/3 mile relay race A sample of oxygen gas occupies 1. 9l at pressure of 1156 torr,what volume will it occupy when the pressure is changed tp912 torrand temparature remains constant? Find the product solution ofDr(r, ) =2ur2+1rur+1r22u2= 0 some surgical procedures involve lowering a patients body temperature during periods when blood flow must be restricted. what effect might this have on enzyme controlled cellular metabolism Victor made 50 ounces of trail mix for a camping trip he pours 12 ounces for one serving how many people can have fully serving? an area that drains to a common waterway is called: a. urban runoff b. deforestation c. watershed d. ozone A gamer is observing her score, y, as she plays a video game. She currently has 3,200 points and is gaining 200 points for every minute, x, she plays.Which of the following equations can be used to describe this linear relationship?A. y = 3,200x 200 B.y = 3,200x + 200C. y = 200x 3,200D. y = 200x + 3,200 an economist studying the market for wild alaskan salmon determines the price elasticity of supply to be 0.43. a. in this case, the price elasticity of supply is said to be what is at least one feature that differentiates a humerus from a femur, at both the proximal and distal ends? an effort by child-welfare authorities to find a long-term living situation that will provide stability and support for a maltreated child is called: permanency planning. foster care. kinship care. adoption. resource-allocation graph if the cost of terminating any of the processes is the same, which process would you recommend we terminate? why? abigail needs to move out of state to take care of her mother. she will need secure remote access to continue working as a cloud engineer. what type of connection does abigail need to securely access the computing resources at her company? Please help :( I don't quite understand... i need help please with the calculus question below 4.07quiz the new frontier simultaneity of events: can you describe how two events may appear simultaneous to one viewer but not to another?