A price floor (maximum price) causes (A) a supply surplus (excess supply) (B) a higher supply curve (C) a demand surplus (excess demand) (D) a lower demand curve

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Answer 1

A price floor (maximum price) causes c) a demand surplus (excess demand).

Price floor is the legal minimum price a seller can sell a product or service. A price floor is set above the market equilibrium price. When a price floor is imposed, it means the market price of a good or service cannot fall below that level. When the price floor is imposed, it is above the market equilibrium price. This is why it causes a shortage of the good or service being sold.

A shortage is the difference between the quantity demanded and the quantity supplied at the given price. A shortage arises when the quantity demanded is greater than the quantity supplied. Therefore, if a price floor is imposed on a good or service, it creates a shortage.The opposite of a shortage is a surplus. A surplus is the difference between the quantity supplied and the quantity demanded at a given price. A surplus arises when the quantity supplied is greater than the quantity demanded. So, when a price floor is imposed, it does not cause a supply surplus (excess supply).

Therefore, the correct answer is c) a demand surplus (excess demand).

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Related Questions

business law: Fiona offers to sell her car for RM50 000 to Simon
She made this offer while they were playing golf on Sunday Fiona
informed him that if he wishes to buy the car, he must let her know
by

Answers

There is no contract between Fiona and Simon because Fiona's offer specified that Simon must let her know by the following Sunday if he wishes to buy the car, but Simon sent a cheque without informing Fiona of his decision within the specified timeframe.

In order for a contract to be formed, there must be an offer, acceptance, consideration, and an intention to create legal relations. Fiona made the offer to sell her car for RM50,000, and Simon's act of sending a cheque for that amount could potentially be seen as an acceptance. However, Fiona's requirement for Simon to inform her by the following Sunday if he wishes to buy the car becomes an essential condition of the offer.

Since Simon sent the cheque on Tuesday without informing Fiona within the specified timeframe, his act does not fulfill the condition set by Fiona. Therefore, there is no valid acceptance, and as a result, no contract is formed between Fiona and Simon.

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Complete question:

business law: Fiona offers to sell her car for RM50 000 to Simon She made this offer while they were playing golf on Sunday Fiona informed him that if he wishes to buy the car, he must let her know by next Sunday. On Tuesday Simor encloses a cheque for the said amount and posts it to Fionas house address and this letter reaches her on I Thursday. Discuss as to whether there is a contract between them

Which of the following is TRUE when the quantity of money increases in the economy?
a)AD curve shifts rightward and aggregate demand increases.
b)AD curve does not shift and there is a movement along the curve.
c)price level will increase and the AD curve does not shift.
d)AD curve shifts leftward and aggregate demand decreases

Answers

The following is true when the quantity of money increases in the economy: the AD curve shifts rightward and aggregate demand increases. Thus, option A is the correct answer.

Aggregate demand is the sum of consumption, investment, government spending, and net export spending. The AD curve shows the relationship between the price level and the real GDP. The AD curve slopes downward because as the price level increases, the quantity of goods and services demanded decreases. The quantity of money is the total amount of money that exists in the economy at any given time. When the quantity of money in the economy increases, the AD curve shifts rightward. This is because an increase in the quantity of money results in lower interest rates. Lower interest rates increase investment and consumption, which increases aggregate demand.

Hence, we can conclude that the AD curve shifts rightward and aggregate demand increases when the quantity of money increases in the economy.

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What are games in sequence? Give explain each sequential type of games with:

a) Game in extensive form

b) Backward induction

c) Equilibrium strategy

d) First mover advantage

e) Uncertain consequences

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"Games in sequence" refers to sequential games where participants take turns acting or making choices in the context of game theory.

a) Game in extensive form: A game in broad structure is a graphical portrayal of a consecutive game that shows the request for moves, the accessible methodologies, and the potential results.

b) Backward induction:  In reverse enlistment is an answer idea utilized in consecutive games to decide the ideal technique for every player.

c) Equilibrium strategy: A balance procedure is a bunch of systems, one for every player, where no player has a motivator to digress from their picked methodology singularly.

d) First mover advantage: First mover advantage alludes to the advantage or benefit that a player acquires by making the main move in a consecutive game.

e) Uncertain consequences: Questionable results in consecutive games allude to circumstances where the results or adjustments related with various techniques are not known with conviction.

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The Western Division of Claremont Company had net operating income of $137,000 and average invested assets of $559,000. Claremont has a required rate of return of 15.00 percent. Western has an opportunity to increase operating income by $43,000 with a $96,000 increase in average invested assets. Compute Western Division's return on investment and residual income currently and if it undertakes the project. (Enter your ROI answers as a percentage rounded to two decimal places, (i.e., 0.1234 should be entered as 12.34%). Round your Residual Income (Loss) answers to the nearest whole dollar.) Current Proposed Project Return on Investment (ROI) % Residual Income (Loss) %

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The current Return on Investment (ROI) and Residual Income (Loss) of Western Division of Claremont Company are 24.50% and $49,350 respectively. The new Return on Investment (ROI) and Residual Income (Loss) if Western Division undertakes the project are 27.47% and $77,250 respectively.

Here are the calculations for the current Return on Investment (ROI) and Residual Income (Loss) of Western Division of Claremont Company:

Return on Investment (ROI) = Net Operating Income / Average Invested Assets* 100

Current ROI = $137,000 / $559,000 * 100= 24.50%

Residual Income (Loss) = Net Operating Income - (Required Rate of Return * Average Invested Assets)

Current Residual Income (Loss) = $137,000 - (15.00% * $559,000)= $49,350

Now, let's calculate the Return on Investment (ROI) and Residual Income (Loss) if Western Division undertakes the project:

New Net Operating Income = $137,000 + $43,000 = $180,000

New Average Invested Assets = $559,000 + $96,000 = $655,000

New ROI = New Net Operating Income / New Average Invested Assets * 100= $180,000 / $655,000 * 100= 27.47%

New Residual Income (Loss) = New Net Operating Income - (Required Rate of Return * New Average Invested Assets)= $180,000 - (15.00% * $655,000)= $77,250

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Conservatively leveraged Firm A and highly leveraged Firm B operate at the same level of earnings before interest and taxes. Which firm has a higher change in volume?
A. Firm A
B. Firm B
C. The change in volume does not affect the amount of leverage.
D. There is not enough information to answer the question.

Answers

The change in volume does not affect the amount of leverage firm has a higher change in volume. The answer is OPTION C.

Due to the high percentage of fixed expenses in an organisation with strong operating leverage, a significant rise in sales may result in outsized increases in profitability. companies in emerging sectors with strong growth prospects.

Businesses operating in predictable, stable sectors with steady financial flows. technology firms. businesses that are not very profitable. Because expenses are spent regardless of sales levels, a firm will struggle to handle short-term revenue fluctuations if fixed costs are significant. This raises risk and frequently results in a lack of flexibility, which is bad for business.

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To save money for a new house, you want to begin contributing money to a savings account. Your plan is to make equal contributions to the account for eight years. Each contribution will be R18 490,00.

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You will be contributing a total amount of R147,920.00 over eight years to the savings account.

Thus, you will contribute a total amount of R147,920.00 over the eight years. Therefore, you will need to save and contribute this total amount of money in order to buy the new house you have your eyes set on.What you need to do is divide the total amount of R147,920.00 by eight years. This will give you the amount you need to save each year which comes to R18,490.00. Thus, making equal contributions of R18 490.00 to the account for eight years will help you to save enough money to buy a new house that you desire.

A basic financial product called a savings account lets you put money in and typically earns a small amount of interest.

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NPV for Machine A & B please!
Tim Smunt has been asked to evaluate two machines. After some investigation, he determines that they have the costs shown in the following table: Machine A Machine B $15,000 $24,000 $2,200 $4,800 Orig

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To find the Net Present Value (NPV) of Machines A and B, we need to use the following formula:NPV = -Initial investment + Present value of cash inflows.

Machine A has an initial investment of $15,000 and annual cash inflows of $2,200 for three years. The cost of capital is 8%.We need to first calculate the present value factor for 3 years at 8%. Present value factor for 3 years at 8% = 1 / (1 + 8%)^3 = 0.7938.Now we can calculate the present value of cash inflows for Machine A:Present value of cash inflows = $2,200 x 0.7938 + $2,200 x 0.6289 + $2,200 x 0.4972 = $5,529.20NPV of Machine A = -$15,000 + $5,529.20 = -$9,470.80Machine B has an initial investment of $24,000 and annual cash inflows of $4,800 for five years. The cost of capital is 9%.We need to first calculate the present value factor for 5 years at 9%. Present value factor for 5 years at 9% = 1 / (1 + 9%)^5 = 0.6499.Now we can calculate the present value of cash inflows for Machine B:Present value of cash inflows = $4,800 x 0.6499 + $4,800 x 0.5933 + $4,800 x 0.5430 + $4,800 x 0.4972 + $4,800 x 0.4545 = $18,918.18NPV of Machine B = -$24,000 + $18,918.18 = -$5,081.82. NPV stands for Net Present Value which is used to measure the profitability of an investment. If the NPV is positive then the investment is profitable and if the NPV is negative then the investment is not profitable.The above question requires the calculation of the NPV for two machines i.e. Machine A and Machine B.The solution has been explained using the formula for NPV and all the calculations have been carried out systematically.

Both the machines have different initial investments and cash inflows which is why their NPV values are different as well. NPV of Machine A is -$9,470.80 and NPV of Machine B is -$5,081.82. Both the values are negative which means that both the machines are not profitable in the long run. They will cause losses to the company.The final answer should be written in a proper format and include all the necessary steps.

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Zappos and Amazon focus on customer service. What purpose does this serve in terms of attaining behavioral control?
a. It uses culture to sustain their primary source of competitive advantage.
b. It uses rewards and incentives to sustain corporate culture.
c. It gives management more control over employees.
d. It demonstrates to employees the importance of articulating explicit goals and objectives.

Answers

Option a is correct. It uses culture to sustain their primary source of competitive advantage.

The purpose of focusing on customer service, as demonstrated by companies like Zappos and Amazon, in terms of attaining behavioral control is to use culture to sustain their primary source of competitive advantage.

Customer service is a critical aspect of these companies' strategies because it helps build strong relationships with customers and creates a positive reputation in the market. By prioritizing customer service, they aim to provide exceptional experiences and exceed customer expectations, ultimately leading to customer loyalty and repeat business.

To achieve behavioral control, organizations often develop a strong culture that aligns employees' attitudes and behaviors with the company's values and goals. By fostering a customer-centric culture, Zappos and Amazon emphasize the importance of delivering excellent customer service to their employees. This cultural emphasis encourages employees to consistently provide high-quality service and take ownership of customer satisfaction.

By sustaining this customer service-focused culture, these companies can differentiate themselves from competitors and maintain a competitive advantage in the market. The culture acts as a behavioral control mechanism by influencing employees' actions and decisions, ensuring they prioritize customer needs and consistently deliver exceptional service.

In conclusion, the purpose of focusing on customer service, as part of attaining behavioral control, is to use culture as a means to sustain their primary source of competitive advantage. By emphasizing customer service in their culture, Zappos and Amazon can align employee behavior with the goal of providing exceptional experiences to customers, thereby strengthening their position in the market.

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The price level in the general is more flexible downward than upward. OA) true B) false

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The statement "The price level in general is more flexible downward than upward" is true.

The price level is defined as the average level of prices for goods and services in an economy. The price level is an essential aspect of the economy and reflects the overall state of the economy. The price level is more flexible downwards than upwards, as producers will adjust the prices of goods and services downwards more easily than upwards.When the price level falls, the firms producing goods and services will adjust their prices to meet the new price level. A lower price level leads to an increase in aggregate demand, which in turn leads to an increase in production. Conversely, when the price level rises, firms find it more challenging to adjust their prices, and this results in a decrease in aggregate demand. This leads to a decrease in production and a contraction of the economy as a whole.

Therefore, the price level in general is more flexible downward than upward.

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TRUE / FALSE. The party with the most bargaining power drafts the contract, whereas the ultimate power, for there to be an agreement, rests with the offeree.

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Due to the offeree has the power to accept or reject the offer while the offeror has the power to draft the contract, the statement is false.

The party that drafts a contract is the offeror, and they are responsible for creating the contract's terms and conditions. In most situations, the party with the most bargaining power is the offeror, which allows them to dictate the contract's terms.

However, for a contract to be considered legally binding, the offeree must agree to the offer's terms. The offeree has the power to accept or reject the offer, which means that they have the ultimate power to decide whether or not the agreement will proceed.

In conclusion, while the offeror typically has the most bargaining power, it is ultimately the offeree who holds the power to accept or reject the offer, and the offeror has the power to draft the contract.

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At the end of the current year, the accounts receivable account has a debit balance of $4,500,000 and sales for the year total $81,500,000. Using this information, complete # 4 and # 5 below. 4. The a

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The accounts receivable turnover is _18.11_ times.  5. The average collection period is _20.15_ days.Main answer:Accounts receivable turnover:Accounts receivable turnover is the number of times a business collects its average accounts receivable per year.

The formula for accounts receivable turnover is the net credit sales divided by the average accounts receivable balance.The accounts receivable turnover is calculated by dividing net credit sales by the average accounts receivable balance for the period. The formula for accounts receivable turnover is: Accounts Receivable Turnover = Net Credit Sales / Average Accounts ReceivableThe accounts receivable turnover for this company is 18.11 times, according to the provided information. This indicates that the company receives its average accounts receivable balance 18.11 times per year on average. This is determined using the following calculation:Accounts Receivable Turnover = Net Credit Sales / Average Accounts ReceivableAccounts Receivable Turnover = $81,500,000 / $4,500,000Accounts Receivable Turnover = 18.11Average collection period:The average collection period is the amount of time it takes a company to collect its accounts receivable. This is calculated by multiplying the accounts receivable turnover by the number of days in the year (365) to determine the average number of days it takes a company to collect its accounts receivable.The average collection period is 20.15 days, according to the provided information. This indicates that it takes the company an average of 20.15 days to collect its accounts receivable. This is determined using the following calculation:Average Collection Period = 365 / Accounts Receivable TurnoverAverage Collection Period = 365 / 18.11Average Collection Period = 20.15

Based on the given data, the accounts receivable turnover and average collection period were calculated. The accounts receivable turnover ratio of 18.11 times indicates that the company collects its average accounts receivable balance 18.11 times per year on average. The average collection period of 20.15 days indicates that the company takes an average of 20.15 days to collect its accounts receivable.

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Question 2 (Accounting and Ethics) (15 marks)
Marang Letsatsi is the MD and main shareholder of Marang ‘s Bar & Grill. To expand, the business
is applying for a R250 000 bank loan. To get the loan, Marang is considering two options for
beefing up the owners’ equity of the business:
Option1: Issue R100 000 of ordinary shares for cash. A friend has been wanting to invest in the
company. This may be the right time to extend the offer
Option 2: Transfer R100 000 of Marang ‘s personal land to the business. and issue ordinary
shares to Marang. Then after obtaining the loan Marang can transfer the land back to himself and
zero out the ordinary shares
Required
Use the ethical decision-making model to answer the following questions:
1. What is the ethical issue (1)
2. Who are the stakeholders? (4) what are the possible consequences to each? (2)
3. Analyze the alternatives from the following standpoints a) economic, b) legal, and c) ethical
(6)
4. What would you do? How would you justify your decision? How would your decision make you feel afterwards?

Answers

1. The ethical issue in this scenario is the choice between issuing ordinary shares for cash or transferring personal land to the business to enhance owners' equity.

2. The stakeholders in this scenario are Marang Letsatsi, the friend interested in investing, Marang's Bar & Grill, and potential lenders, each facing different consequences based on the chosen option.

3. The two alternatives, Option 1 and Option 2, can be analyzed from economic, legal, and ethical standpoints.

4.  I would choose Option 1 and issue ordinary shares for cash to maintain fairness, transparency, and accountability, ensuring trust and integrity in the business.

How can the ethical decision-making model guide Marang's choice?

Marang faces an ethical issue regarding the two options to increase the owners' equity. The stakeholders include Marang, the friend investing in the company, the business itself, and potential lenders. Each option has potential consequences for these stakeholders, such as financial gains or losses, legal implications, and ethical considerations.

From an economic standpoint, Option 1 brings in cash through issuing shares, potentially benefiting the business's financial position. Option 2 involves transferring personal land, which may impact Marang's personal assets and potentially affect the business's long-term stability. Legally, both options should comply with relevant regulations and contracts.

Ethically, Marang must consider fairness, transparency, and honesty towards all stakeholders. Option 1 allows for a clear and transparent investment process, while Option 2 raises ethical concerns about temporarily inflating the equity to secure a loan.

In making a decision, it is important to prioritize ethical principles and consider the long-term consequences for all stakeholders. Choosing Option 1 may provide a more transparent and ethical path for the business's expansion, maintaining integrity and fairness. This decision would likely generate a sense of ethical responsibility and satisfaction in upholding ethical standards.

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Question 54 Jim, a sole trader, has two items of trading stock on hand at the end of the income year - Item A and Item B. The items have the following values under the three alternative valuation meth

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In the field of accounting, there are different ways that businesses can choose to value their trading stocks at the end of the year. Three of the most common methods are First-In-First-Out (FIFO), Last-In-First-Out (LIFO), and Weighted Average Cost (WAC).

Jim, a sole trader, has two items of trading stock on hand at the end of the income year - Item A and Item B. The items have the following values under the three alternative valuation methods:FIFO:LIFO:WAC:Jim needs to choose which method he will use to value his trading stock at the end of the year.

He will need to take into account various factors such as the nature of his business and the specific characteristics of his trading stock.Each of the three valuation methods has its own advantages and disadvantages. For example, the FIFO method tends to produce higher profits and lower taxes in a period of rising prices, while the LIFO method does the opposite.

The WAC method produces results somewhere in between the FIFO and LIFO methods, but it can be more complex to calculate.In conclusion, choosing the right method to value trading stock is an important decision for any business. Jim will need to carefully consider his options and weigh up the pros and cons of each method before making a decision.

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need help
23 02:22:13 Skipped eBook Mc Graw Hill FI Demand is generally Multiple Choice O relatively more elastic in the long run than in the short run. relatively more elastic in the short run than in the long

Answers

Demand is generally relatively more elastic in the long run than in the short run.

In the short run, consumers may have limited options and time to adjust their consumption patterns in response to changes in price. They may be more constrained by their current income levels, habits, and immediate needs. Therefore, the demand for a product tends to be less responsive to price changes in the short run, resulting in relatively inelastic demand.

In the long run, consumers have more flexibility to make adjustments to their consumption patterns. They can explore alternatives, change their preferences, and adjust their spending habits. Additionally, in the long run, consumers may have the opportunity to increase their income, which can further influence their demand for goods and services. As a result, the demand for a product becomes relatively more elastic in the long run, meaning that consumers are more responsive to changes in price.

Overall, the elasticity of demand depends on the time horizon considered. In the short run, demand tends to be relatively inelastic, while in the long run, it becomes relatively more elastic as consumers have more flexibility and options to adjust their behavior.

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a few major airlines account for the vast majority of air travel. consumers view all airlines as providing basically the same service and will shop around for the lowest price

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No, this scenario does not describe a competitive market. In a competitive market, there are numerous sellers and buyers, none of which have significant control over the market price.

However, in the given scenario, it is mentioned that a few major airlines account for the vast majority of air travel. This indicates that there is a concentration of market power among a few dominant airlines, which reduces competition.

Additionally, consumers viewing all airlines as providing basically the same service and shopping around for the lowest price suggests that the airlines are considered substitutes, but it does not necessarily indicate a competitive market. In a competitive market, there would be a larger number of airlines with relatively equal market shares, providing consumers with more choices and fostering greater price competition.

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Complete question is:

Identify whether or not each of the following scenario describes a competitive market, along with the correct explanation of why or why not.

1. a few major airlines account for the vast majority of air travel. consumers view all airlines as providing basically the same service and will shop around for the lowest price

Interest expense increases each period because the carrying value of the debt issued at a discount increases over time
True
False

Answers

The given assertion "Interest expense builds every period in light of the fact that the conveying worth of the obligation gave at a rebate increment after some time is True  because when debt is given at a markdown, the conveying worth of the obligation expands every period as the rebate is amortized.

As the conveying esteem increments, so does how much interest cost is recorded every period. This is because the premium cost is determined as a level of the conveying worth of the debt.

Consequently, interest cost builds every period as the conveying worth of the obligation given at a markdown increments after some time. This is because the markdown is step-by-step amortized, bringing about a higher conveying esteem and thusly a higher interest cost.

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you are concerned with unrecorded transactions in the purchasing cycle. which audit procedure are you most likely to use when auditing purchases

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When auditing purchases, the audit procedure which is most likely to be used when an auditor is concerned with unrecorded transactions in the purchasing cycle is to observe receiving operations.

In an audit of purchasing transactions, unrecorded purchases are detected through the auditor's assessment of the entity's controls over receiving and recording of inventory. The auditor will pay particular attention to the possibility of purchases being recorded on the correct date. The audit procedure which is most likely to be used when an auditor is concerned with unrecorded transactions in the purchasing cycle is to observe receiving operations.

Here is a brief explanation of the audit procedure of observing receiving operations:

Observing Receiving Operations: Observing receiving operations is the procedure in which the auditor examines whether the goods have been received and checked by the client and whether the receipt is correctly recorded. This approach involves physically observing the goods being received and recording the related documentation.This procedure is particularly useful for detecting unrecorded purchases. If a purchase is made without any record of it, the auditor would be able to detect it through observing receiving operations.

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MilkWA (pvt) Ltd is a company operated in Fiji, processing 1000 liters of fresh milk per month and market them around Fiji island in 1L packet form. Fresh milk is collected from various small scale farms and from their own small farm operated in Rikiriki area. The market share of MilkWA for fresh milk is only 13% and market competition is significantly high due to many fresh milk products and related dairy products imported from overseas.
Answer the following questions (one mark for each answer):
1. What business strategy is most suitable for MilkWA (pvt) Ltd? Why?
2. Can MilkWA (pvt) Ltd go for vertical integration? How? Explain.
3. How you can minimize disadvantages when go for vertical integration?
4. What is your opinion about products diversification?
5. What are the parameters that you will consider to analyse the competitive advantage for diversified products?

Answers

The most suitable business strategy for Milk WA (pvt) Ltd is a differentiation strategy. The reason why the differentiation strategy is the most suitable for Milk WA is that it will help them to increase their market share through product differentiation.

By producing milk that has unique features that are different from their competitors, Milk WA can position itself as a premium brand and charge a higher price for its products. This will help them to increase their revenue and profitability. Milk WA (pvt) Ltd can go for vertical integration by acquiring their own dairy farms where they can produce their own milk and also manufacture their own dairy products. By owning their own dairy farms, MilkWA can ensure a steady supply of milk and also have control over the quality of the milk. They can also vertically integrate by acquiring their own distribution channels and retail outlets, which will help them to reduce their dependence on third-party distributors and retailers.

To minimize disadvantages when going for vertical integration, Milk WA (pvt) Ltd needs to conduct a thorough analysis of the costs and benefits of vertical integration. They need to identify the risks associated with vertical integration, such as the cost of acquiring new assets, the cost of managing these assets, and the risk of overestimating the benefits of vertical integration. They also need to have a clear plan for how they will manage the new assets and ensure that they are integrated seamlessly into the existing business. Product diversification is a good strategy for Milk WA (pvt) Ltd as it will help them to reduce their dependence on a single product and also increase their revenue. By diversifying their product range, Milk WA can cater to a wider range of customers and also reduce their exposure to market risks  The parameters that can be considered to analyze the competitive advantage for diversified products are By analyzing these parameters, Milk WA (pvt) Ltd can identify the strengths and weaknesses of their diversified product range and develop a strategy to maximize their competitive advantage.

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In 2021, Johnny-Lu had the following transactions: Salary $92,000 Short-term capital gain from a stock investment 6,000 Moving expense to change jobs (11,000) Receipt of repayment of $20,000 loan she made to her sister in 2015 (includes no interest) 20,000 State income taxes (5,000) ​

Johnny-Lu’s AGI is: a. $103,000. b. $98,000. c. $94,000. d. $83,000.

Answers

To calculate Johnny-Lu's Adjusted Gross Income (AGI), we need to consider the income and deductions she had in 2021.

Her income sources include her salary of $92,000 and a short-term capital gain from a stock investment of $6,000. These two amounts contribute to her total income.

Next, we need to consider her deductions. Johnny-Lu incurred moving expenses of $11,000 to change jobs, and these expenses are deductible. Additionally, she received a repayment of a $20,000 loan she made to her sister in 2015, which is not taxable income.

Finally, she paid $5,000 in state income taxes, which is also deductible.

To calculate Johnny-Lu's AGI, we need to subtract the deductions from her total income.

Total Income = Salary + Capital Gain = $92,000 + $6,000 = $98,000

Total Deductions = Moving Expense + State Income Taxes = $11,000 + $5,000 = $16,000

AGI = Total Income - Total Deductions = $98,000 - $16,000 = $82,000

Therefore, Johnny-Lu's AGI is $82,000.

The correct answer is not provided in the options provided.

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an organization that fully adopts the six sigma methodology: select one: a. completes a few six sigma projects and reaps the financial benefits b. continuously measures and improves processes indefinitely c. improves upon a few processes then moves on d. identifies and prioritizes areas of opportunity once or twice a year

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The organization that fully adopts the Six Sigma methodology Option B. continuously measures and improves processes indefinitely

Six Sigma is a data-driven quality management system that seeks to eliminate defects and process variability. It is a disciplined, data-driven approach to process improvement and problem-solving, with a focus on reducing defects and errors. Six Sigma methodology is widely adopted in various sectors to improve their business operations. Six Sigma defines a defect as any failure to meet the customer's requirements, and it aims to reduce or eliminate these defects by identifying and removing the causes of variation.

Six Sigma uses a DMAIC (Define, Measure, Analyze, Improve, Control) framework to identify and solve problems. The key principles of Six Sigma are: Focus on the customer and their requirements; Measure and analyze data to identify and eliminate defects; Use data to make decisions; Involve all employees in the process; Continuously improve the process.

To fully adopt Six Sigma, an organization must continuously measure and improve processes indefinitely. Six Sigma aims to make the organization more efficient, reduce costs, and improve quality, which is achieved by continually improving the process. Therefore, the correct option is B.

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Final answer:

An organization fully adopting Six Sigma seeks continuous, indefinite improvements using data-driven decisions, rather than treating it as a one-time exercise or opportunity-based approach.

Explanation:

An organization that fully adopts the Six Sigma methodology continuously measures and improves its processes indefinitely. This method emphasizes correlating improvements with principled data analysis, not simply making decisions based on assumptions or guesses. Therefore, these organizations do not limit their use of the methodology to a few projects or identify opportunities for improvement only once or twice a year. Instead, they integrate Six Sigma into their core operational procedures and culture, aiming for perpetual enhancement as a primary objective.

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Cutter Enterprises purchased equipment for $72,000 on January 1, 2021. The equipment is expected to have a five-year life and a residual value of $6,000.
Using the straight-line method, depreciation for 2022 and the equipment's book value at December 31, 2022, would be:
Multiple Choice
$14,400 and $43,200 respectively.
$13,200 and $39,600 respectively.
$13,200 and $45,600 respectively.
$28,800 and $37,200 respectively.

Answers

Using the straight-line method, depreciation for 2022 and the equipment's book value at December 31, 2022, would be $13,200 and $58,800 respectively.

Depreciation is the systematic distribution of a tangible asset's purchase price over the course of its useful life. It symbolizes the steady decline in an asset's value brought on by deterioration, obsolescence or other factors.

Depreciation expense per year = (Initial cost - Residual value) / Useful life

Depreciation expense for 2022 = ($72,000 - $6,000) / 5 = $13,200

Accumulated depreciation for 2022 = Depreciation expense for 2022 = $13,200

Book value at December 31, 2022 = Initial cost - Accumulated depreciation = $72,000 - $13,200 = $58,800

$13,200 and $58,800 respectively.

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What is Newtons law on gravity?

Answers

Newton's law of universal gravitation is stated as that every particle attracts every other particle in the universe with a force that is directly proportional to the product of their masses and inversely proportional to the square of the distance between their centers.

If a firm's average product is rising, which statement must be TRUE?
The firm's marginal product is higher than its average product.
The firm's marginal product is equal to its average product.
The firm's total product is equal to its marginal product.
The firm's marginal product is rising as well.

Answers

The statement that must be true if a firm's average product is rising is: "The firm's marginal product is higher than its average product."

The relationship between average product and marginal product is important in the theory of production. Average product (AP) is calculated by dividing total product (TP) by the quantity of the variable input, while marginal product (MP) represents the additional output generated by each additional unit of the variable input.

If a firm's average product is rising, it means that each additional unit of the variable input is contributing more to the total output compared to the previous units. In other words, the firm is becoming more efficient in utilizing the variable input.

To have a rising average product, the marginal product must be higher than the average product. This is because for the average product to increase, the marginal product of each additional unit of input must be greater than the average of all the previous units.

When a firm's average product is rising, it indicates that each additional unit of the variable input is contributing more to the total output. This implies that the firm's marginal product is higher than its average product. The relationship between average product and marginal product helps us understand the firm's efficiency in utilizing inputs and its production capabilities.

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The table below gives information extracted from the annual accounts of Make-it (Pty) Ltd for the past two years. Make-it (Pty) Ltd : Extracts from year-end accounts: Stocks: Raw materials Work-in- progress Finished goods Purchases Cost of goods sold Sales Debtors Trade creditors Year 1 R'000 276 186 285 1 440 2 196 2 376 594 252 Year 2 R'000 291 194 259 1 404 1 944 2 160 562 210 You are required to: Answer the following questions: a) Calculate the length of the working capital cycle for years 1 and 2 assuming 365 days in the year and using end of year working capital balances, not averages.

Answers

The length of the working capital cycle for year 1 is approximately 75.16 days, and for year 2 it is approximately 102.94 days. To calculate the length of the working capital cycle for years 1 and 2, we need to consider the components involved: stocks, debtors, and trade creditors. The formula to calculate the working capital cycle is:

Working Capital Cycle = Days of Inventory + Days of Receivables - Days of Payables

We will calculate each component separately and then subtract the days of payables from the sum of days of inventory and days of receivables.

Let's calculate the working capital cycle for years 1 and 2 using the given information:

Year 1: Days of Inventory = (Stocks / Cost of Goods Sold) * 365

                 = ((276 + 186 + 285) / 2,196) * 365

                 = 47.04 days

Days of Receivables = (Debtors / Sales) * 365

                   = (594 / 2,376) * 365

                   = 91.87 days

Days of Payables = (Trade Creditors / Purchases) * 365

                = (252 / 1,440) * 365

                = 63.75 days

Working Capital Cycle (Year 1) = Days of Inventory + Days of Receivables - Days of Payables

                              = 47.04 + 91.87 - 63.75

                              = 75.16 days

Year 2: Days of Inventory = (Stocks / Cost of Goods Sold) * 365

                 = ((291 + 194 + 259) / 1,944) * 365

                 = 62.79 days

Days of Receivables = (Debtors / Sales) * 365

                   = (562 / 2,160) * 365

                   = 95.21 days

Days of Payables = (Trade Creditors / Purchases) * 365

                = (210 / 1,404) * 365

                = 55.06 days

Working Capital Cycle (Year 2) = Days of Inventory + Days of Receivables - Days of Payables

                              = 62.79 + 95.21 - 55.06

                             = 102.94 days

Therefore, the length of the working capital cycle for year 1 is approximately 75.16 days, and for year 2 it is approximately 102.94 days.

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Assume that the textile-importing countries are determining to expand their domestic production of textile. From the point of view of the textile-exporting countries, how would you rate each of these three policies that could be used by the textile importers? Explain/Why? (10 marks)

Policy A: Subsidies to domestic textile production in the importing countries

Policy B: Tariffs on textile imports

Policy C: VERs on textile exports

Answers

When evaluating the three policies from the perspective of textile-exporting countries, we can assess their potential impact as follows:

Policy A: Subsidies to domestic textile production in the importing countries

- Rating: Negative

- Explanation: Subsidies to domestic textile production in importing countries can lead to an increase in their domestic textile industry's competitiveness. This could result in reduced demand for textile imports from the exporting countries. As a result, textile-exporting countries may face a decline in their export market share and revenue. Thus, this policy is unfavorable for textile-exporting countries.

Policy B: Tariffs on textile imports

- Rating: Negative

- Explanation: Imposing tariffs on textile imports by the importing countries can make imported textiles more expensive, creating a barrier to trade. This would negatively affect textile-exporting countries as it reduces their access to the import market. It can lead to decreased demand for their textile products, hampering their export potential and economic growth.

Policy C: VERs (Voluntary Export Restraints) on textile exports

- Rating: Negative

- Explanation: Implementing VERs on textile exports implies that the exporting countries must limit their textile exports to specific quantities or quotas agreed upon with the importing countries. This restriction can hinder the growth and expansion of textile-exporting countries by capping their export volumes. It can create uncertainty and disrupt market dynamics, impacting the stability and profitability of exporting firms.

Overall, all three policies have negative implications for textile-exporting countries. They can limit market access, reduce export volumes, and adversely affect their revenue and economic growth. The policies create barriers to trade and disrupt the free flow of textiles in the global market. It is in the best interest of textile-exporting countries to advocate for policies that promote fair and open trade, allowing for a level playing field and mutually beneficial relationships among countries.

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Factory overhead includes O a. direct labor and direct materials. O b. direct costs that must be allocated to the product. O c. indirect costs that must be allocated to the product. O d. All of these choices are correct.

Answers

Factory overhead include Indirect costs that must be allocated to the product.Option C.

Factory overhead refers to the indirect costs incurred in the production process that cannot be directly attributed to a specific product. These costs are necessary for the overall functioning of the factory but are not directly tied to the direct labor or direct materials used in manufacturing a product.  indirect costs that must be allocated to the product.

Direct labor and direct materials are considered as prime costs, as they can be easily traced and directly associated with the production of a specific product. These costs are directly involved in the conversion of raw materials into finished goods. They are not part of the factory overhead.

On the other hand, factory overhead includes costs such as utilities, rent, depreciation of equipment, maintenance, supervision, and other indirect costs that are necessary for the production process but cannot be easily traced to a specific product.

These costs need to be allocated to the products using an appropriate allocation base or cost driver, such as machine hours, direct labor hours, or production volume.

By allocating the factory overhead to the products, the total cost of production is more accurately reflected, allowing for better cost analysis, pricing decisions, and overall financial management.

In conclusion, factory overhead consists of indirect costs that must be allocated to the product, while direct labor and direct materials are considered separate components of the cost of goods sold and are not part of the factory overhead. So Option C is correct.

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The Smith Corporation acquired all of the stock of the Jones Corporation for consideration comprised of Smith’s convertible bonds, and all of Jones’ assets were transferred to Smith. Jones Corporation was then dissolved as an IRC Section 332 complete liquidation. How would you categorize this transaction or reorganization? Briefly state your reasoning.

Answers

The Smith Corporation acquired all of the stock of the Jones Corporation for consideration comprised of Smith’s convertible bonds, and all of Jones’ assets were transferred to Smith. Jones Corporation was then dissolved as an IRC Section 332 complete liquidation.

The transaction discussed in the scenario is called Type C reorganization. Type C reorganization involves the acquisition of the stock of the target corporation, in this case, Jones Corporation, by the acquiring corporation, Smith Corporation. It should be noted that the acquiring corporation may use its voting stock or a combination of voting stock and property to acquire the target company.According to Section 368 of the Internal Revenue Code, a Type C reorganization occurs when a corporation acquires the assets of another corporation, and the acquired company is liquidated, with the proceeds being distributed among the acquired corporation's shareholders as full payment in exchange for their stock. The liquidating corporation's shareholders are not required to recognize any gains or losses as a result of the liquidation; instead, the shareholders must adjust the basis of their stock in the liquidating corporation by the amount of any gain or loss recognized by the corporation.Smith Corporation's acquisition of Jones Corporation's stock and the subsequent transfer of all of Jones' assets to Smith is categorized as a Type C reorganization. The complete liquidation of Jones Corporation and the distribution of proceeds among its shareholders further supports this conclusion.

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An entrepreneur has to finance a project of fixed size I. The entrepreneur has "cash-on-hand" A, where A < I. To implement the project, the entrepreneur (that is, the borrower) must borrow I-A from lenders. If undertaken, the project either succeeds, in which case it yields a return R > 0, or fails, in which case it delivers a zero return. The probability of success depends on the effort exerted by the entrepreneur: if the entrepreneur exerts high effort, the probability of success is equal to pg; if the entrepreneur exerts low effort, the probability of success is equal to PL, where Ap = PH - PL > 0. If the entrepreneur exerts low effort, she also obtains a private benefit B>0, while there is no private benefit when the entrepreneur exerts high effort. Define as R, the amount of profit going to the entrepreneur, and as R₂ the amount of profit going to the lenders in case of success, where R=R₁+R₁. We assume both players obtain zero in case the project fails. All the players are risk neutral and there is limited liability for the entrepreneur. Lenders behave competitively, and both entrepreneur and lenders receive zero if the project fails.

Write down the "break-even constraint" for the lenders (IR) assuming that the en- trepreneur exerts high effort.

Answers

Explanation :

Let us consider the probability of the entrepreneur’s success on their project if they exert high effort as PH, and the probability of the entrepreneur’s success on their project if they exert low effort as PL, where Ap = PH - PL > 0. Additionally, when the entrepreneur exerts low effort, she gains a private benefit B > 0, while there is no private benefit when the entrepreneur exerts high effort.

Since we are assuming that the entrepreneur exerts high effort, there is no private benefit (B = 0). Also, the profit from the project is R, and the amount of profit going to the lenders in the case of success is R₂ where R = R₁ + R₂. All players are risk-neutral, and there is limited liability for the entrepreneur.

The lenders act competitively, and everyone receives nothing if the project fails.Break-even constraint for the lenders (IR) assuming that the entrepreneur exerts high effort is discussed below;Suppose the entrepreneur borrows an amount I - A to finance the project.

Then, the entrepreneur would receive a profit of R and must repay I - A to the lenders if the project is successful. We can see that the break-even constraint for the lenders (IR) is the amount of profit that the entrepreneur would need to make in order to repay I - A to the lenders and also earn zero profit. 

If the entrepreneur exerts high effort, the probability of the project's success is PH, and the probability of failure is (1-PH).The expected profit for the entrepreneur in the case of high effort is given by:R(H) = PH(R1+R2) - (1-PH)I

The expected profit for the entrepreneur in the case of low effort is given by:R(L) = PH(R1+R2) + PL(B+R1-R2) - (1-PH-PL)IThe expected return for the lenders in case of success is R2. Since everyone is risk-neutral, the break-even constraint for the lenders can be calculated as follows:

IR = -EI[(R1+R2)-((I-A)/R) | project fails]where EI represents the expected value operator.

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strengths-based coaching is an approach to feedback that focuses on employee weaknesses to improve their strengths. t/f

Answers

Strengths-based coaching is an approach to feedback that focuses on employee weaknesses to improve their strengths -false

Strengths-based coaching is an approach to feedback that focuses on employee strengths to help them improve and grow. Rather than concentrating on an individual's flaws or errors, a strengths-based coach assists them in developing their natural abilities and talents.

Strengths-Based Coaching:Key benefits of strengths-based coaching are as follows:Helps in recognizing the employee’s strength. Assist in enhancing the employee’s potential and self-confidence.Helps in establishing a positive environment for the employees.Fosters teamwork and collaboration.Enables employees to perform to their full potential and maintain satisfaction. 

Strengths-Based Coaching vs. Traditional Coaching Traditional coaching techniques often concentrate on identifying weaknesses and areas for development. On the other hand, strengths-based coaching concentrates on identifying and leveraging an employee's unique strengths and talents. Strengths-based coaching may help individuals achieve their professional objectives in a more constructive and beneficial manner than traditional coaching.

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What does the playing field look like? What are the market trends in your sector of the healthcare industry?

Answers

The playing field and market trends in the healthcare industry depend on various factors such as the type of healthcare services provided, government policies, technological advancements, and consumer demand.

There are some general trends that apply to the healthcare industry as a whole. Some of these trends include:

1. The rise of telehealth: Telehealth is becoming increasingly popular, as it offers patients the convenience of consulting with healthcare providers without having to leave their homes.

2. The focus on value-based care: Value-based care focuses on the quality of healthcare services provided rather than the quantity. This trend is driven by a desire to reduce costs while improving patient outcomes.

3. Increased use of data analytics: Data analytics is becoming increasingly important in the healthcare industry. By analyzing data, healthcare providers can gain insights into patient outcomes, identify areas for improvement, and make data-driven decisions.

4. Growing demand for personalized medicine: Personalized medicine is a trend that is gaining popularity, as it offers patients treatments that are tailored to their specific needs.

5. The rise of consumerism in healthcare: Patients are becoming more informed and empowered when it comes to their healthcare decisions. As a result, healthcare providers are focusing more on patient engagement and satisfaction.

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