The returns that shareholders can anticipate from the corporation are known as dividends. Only in exceptional cases when a dividend must be paid out of capital are dividends ever paid from earnings.
The balance that remains after dividend payments is added to retained earnings.
The computation of the addition to retained earnings is as follows:
Total dividends to be paid are:
Dividends total = 65,000 divided by 1.42
Dividends in whole came to $ 146,200.
$600,000 total annual income
146,200 less was paid in dividends.
$633,800 extra on top of retained profits
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when using a roth plan, you invest your money after paying taxes, and the investment grows tax-free.
True - When using a roth plan, you invest your money after paying taxes, and the investment grows tax-free.
That is, when you contribute to a Roth IRA with money that you have already paid taxes on, there is no additional tax due when you remove funds from the account in retirement.
A Roth IRA is an individual retirement account that accepts after-tax contributions. While there are no tax benefits for the current tax year, after you turn 59 [tex]\frac{1}{2}[/tex] and the account has been open for five years, your contributions and earnings can grow tax-free and you can withdraw them without paying taxes or penalties.
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sheehan inc. is deciding whether to invest in a project today or to postpone the decision until next year. the project has a positive expected npv, but its cash flows might turn out to be lower than expected, in which case the npv could be negative. no competitors are likely to invest in a similar project if the firm decides to wait. which of the following statements best describes the issues that the firm faces when considering this investment timing option? a. waiting would probably reduce the project's risk. b. the investment timing option would not affect the cash flows and therefore would have no impact on the project's risk. c. since the project has a positive expected npv today, this means that it should be accepted in order to lock in that npv. d. since the project has a positive expected npv today, this means that its expected npv will be even higher if the firm chooses to wait a year. e. the more uncertainty about the future cash flows, the more logical it is to go ahead with this project today.
The project has a positive projected NPV today, which suggests that if the company decides to wait a year, its expected NPV would be even greater.
What Is Net Present Value (NPV)?The difference between the present value of cash inflows and outflows over time is known as net present value (NPV). The profitability of a proposed investment or project is examined using NPV in capital budgeting and investment planning.
Describe the formula of NVP?Formula:
a. Net Present Value (NPV) is calculated as follows: Cash flow / (1 + i)t - original investment
b. NPV = Today's value of the invested capital less Today's value of the projected cash flows.
c. ROI is calculated as (Total benefits - Total Costs) / Total Costs.
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elaine romberg prepares her own income tax return each year. a tax preparer would charge her $80 for this service. over a period of 9 years, how much does elaine gain from preparing her own tax return? assume she can earn 4 percent on her savings.
Elaine Romberg can make 4% on her savings of $600.81 if she files her own income taxes each year. A tax preparer would charge her $80 for this service.
Savings x F/A Factor (80 x 8.583) = $600.81 for the future value of the overall gain.
To ensure that taxpayers are paying the proper amount of tax at the proper time and obtaining the proper tax allowances and tax reliefs, policy actions and individual conduct are referred to as tax compliance. Tax is defined as a mandatory financial charge or other sort of levy imposed by a governmental organization on a taxpayer (an individual or legal entity) in order to finance government spending and other public expenses (regional, local, or national).
The first taxes known to history occurred in Ancient Egypt between 3000 and 2800 BC. [4] In addition to missing payments on time, breaking the law also includes evading or opposing taxation.
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suppose that fortune 8 casino is one of ten casinos in the town of luckyville, and every casino is earning substantial economic profits. what is likely to happen in the long run?
As fortune 8 casino is one of ten casinos in the town of Luckyville, and every casino is earning substantial economic profits, New casinos will enter the market but economic profits will be eliminated.
Economic profit can only be obtained when there is less competition for a particular business in the market.
When the competition increases, no economic profit can be generated as the profit margin is keptt less due to increased competition.
In the long run new casinos are most likely to enter the market. As a result of this, the competition will increase in the market. The increased competition will cause the economic profit to get eliminated.
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based on the financial data listed, what was triad's total net assets before posting net income for the year?
Based on the financial data listed, the triad's total net assets before posting net income for the year was $250,000.
Financial statements (or financial reports) are kinda records of the financial activities and position of a business, person, or alternative entity. Relevant financial info is conferred in a very structured manner and in a form that is straightforward to understand. They usually embody four basic financial statements in the middle of a management discussion and analysis: A balance sheet or statement of monetary position, reports on a company's assets, liabilities, and owner's equity at a given purpose in time.
An income statement—or profit and loss report (P&L report), or statement of comprehensive income, or statement of revenue & expense—reports on a company's income, expenses, and profits over a declared period. A profit and loss statement provides information on the operation of the enterprise. These include sales and therefore the varied expenses incurred throughout the declared period.
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callie withdraws 600 from her bank account, which the bank had already loaned out to customers. if the reserve requirement is 15%, by how many dollars must her bank reduce its lending
Her bank's lending must be reduced by $510 if the reserve is 15%.
What is the lending meaning?When someone permits another individual to borrow something, this is known as lending (sometimes known as "financing"). The lender lends the borrower money, real estate, or another asset with the understanding that now the student will either repay the asset or pay back the lender.
What does financing lend?The procedure is known as lending or accepting a loan when a lender extends funds to a person or business with a specific guarantee of based on the assumption that the borrower would repay the borrowed funds with particular extra perks, like an interest rate.
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Math
Can you thech me about being a businessman and now it’s not even that bad I am going to
Determine whether customers will actually purchase your goods or services before investing any money. The most significant action you take might be this.
Who is Businessman?This can be accomplished by confirming your market. In other words, besides your family and friends, who else will purchase your goods or services.
Be willing to say who you are and what you do with conviction and without apology. Embrace and use the most effective online tools available to broadcast your news.
Free industry research is available, which you can find. For more information, read articles in the industry that use computer science data . However, the most crucial method.
Therefore, Determine whether customers will actually purchase your goods or services before investing any money. The most significant action you take might be this.
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review question what types of taxes and deductions are factored into the difference between your gross pay and your net pay?
The Taxes and deductions that are factored into the difference between your gross pay and your net pay include Income Tax, Social Security Tax.
Payroll deductions are stipends withheld from a hand's total earnings to pay levies, embellishments, and benefits, like health insurance. Net pay means take-home pay or the quantum workers earn after all payroll deductions are abated from their gross pay.
Gross pay is what workers earn before levies, benefits, and other payroll deductions are withheld from their stipend. The quantum remaining after all withholdings are reckoned for is net pay or take-home pay. An income duty is a duty assessed on individualities or realities in respect of the income or gains earned by them.
Income duty generally is reckoned as the product of a duty rate times the taxable income. The Social Security duty is applied to income earned by workers and tone- employed taxpayers. Payroll deductions are stipends withheld from a hand's total earnings to pay levies, beautifiers, and benefits, like health insurance.
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what other costs of ownership do you need to factor in when thinking about your vehicle costs?
The costs of ownership need to factor in when thinking about your vehicle costs is the purchase price, registration fee, sales tax, among other things. Insurance, regular maintenance, fuel, the cost of the driver, and depreciation are just a few examples of ongoing expenses.
Emergency charges include things like towing fees and repair costs. When determining the true cost of vehicle ownership, all these expenses should be taken into consideration.
'What is total Ownership Cost?'
The acquisition price of an asset plus the operating expenses make up the total cost of ownership (TCO). Analyzing the total cost of ownership entails having a comprehensive view of the product and its future value.
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business provides historical, current, and predictive views of business operations and environments and gives organizations a competitive advantage in the marketplace. a. exploration b. indexing c. differentiation d. intelligence
Business intelligence provides historical, current, and predictive views of business operations and environments and gives organizations a competitive advantage in the marketplace. So option d. is correct.
Business Intelligence represents the technical infrastructure that collects, stores, and analyzes company data. BI parses data and produces reports and information that help managers to make better decisions. Software companies produce BI solutions for companies that wish to make better use of their data. BI tools and software come in a wide variety of forms such as spreadsheets, reporting/query software, data visualization software, data mining tools, and online analytical processing (OLAP).
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Peter drucker was a 20th-century socialist, opposed capitalism and believed that managers were more of a hindrance than a help to most organizations.
a. true
b. false
Peter drucker was a 20th-century socialist, opposed capitalism and believed that managers were more of a hindrance than a help to most organizations. This statement is false.
One of the most well-known and renowned management thinkers, Peter Drucker is still referenced by managers all over the world. Drucker's renowned book, The Practice of Management, was released in 1954. He was a prolific writer and one of the first to portray management as a separate job with its own responsibilities.
Business managers, according to Drucker, should embrace the "spirit of performance" by acting with a high degree of moral and ethical integrity, concentrating on results, empowering staff, going above and beyond their financial commitments to shareholders, and ultimately advancing the common good.
The correct answer is option b.
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what is the square root of 378
which of the following have derived demand? choose one or more: a.a cup of coffee b.a coffee maker c.a barista
A barista have derived demand so the correct option of the given question is option C.
Demand in economics refers to the quantity of a good that consumers are prepared and able to purchase at various prices during a particular time.
The link between price and quantity demand is sometimes referred to as the demand curve. A product's demand is influenced by a number of variables, such as perceived need, price, perceived quality, convenience, substitutes provided, customer preferences, and available funds.
The underlying connection between supply and demand is determined by the potential price of a good and the quantities that would be purchased at those levels.
Since the relationship is frequently negative, a rise in price will usually cause a decrease in the quantity demanded. This negative link is physically represented by the consumer demand curve's descending slope.
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if a customer needs 150 chairs per day and a company operates 7 hours a day, what must be the operational takt time? 4.2 minutes/chair 3.3 minutes/chair 2.8 minutes/chair d. 1.5 minutes/chair
Option A. 4.2 minutes/chair. There are two things you need: D stands for the item's average daily client demand. W stands for the daily total of all workable seconds. W / D in seconds equals Takt time (T).
A process's output has a 60-second Takt time. Station 4 has an 80-second production limit. It goes over the Takt time and cannot keep up. A shop may work for 430 minutes each day. The client requires 300 units each day. Takt time is equal to 430/300, or 1.433 minutes, for each unit. On an assembly process, a manager wishes to set up a Kanban system. 30 units per hour are what the consumer needs. 60 / 30 = 2 mins. A process's output has a 60-second Takt time. Station 4 has an 80-second production limit. It goes over the Takt time and cannot keep up. A shop may work for 430 minutes each day. The client requires 300 units each day.
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a local attorney was appointed guardian of a property owner with no known relatives, who required care in a nursing home. the property owner has no will or any money available for expenses and hasn't paid any property taxes in the past four years. what would the state file to eventually collect the unpaid back taxes?
To eventually recover the unpaid back taxes, the state would file a tax lien file. ( Option D )
- When you disregard or refuse to pay a tax debt, the government will have a legal claim against your property known as a federal tax lien. The government's interest in everything of your possessions, including real land, personal property, and financial assets, is safeguarded by the lien.
- Tax liens are a major issue. You most likely haven't fully paid your federal or state income taxes if you have a lien on your home or other property. Although liens don't immediately result in property seizures, they are just one step away from levies, and levies are serious business. You've come to the right place if you have queries about liens.
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- The complete question is :
A local attorney was appointed guardian of a property owner with no known relatives, who required care in a nursing home. The property owner has no will or any money available for expenses and hasn't paid any property taxes in the past four years. What would the state file to eventually collect the unpaid back taxes?
A) Mechanic's lien
B) Real estate probate lien
C) Mortgage lien
D) Tax lien
What is the net present value of the following cash flow streams at an interest rate of 8. 25%: at year 0: $0; year 1: $75; year 2: $225; year 3: $0; and year 4: $300.
The net present value of the cash flow streams is $479.7743.
What is net present value?The net present value encompasses several cash flows that happen at different points in time (NPV). A cash flow's present value is determined by how long it will take for it to be expected. Another factor is the discount rate. NPV is used to account for the temporal value of money. It gives a tool for comparing and evaluating capital projects or financial products with cash flows that are distributed over time, such as loans, investments, insurance contract payouts, and many more uses. The worth of cash flows fluctuates over time, according to the time value of money theory. The value of the current predicted future cash flows is decreased based on the chosen rate of return. NPV is calculated by weighing the benefits and expenses of each stage of an investment.
The computation of net present value is
= cash flow ÷ (1+interest rate) ^number of years
= $75 ÷ (1.0825) + $225 ÷ (1.0825) ^2 + $300 ÷ (1.0825) ^4
= $479.7743
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the fiduciary duty that remains even after the termination of the agency relationship is a) confidentiality. b) accounting. c) obedience. d) loyalty.
Even when the agency connection has ended, secrecy is still a fiduciary obligation.
With the conclusion of an agency partnership, what authority is terminated?When an agency ends, only the agent's formal authority ends; his implicit authority remains in effect. An agent's apparent power expires upon the death of the principal.
What exactly are the duties of a fiduciary?Fiduciary Obligation a trust-based legal partnership that calls on truthfulness and good will. duty of a fiduciary to an adjuster. -uphold the principal's financial interests, which are typically those of the insurer; -be truthful in all representations of the principal. A fiduciary is a person who has agreed to act in another's best interest or on their behalf in a specific situation under conditions that establish a relationship of confidence and trust.
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what is the type of account and normal balance of allowance for doubtful accounts? a.asset; debit b.asset; credit c.contra asset; credit d.contra asset; debit
Option (c) is correct i.e. contra asset: credit, is the type of account and normal balance of allowance for doubtful accounts.
An allowance is a sum of money that is granted or allotted, typically on a regular basis for a particular purpose. In the case of children, parents may provide their kids pocket money (British English: an allowance) for errands and other personal expenses. An allowance in the construction sector is a sum of money assigned to a particular task as part of a larger contract. Usually, the individual giving the allowance tries to regulate when or how money is spent by the receiver so that it serves their purposes. For instance, a parent's allowance may be either unconditional or conditional and intended to educate the child money management in exchange for completing tasks or achieving a goal. The person providing the allowance typically specifies the use and may implement controls to ensure that the funds are only used for that use. When working away from home, firm personnel may receive a per diem or stipend to cover their expenses for food and transport. They may also be given special non-cash tokens or vouchers, such as a meal voucher, that may only be used for that reason.
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stark company's most recent balance sheet reported total assets of $1,860,000, total liabilities of $820,000, and total equity of $1,040,000. its debt-to-equity ratio is: multiple choice
The most recent balance sheet for Stark Company showed total assets of $1,860,000, total liabilities of $820,000, and total equity of $1,040,000. It has a 0.78 debt-to-equity ratio.
What is debt to equity ratio?The debt-to-equity ratio, also known as the D/E ratio, is a measurement of a company's ability to pay down its debt. It is computed by dividing the entire debt by the total shareholders' equity of a corporation.
The debt to equity ratio is calculated as:-
Debt-to-equity ratio = Debt/Equity
Total liabilities=debt=$820,000
Total equity=$1,040,000
∴ Debt-to-equity ratio = $820,000/$1,040,000
=0.78
Therefore, 0.78 is the debt to equity ratio of Stark company.
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ones company consistently delivers on-time as promised to customers. this type of performance is critical to:
Ones company consistently delivers on-time as promised to customers. this type of performance is critical to: developing reliability based trust.
Reliability is defined because the chance that a product, gadget, or service will carry out its meant characteristic appropriately for a designated time period, or will operate in a defined surroundings with out failure.
There are 4 factors to the reliability definition: 1) characteristic, 2) possibility of achievement, 3) length, and, 4) surroundings. Maintainability is related to reliability, as while a product or device fails, there can be a technique to repair the product or device to operating condition.
The purpose of reliability concept is to estimate mistakes in dimension and to signify ways of improving checks in order that mistakes are minimized. The principal assumption of reliability principle is that measurement errors are basically random.
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how would investment model researchers explain why women in an abusive relationship often return to their abusive partners?
According to the Investment Model, a person's dedication to a romantic relationship is influenced by their level of relationship pleasure, their opinion of the caliber of potential romantic mates, and the amount they are now investing in the union.
If you continue to be in an emotionally or verbally abusive relationship, you may experience long-term effects such as persistent discomfort, despair, or concern.
Abusers frequently arrange a financial condition that makes leaving difficult to impossible. Sometimes, survivors want the abuse to stop, not the marriage. Because she fell in love with the abuser and thought he would change, the survivor could go back to the abuser.
It is common to think about returning to an emotional abuser, but doing the following three actions may give you the clarity and bravery you need. Asking yourself if you are considering returning out of fear and taking note of how you have been feeling since terminating the relationship are two of the stages.
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henson electronics corp. decided to lower its export price in order to force the domestic producers in the importing nations out of business. once these competitors are gone, henson electronics plans to raise its prices. what is this an example of?
When Henson electronics decides to raise its prices once the competitors are gone, then it can be stated as an example of predatory dumping.
The practice of predatory dumping can be referred to or considered as a process of lowering the product prices in order to offer better value and kill the competitors in the market. By practicing predatory dumping, the customers can get access to larger market share, and then gradually increase their prices after they have a dominance over the competitors in the market.
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on the bank reconciliation, an error in recording a check is a.a bank statement adjustment or a company books adjustment b.a bank statement adjustment c.a company books adjustment d.none of these choices
The book balance should be adjusted for errors in recording. Add the amount of the error if the item cleared the bank for less than the amount recorded in the books.
Add the amount of the error if the item sold for more than what was recorded in the books.
What adjustments are made during the bank reconciliation?
Adjust the bank statements by adjusting the balance to reflect the corrected amount. You must add or subtract bank errors, outstanding checks, and deposits in transit for this to be done. Amounts that have been received and recorded by the business but have not yet been recorded by the bank are referred to as deposits in transit.
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to restore public confidence in the banking system, wilson supported the establishment of a:______.
To restore public confidence in the banking system, wilson supported the establishment of a Federal Reserve system.
Wilson campaigned for the Federal Reserve Act of 1913 in response to the call for reform, which established twelve regional reserve banks under the jurisdiction of the Federal Reserve Board, a new federal organization whose members were chosen by the president. The nation's money supply and interest rates may be modified under this new federal structure. The amount of money in circulation would increase or decrease in accordance with the business cycle because it was permitted to create currency based on both government assets and "commercial paper" (loans given to firms by banks).
The Federal Reserve was also given the authority to modify the interest rates, or the discount rate, charged to its member banks for funds placed in the branch reserve banks, which would indirectly regulate the interest rates that banks charged their borrowers. The new approach may also establish a reserve fund for times of economic crisis by determining the amount of money banks would need to maintain as an offset against deposits (the reserve requirement). The most significant domestic accomplishment of the Wilson administration was undoubtedly the passage of this law, which still serves as the basis for controlling the country's banks, credit, and money supply. It was achieved through significant compromise between agrarian and financial interests.
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g if the required reserve ratio is 10%, how much can a bank lend out if its deposits total $2 million?
If its deposits total $2 million. The answer is 72.9 dollars.The sum of money held by a bank might be referred to as excess reserves.
This sum of money may be loaned to individuals or other organisations in order to increase profits by adding a particular level of interest to the amount of money that will be distributed.In the situation above, the bank has $41,000,000 in excess reserves. As a result, the bank will be willing to extend a loan of $41,000,000.
Bank lend out a bank with a reserve ratio of 10% can lend the remaining 90% of its deposits to other banks while keeping 10% aside for emergency payments. 81 dollars, or 90% of 81 dollars,therefore be lent by the second bank.According to this criteria, the second bank has $72.9 to lend (90% of 81).
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when a tax is levied on a good, the buyers and sellers of the good share the burden,
when a tax is levied on a good, the buyers and sellers of the good share the burden regardless of how the tax is levied.
The distribution of tax burdens between consumers and producers is referred to as the incidence of tax in economics. According to general economic theory, regardless of whether a tax is levied on producers or consumers, the tax burden is shared by both.
A tax's incidence, or burden, is typically borne by both consumers and producers of the taxed good. However, if we want to predict which group will bear the majority of the burden, we only need to look at demand and supply elasticity.
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a company has three products in its ending inventory. specific per unit data at the end of the year for each of the products are as follows: product 1 product 2 product 3 cost $ 35 $ 105 $ 65 selling price 85 165 115 costs to sell 8 70 25 required: what unit values should the company use for each of its products when applying the lower of cost or net realizable value (lcnrv) rule to ending inventory?
The unit values the company should use for each of its products when applying the lower of cost or net realizable value rule to ending inventory are is $35, $95 and $65 respectively.
Product 1:
NRV = $85 - $8 = $77
Cost = $35
Cost is lower than NRV
Product 1 at cost $35
Product 2:
NRV = $165 - $70 = $95
Cost = $105
NRV is lower than cost
Product 2 at NRV $95
Product 3:
NRV = $115 - $25 = $90
Cost = $65
Cost is lower than NRV
Product 3 at cost $65
Inventory must be valued at the lesser of its laid-down cost and the amount for which it is likely to be sold — its net realisable value — according to generally accepted accounting principles (NRV). This is known as the lower of cost and net realisable value, abbreviated as LCNRV.
It is calculated by first determining the expected selling price of an asset and then subtracting all costs associated with the asset's eventual sale. NRV = Expected selling price - Total production and selling costs, to put it in formulaic terms.
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a company with 91,000 authorized shares of $8 par common stock issued 37,000 shares at $15. subsequently, the company declared a 2% stock dividend on a date when the market price was $31 per share. what is the amount transferred from the retained earnings account to paid-in capital accounts as a result of the stock dividend?
The amount transferred from the retained earnings account to paid-in capital accounts as a result of the stock dividend is $223,200. This is calculated by taking the market price of the stock ($31 per share) multiplied by the number of authorized shares (91,000) multiplied by the stock dividend (2%) which equals $223,200.
The stock dividend is beneficial for shareholders because the increase in number of shares allows them to receive a higher portion of the company's profits. This increase in paid-in capital will led to help the company for raising more funds in the future, as it will appear that the company is worth more and it will become little easy to attract investors. The stock dividend also help in retaining current shareholders, as they will be given additional shares which is profitable to them after selling.
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employers are required to withhold which of the following taxes from employees? a.fica tax and state and federal unemployment taxes b.fica tax c.federal unemployment tax d.state unemployment tax
Employers are required to withhold FICA (Federal Insurance Contributions Act) tax from employees. The correct option is b.
What is FICA tax?The Federal Insurance Contributions Act which stands for FICA is a law that outlines that taxes should be withheld from paychecks and used to fund the Social Security and Medicare programs. Both employees and employers are affected by the FICA tax. The law that created the FICA tax was passed in 1935. The funds are used to provide retirement savings and insurance programs for working Americans.
The FICA tax is designed to provide support for retirees who qualify for benefits.
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an agreement between two duopolists to function as a monopolist usually breaks down because
To make more money, each duopolist wants a larger share of the market.
How can duopolists benefit from a price match strategy?
First, price-matching reduces businesses' incentives to lower prices in order to attract customers who don't pay for search. Second, price-matching reduces the marginal benefit of search for consumers who have positive search costs, leading them to accept higher prices.
Which three kinds of agreements are there?
Contracts with a set price. Contracts with a cost plus Time and materials contracts.Learn more about duopolist here:
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