recognize the events that result in a breach(total breach andpartial) of contract and explain anticipatory repudiation

Answers

Answer 1

A breach of contract occurs when one party fails to fulfill their obligations under the terms of the agreement. There are two types of breaches: total breach and partial breach.

Total breach occurs when one party fails to perform a major obligation under the contract, making it impossible to achieve the purpose of the contract. For example, if a contractor fails to complete a construction project by the agreed-upon deadline, it would be considered a total breach.

Partial breach occurs when one party fails to perform a minor obligation under the contract, but the main purpose of the contract can still be achieved. For example, if a contractor fails to install certain fixtures in a construction project, it would be considered a partial breach.

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Answer 2

A breach of contract occurs when one party fails to fulfill their obligations under the terms of the agreement. There are two types of breaches: total breach and partial breach.

Total breach occurs when one party fails to perform a major obligation under the contract, making it impossible to achieve the purpose of the contract. For example, if a contractor fails to complete a construction project by the agreed-upon deadline, it would be considered a total breach.

Partial breach occurs when one party fails to perform a minor obligation under the contract, but the main purpose of the contract can still be achieved. For example, if a contractor fails to install certain fixtures in a construction project, it would be considered a partial breach.

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Related Questions

When it appeared that conventional Open Market Operations wasnot sufficient, monetary policy officials felt it was necessary toadopt quantitative easing as part of the monetary policy mix duringthe 2008 real estate crisis in the US. Why? To support your argument(s) use the yield curve graph and show the before and after of the monetary policy initiatives. Show a Yield Graph

Answers

During the 2008 real estate crisis in the US, conventional Open Market Operations (OMO) were not sufficient to stimulate the economy.

The Federal Reserve responded by implementing a new policy tool known as quantitative easing (QE) in order to provide additional monetary stimulus. The main goal of QE was to lower long-term interest rates by purchasing large quantities of long-term assets such as government bonds and mortgage-backed securities.

The yield curve graph can help illustrate the impact of QE on interest rates. Before QE was implemented, the yield curve was upward sloping, with short-term interest rates lower than long-term interest rates. This is a typical yield curve shape, reflecting the fact that investors demand higher compensation for holding longer-term securities. However, during the 2008 crisis, the yield curve became extremely steep, reflecting concerns about the economy and financial markets.

After the Federal Reserve began implementing QE, the yield curve flattened out, with long-term interest rates falling relative to short-term interest rates. This can be seen in the yield curve graph, where the yield curve shifted downward and became flatter. This flattening of the yield curve was a direct result of the Federal Reserve's purchases of long-term assets, which pushed down long-term interest rates.

The impact of QE on the economy was twofold. First, it helped to stabilize financial markets by reducing the risk premium associated with holding long-term assets. This, in turn, helped to increase the availability of credit for households and businesses, which stimulated spending and investment. Second, by lowering long-term interest rates, QE helped to support economic growth by making it cheaper for households and businesses to borrow money.

In summary, the implementation of QE during the 2008 real estate crisis in the US was necessary because conventional OMO was not sufficient to stimulate the economy. QE was designed to lower long-term interest rates by purchasing large quantities of long-term assets, which helped to stabilize financial markets and support economic growth. The yield curve graph can help illustrate the impact of QE on interest rates, showing how it flattened the yield curve and helped to support economic activity.

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A function of a product champion is to Group of answer choices develop the technical skills needed to install and operate the technology. acquire the status, authority, and resources to sponsor an innovation. develop a new technology. promote a new technology throughout the organization. coordinate the technological efforts of various business units.

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The function of a product champion is to acquire the status, authority, and resources to sponsor an innovation. Option B

This means that a product champion is responsible for advocating and promoting a new technology throughout the organization. They are the driving force behind the adoption and implementation of a new technology, and they work to convince key stakeholders and decision-makers to invest in the innovation.

To be an effective product champion, an individual needs to have strong leadership skills, the ability to communicate effectively, and a deep understanding of the technology they are promoting. They must be able to inspire and motivate others to embrace change and be willing to take risks.

Additionally, a product champion may need to coordinate the technological efforts of various business units. This means that they will work to ensure that everyone is on the same page and that the technology is being implemented in a consistent and coordinated way. They may also work to develop the technical skills needed to install and operate the technology, but this is not the primary function of a product champion.

Overall, the role of a product champion is crucial in the success of a new technology. They are responsible for creating a sense of excitement and urgency around the innovation, and they work tirelessly to ensure that it is embraced and implemented throughout the organization. Option B is correct.

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TC = 216 + 11Q + 2Q2What is the average variable cost when 6 units are produced?Enter as a value.

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The average variable cost when 6 units are produced is 23.

To calculate the average variable cost (AVC) when 6 units are produced, we first need to find the variable cost (VC) and then divide it by the quantity produced (Q). Given the total cost (TC) function: TC = 216 + 11Q + 2Q^2, we can determine the variable cost by subtracting the fixed cost (FC) from the total cost.

Since the fixed cost does not change with the quantity, it is the constant term in the equation, which is 216. The variable cost (VC) is the remaining part of the equation: VC = 11Q + 2Q^2.

Now, let's find the variable cost when 6 units are produced (Q = 6):

VC = 11(6) + 2(6)^2
VC = 66 + 72
VC = 138

Now, we can calculate the average variable cost:

AVC = VC / Q
AVC = 138 / 6
AVC = 23

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Consider the following​ statement:
The Phillips curve implies that when unemployment is​ high, inflation is​ low, and vice versa.​ Therefore, we may experience either high inflation or high​ unemployment, but we will never experience both together.
Is this statement​ true, false, or​ uncertain? Choose the answer that best explains.
A.
False. In the medium​ run, the unemployment rate must equal the natural​ rate, regardless of the level of inflation.
B.
False. If inflation expectations are​ high, it is possible to have high inflation and high unemployment simultaneously.
C.
Uncertain. The Phillips curve does not hold for all countries and​ times, so any relationship could be observed.
D.
True. The Phillips curve implies a​ trade-off between inflation and​ unemployment, so both cannot be high together.

Answers

The correct answer to the given question is B. False.

If inflation expectations are high, it is possible to have high inflation and high unemployment simultaneously. The Phillips curve is a theoretical framework that suggests there is a trade-off between inflation and unemployment, but this relationship can be influenced by other factors such as inflation expectations, supply shocks, and changes in the natural rate of unemployment. Therefore, it is possible to experience high levels of both inflation and unemployment if inflation expectations are high.

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pandora is hiring the best people, regardless of nationality, for its new digital assets division. what staffing policy is being used?

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The staffing policy being used in this scenario is called a global staffing policy. This policy involves hiring the best talent from all over the world, regardless of their nationality or location.

Companies like Pandora that are looking to expand their business internationally often use this policy to ensure that they have the best people working for them, regardless of where they come from.

The benefits of a global staffing policy include access to a larger pool of highly skilled and diverse talent, increased cultural awareness and sensitivity, and the ability to create a more inclusive and dynamic workplace.

By hiring the best people from all over the world, Pandora can ensure that its new digital assets division will be staffed by a highly talented and diverse team that can bring new ideas and perspectives to the table.

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Learning Activities: Assignment) 1. What is RA 6977 as amended, otherwise known as the Magna Carta for Small Enterprise? Explain. (10 pts.) 2. Who will benefit from the Magna Carta for Small Enterprise? (10 pts.) ) 3. What is a Small and medium Enterprise? Explain. (10 pts.) 4. What is wrong if the government competes with the private business sector? Explain.(10 pts.) 5. What is the difference between external economies of scale and internal economies of scale?. Explain (10 pts.) 6. Relate Political Stability to growth of entrepreneurship. (10 pts.) 7. What is the role of government in economic development? Explain 8. In your own opinion, what is the difference between an entrepreneur and a businessman?

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1. RA 6977 is a law in the Philippines that aims to promote and develop small and medium enterprises (SMEs) through various measures such as financial assistance, training and development, and market access. It was amended in 2013 by RA 10644 to strengthen the support given to SMEs.

2. The Magna Carta for Small Enterprise primarily benefits micro, small, and medium enterprises (MSMEs) in the Philippines by providing them with access to resources and support to help them grow and thrive.

3. Small and medium enterprises (SMEs) are businesses that have a certain level of employees, assets, or sales that are below a certain threshold, depending on the country and industry. In general, SMEs are considered to be a significant contributor to the economy and job creation, especially in developing countries.

4. When the government competes with the private business sector, it can create unfair advantages or disadvantages for certain businesses, leading to market distortions and inefficiencies. This can lead to reduced innovation and competition, and ultimately harm economic growth.

5. External economies of scale refer to the benefits that a business or industry receives from the growth and development of other related businesses or industries in the same area or region, such as shared infrastructure or a skilled workforce.

Internal economies of scale, on the other hand, refer to the benefits that a business receives from its own growth and expansion, such as increased production efficiency and lower costs.

6. Political stability can provide an environment conducive to entrepreneurship by creating a sense of security and predictability that encourages investment and risk-taking.

Conversely, political instability can discourage entrepreneurship by creating uncertainty and risk that can deter investment and stifle growth.

7. The role of government in economic development can vary depending on the country and the specific economic goals. Generally, the government can play a role in promoting growth and development by providing infrastructure, education and training, financing and credit, regulations and policies, and market access.

8. In general, an entrepreneur is someone who identifies and creates a new business opportunity, taking on risks and uncertainties in order to realize a profit. A businessman, on the other hand, may focus more on managing and optimizing an existing business or franchise.

However, the distinction between the two terms can vary depending on the context and the individual's role and activities.

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How do the FTC/DOJ merger guidelines about defining the relevant market relate to demand elasticity and the Lerner index of Market Power studied in class previously? The Lerner Index of Market Power is 1/|E| where |E| is the demand elasticity at the current price for the market being considered.

Answers

The FTC/DOJ merger guidelines are used to determine whether a proposed merger or acquisition would create or enhance market power in a relevant market. The relevant market is defined as the area of economic activity in which the merged firms would compete, and it is important to accurately define this market in order to assess the potential impact of the merger on competition.

The Lerner index of market power is a measure of the extent to which a firm can raise its price above its marginal cost, and it is calculated as 1/|E|, where |E| is the demand elasticity at the current price for the market being considered. This index is useful in determining the level of market power held by a firm, as it shows the degree to which the firm can increase its price without losing customers to its competitors.

In the context of the FTC/DOJ merger guidelines, the Lerner index can be used to assess the potential impact of a merger on market power. If the merged firm would have a high Lerner index, indicating a high degree of market power, then the merger may be more likely to raise antitrust concerns. On the other hand, if the merged firm would have a low Lerner index, indicating a more competitive market, then the merger may be less likely to raise concerns.

In addition, the demand elasticity of the relevant market is also important in assessing the potential impact of a merger on competition. If the demand for the merged firm's products or services is highly elastic, meaning that consumers are sensitive to changes in price, then the merged firm may have less market power and be less likely to raise antitrust concerns. However, if the demand for the merged firm's products or services is inelastic, meaning that consumers are not very sensitive to price changes, then the merged firm may have more market power and be more likely to raise antitrust concerns.
The FTC/DOJ merger guidelines about defining the relevant market are closely related to demand elasticity and the Lerner Index of Market Power. Let me explain how they connect step-by-step:

1. The FTC/DOJ merger guidelines aim to assess the potential impact of a proposed merger on market competition, consumer welfare, and market power.

2. To do this, the guidelines first define the relevant market, which includes the products and geographic area affected by the merger. This helps determine the scope of competition and the possible effects on market power.

3. Market power refers to a firm's ability to raise prices above competitive levels without losing significant sales. A firm with substantial market power can reduce consumer welfare by raising prices, reducing output, or inhibiting innovation.

4. Demand elasticity measures how responsive consumers are to changes in price. A high elasticity means consumers are more sensitive to price changes, while a low elasticity means consumers are less sensitive.

5. The Lerner Index of Market Power is a measure of a firm's market power, calculated as 1/|E|, where |E| is the absolute value of demand elasticity at the current price for the market being considered. A higher Lerner Index indicates greater market power, while a lower index suggests less market power.

6. When analyzing a merger, the FTC/DOJ guidelines consider both the demand elasticity and the Lerner Index to assess the potential impact on market power. If the merger is expected to increase the Lerner Index (i.e., market power), it may raise concerns about reduced competition and potential harm to consumer welfare.

In summary, the FTC/DOJ merger guidelines about defining the relevant market take into account demand elasticity and the Lerner Index of Market Power to evaluate the potential effects of a proposed merger on competition and consumer welfare.

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one of the consequences of the u.s. trade deficit is that - a the distribution of income in the united states has become less unequal. b the system of flexible exchange rates has been abandoned in favor of a new gold standard. c domestic inflation has resulted. d the accumulation of american dollars in foreign hands has enabled foreign firms to build factories in america.

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One of the consequences of the U.S. trade deficit is that a domestic inflation has resulted. Option C is correct.

The US trade deficit occurs when the value of goods and services that the US imports exceeds the value of goods and services that it exports. One consequence of a trade deficit is that it can lead to an accumulation of American dollars in foreign hands, which can then be used by foreign firms to invest in the US.

This can result in the building of factories in the US by foreign companies. Another consequence is that a trade deficit can put downward pressure on the value of the US dollar, which can lead to inflation in the domestic economy.

Hence, C. is the correct option.

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For each of the following, state whether the statements are true, false or uncertain, and then provide your explanation using concepts from this course. All marks are reserved for the explanation.
a. A given increase in government expenditures leads to a greater increase in real GDP in the short run when a country is in a recessionary gap than in an inflationary gap. (5 marks)
b. A given increase in government expenditures reduces private investment. (5 marks)

Answers

a. Uncertain. Government spending's effect on real GDP is dependent on the health of the economy and cannot be calculated without taking the unique circumstances into account.

B. Uncertain. Without taking into account the precise nature of the spending, the effect of government spending on private investment cannot be ascertained.

a. Uncertain. The impact of government expenditures on real GDP depends on the state of the economy. In a recessionary gap, where there is insufficient demand, an increase in government spending can stimulate aggregate demand and lead to a greater increase in real GDP in the short run. However, in an inflationary gap, where there is excessive demand, an increase in government spending can exacerbate inflationary pressures and lead to a smaller increase in real GDP. Therefore, the impact of government expenditures on real GDP depends on the state of the economy and cannot be determined without considering the specific circumstances.

b. Uncertain. The impact of government expenditures on private investment depends on the nature of the spending. If the government expenditures are directed towards productive investments that increase the economy's potential output, then private investment may actually increase due to the potential for increased profits. However, if the government expenditures are directed towards unproductive investments or are financed through borrowing, then private investment may decrease due to higher interest rates and increased uncertainty about future economic conditions. Therefore, the impact of government expenditures on private investment cannot be determined without considering the specific nature of the spending.

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Teams performing creative work should encourage task conflict.
True or False

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The statement, "Teams performing "creative-work" should encourage task-conflict." is False because, "task-conflict" can have a negative impact on the team.

While some level of "task-conflict" can be beneficial for generating new and innovative ideas, it is important to balance this with relationship conflict and ensure that the team members are able to work together effectively.

The "Task-Conflict" can sometimes escalate into relationship conflict, which can negatively-impact the team's ability to collaborate and generate creative solutions.

So, teams should strive to manage and minimize any potential negative effects of task conflict.

Therefore, the statement is False.

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If the price of output is $15, how many units of output will this firm produce? What is the total revenue? What is the total cost? Will the firm operate or shut down in the short run? In the long run? Briefly explain your answers.

Answers

If the firm is able to cover its total costs and compete in the market, it will continue to operate in the long run.

To determine the units of output the firm will produce, we need to know the firm's marginal cost. If the marginal cost is less than or equal to the price of output, then the firm will continue to produce. However, if the marginal cost is greater than the price of output, then the firm will shut down in the short run.

Assuming that the marginal cost is less than or equal to $15, the firm will produce where marginal cost equals marginal revenue. Without knowing the exact marginal cost, we cannot determine the exact units of output the firm will produce.

The total revenue can be calculated by multiplying the price of output by the quantity of output produced. Again, without knowing the exact quantity of output produced, we cannot determine the total revenue.

The total cost includes both variable and fixed costs. Variable costs increase as the quantity of output produced increases, while fixed costs remain constant regardless of the quantity of output produced. Without knowing the specific costs of the firm, we cannot determine the exact total cost.

In the short run, if the firm's total revenue is greater than its total variable costs, it will continue to operate. If the firm's total revenue is less than its total variable costs, it will shut down. However, even if the firm is able to cover its variable costs, if its total revenue is less than its total costs (including fixed costs), it will still shut down in the long run.

In the long run, the firm will shut down if it is unable to cover its total costs, including both variable and fixed costs. The firm may also shut down if it is unable to compete with other firms in the market, leading to a decrease in demand and revenue.

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Classify each statement as true or false. 1. Discrimination based on gender, race, or other factors widens income gaps by shifting labor supply curves. 1. At least one of the statements is classified incorrectly. Pushing people from job A into job B means fewer available workers in category A and more in B. There is an income 'risk premium' for risk-takers, but not all Jentrepreneurs receive it. 3. Having wealthy parents can lead to advantages regarding income. 4. Requirements for cosmetology licenses, taxi medallions, and admission to the bar for lawyers, all tend to increase wages in those occupations. 5. Because the level of education a person pursues is a personal choice, economists do not emphasize it when analyzing income inequality. 6. Economists generally do not consider artistic talent as a factor in income inequality,

Answers

1. True: Discrimination based on gender, race, or other factors widens income gaps by shifting labor supply curves.
2. False: At least one of the statements is classified incorrectly. Pushing people from job A into job B does mean fewer available workers in category A and more in B, but it doesn't address the income risk premium statement.
3. True: Having wealthy parents can lead to advantages regarding income.
4. True: Requirements for cosmetology licenses, taxi medallions, and admission to the bar for lawyers all tend to increase wages in those occupations.
5. False: Because the level of education a person pursues is a personal choice, economists still emphasize it when analyzing income inequality.
6. False: Economists generally do consider artistic talent as a factor in income inequality.

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There are materials in beer that can lead to the painful situation known as Gout.

Answers

There are materials in beer that can lead to the painful situation known as Gout.---- True

Purines, which are organic compounds, are abundant in beer, which may make flare-ups of gout more likely. Beer consumption should not exceed the recommended limits for gout sufferers. Gout is a type of inflammatory arthritis that occurs when there is too much uric acid in the blood. Hyperglycemia is the medical term for this condition.

Causes of Gout :

Drinking more alcohol can make you more likely to get gout, and the risk goes up with it. Beer has a lot of purines in it, and drinking two beers a day can more than double your risk of getting gout. However, drinking any kind of alcohol can have additional risks that can lead to gout:

Gout is brought about by a development of a substance called uric corrosive in the blood. Uric acid can build up and cause tiny, sharp crystals to form in and around joints if you produce too much of it or your kidneys don't remove enough of it.

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Question is incomplete :

There are materials in beer that can lead to the painful situation known as Gout. True or False?

Putting theories into practice.
Please pick one or some specific concepts we learned each week, and illustrate how will you practice these concepts on a specific case that you can find. Requirement: Please provide: details of the reasons you choose a topic or concept; details of any case (personal experiences, news, articles, reports, research papers, etc.) you choose; and how the theory of decision making is reflected in this case. A minimum of 4 paragraphs is required.
The concepts are cost minimization and output maximization. Please, do not copy-paste from other answers.

Answers

One of the concepts that we learned in class is cost minimization, which is the process of reducing expenses while maintaining the same level of quality. This concept is crucial for companies as it helps them to remain competitive in the market by increasing their profitability.

Suppose a manufacturing company is looking to reduce its costs while maintaining the same level of production. In that case, it can implement various strategies such as sourcing raw materials at a lower price, reducing energy consumption, or automating some of the production processes. By doing so, the company can lower its overall production costs and increase its profitability.

Another concept that we learned in class is output maximization, which is the process of increasing the quantity of goods or services produced without compromising the quality. This concept is essential for companies that are looking to increase their market share and revenue.

Suppose a service-based company is looking to maximize its output while maintaining the same level of quality. In that case, it can implement various strategies such as increasing the number of employees, streamlining its processes, or investing in technology. By doing so, the company can increase its output without compromising its quality, which can lead to increased revenue and market share.

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Instructions!
• Describe your stakeholder group and provide a specific example on an organization, individual or group of individuals that would be considered part of your stakeholder group.
• What are the interests, priorities and values of your stakeholder group when interacting with the broader health system? What factors motivate these interests and values?
• What other stakeholder groups (stakeholders involved in delivery, other stakeholders involved in financing, other consumers, government entities) has your stakeholder group come into conflict with as they interact in or with the health system?
I expect you will use the readings from this week and, as needed, supplemental research to complete this wiki space assignment. Remember to cite credible sources for all of your information.
Stakeholder Category Employers with less than 50 employees Self-Insured Employers Publicly-traded Health Insurance companies Non-profit health Insurance companies Managed-Care Organizations Trade associations for Insurers Centers for Medicare are Medicaid Services State financed public health insurance The Department of Defense The Indian Health Service Consumers with Medicare Consumer with Medicaid

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Small employers with less than 50 employees prioritize affordability and accessibility of healthcare for their workforce. They often face challenges when interacting with various stakeholders in the health system, including government entities and insurance companies

My stakeholder group is employers with less than 50 employees. A specific example of an organization in this category would be a small family-owned restaurant or a local retail store. These employers typically do not have the same resources as larger corporations to provide comprehensive health insurance for their employees.

The interests, priorities, and values of this stakeholder group when interacting with the broader health system are mainly focused on affordability and accessibility of healthcare for their employees. They aim to provide a basic level of health insurance coverage for their workers without incurring excessive costs. The factors motivating these interests and values include limited financial resources, employee retention, and the desire to maintain a healthy workforce.

This stakeholder group has come into conflict with other stakeholder groups such as government entities and publicly-traded health insurance companies. Government entities may impose regulations that make it challenging for small businesses to provide affordable healthcare to their employees, while publicly-traded health insurance companies may prioritize profit over providing cost-effective insurance plans for small businesses. Additionally, this group may also face challenges when interacting with managed-care organizations and non-profit health insurance companies, as these entities may not offer suitable plans for small businesses.

To address these challenges, it is crucial to develop policies and initiatives that support small businesses in providing adequate healthcare for their employees.

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______ theory of group decision-making is the most comprehensive account of how communication influences the quality of group decision-making (module 9 notes & chapter 8 p. 145).

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The Functional Theory of group decision-making is the most comprehensive account of how communication influences the quality of group decision-making (module 9 notes & chapter 8 p. 145).

This theory suggests that effective group decision-making depends on communication that fulfills specific functions, such as analyzing the problem, evaluating alternative solutions, and establishing criteria for the best solution.

By focusing on these functions, the group can improve the quality of their decisions.

One of the key aspects of the Functional Theory is that it highlights the importance of communication as a tool for information processing. When group members engage in communication that serves the function of analyzing the problem, they actively share information, exchange perspectives, and critically examine the issue at hand.

This allows the group to better understand the complexity of the problem, identify relevant factors, and generate a more comprehensive and accurate assessment of the situation.

In addition, the Functional Theory emphasizes the function of evaluating alternative solutions. Effective group decision-making requires thorough evaluation and comparison of different solutions or options. Through communication that fulfills this function, group members can discuss the pros and cons of various alternatives, debate their merits, and consider potential risks and benefits.

This facilitates a more systematic and informed decision-making process, where different perspectives are considered, and the group can make more informed and rational choices.

Furthermore, the Functional Theory emphasizes the importance of communication in establishing criteria for evaluating and selecting the best solution. Group members need to collectively agree on the standards or criteria that will guide their decision-making process.

By engaging in communication that establishes these criteria, the group can ensure that decisions are based on shared values, principles, and objectives. This helps prevent biases or arbitrary judgments and promotes a more objective and consistent decision-making process.

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The market demand function for wheat is Qd = 10 - 2P and the market supply function is Qs = 4P - 2, both measured in billions of bushels per year.i) Suppose the government wants to increase the price of wheat to $3/bushel and they impose a voluntary production reduction program to achieve their goal.a) What is the size of the deadweight loss from the program?b) What is the size of the producer surplus?c) What is the size of the aggregate surplus?

Answers

(a)The new equilibrium price, the old equilibrium price, and the quantity reduction:

DWL = ½ ($4 - $2) (6 - 4) = $1 billion (b)The increase in producer surplus is $2 billion.

(c) The aggregate surplus decreased by $4 billion due to the production reduction program.

To increase the price of wheat to $3/bushel, the government can impose a voluntary production reduction program, which would reduce the supply of wheat in the market. The equilibrium price and quantity of wheat are determined by the intersection of the demand and supply curves.

i) To find the equilibrium price and quantity, we need to solve for P and Q such that Qd = Qs:

10 - 2P = 4P - 2

6P = 12

P = $2/bushel

Q = 10 - 2($2) = 6 billion bushels per year

a) If the government wants to increase the price to $3/bushel, they can impose a production reduction program that reduces the supply from 6 to 4 billion bushels. The new equilibrium price would be:

10 - 2P = 4P - 2 - 2

8 - 2P = 4P

6P = 8

P = $4/ bushel

The deadweight loss from the program is the area of the triangle formed by the new equilibrium price, the old equilibrium price, and the quantity reduction:

DWL = ½ ($4 - $2) (6 - 4) = $1 billion

b) The producer surplus is the area above the supply curve and below the equilibrium price. Before the program, the producer surplus was:

PS1 = ½ ($2) (6) = $6 billion. After the program, the producer surplus is: PS2 = ½ ($4) (4) = $8 billion. The increase in producer surplus is $2 billion.

c) The aggregate surplus is the sum of consumer and producer surplus. Before the program, the aggregate surplus was:

AS1 = CS1 + PS1 = ½ ($2) (6) + ½ ($8) (6) = $18 billion. After the program, the aggregate surplus is: AS2 = CS2 + PS2 = ½ ($6) (2) + ½ ($4) (4) + ½ ($8) (2) = $14 billion

The aggregate surplus decreased by $4 billion due to the production reduction program. The production reduction program increased the price of wheat to $4/bushel, but it also caused a deadweight loss of $1 billion and a decrease in aggregate surplus of $4 billion.

The program did increase the producer surplus by $2 billion, but this gain was outweighed by the losses to consumers and the overall economy.

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On May 17, Juanita, an American investor, decided to buy three-month Treasury bills. She found that the per-annum interest rate on three-month Treasury bills is 8.00% in New York and 12.00% in London, Great Britain. Based on this information and assuming that tax costs and other transaction costs are negligible in the two countries, it is in Juanita's best interest to purchase three-month Treasury bills in London , because it allows her to earn 1.00% more for the three months. On May 17, the spot rate for the pound was $1.510, and the selling price of the three-month forward pound was $1.508. At that time, Juanita chose to ignore this difference in exchange rates. In three months, however, the spot rate for the pound fell to $1.450 per pound. When Juanita converted the investment proceeds back into U.S. dollars, her actual return on investment was 4.97% As a result of this transaction, Juanita realizes that there is great uncertainty about how many dollars she will hen the Treasury bills mature. So, she decides to adjust her investment strategy to eliminate this uncertainty. -4.97% 2.97% What should Juanita's strategy be the next time she considers investing in Treasury bills? -2.97% Sell enough foreign currency on the forward market to match the anticipated proceeds from the invl Exchange half of the anticipated proceeds of the investment for domestic currency. Avoid investment in foreign institutions. Had Juanita used the covered interest arbitrage strategy on May 17, her net return on investment (relative to purchasing the U.S. Treasury bills) in British three-month Treasury bills would be (Note: Assume that the cost of obtaining the cover is zero.) 

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Juanita's net return on investment using covered interest arbitrage would be 8.83%

How to calculate Juanita's net return on investment using covered interest arbitrage?

We need to compare the returns she would have earned by investing in the U.S. Treasury bills with the returns she actually earned by investing in British three-month Treasury bills and hedging her currency risk.

First, let's calculate the return she would have earned by investing in the U.S. Treasury bills:

Per-annum interest rate on three-month Treasury bills in New York = 8.00%

Effective interest rate for three months = (1 + 0.08/4)³ - 1 = 2.02%

Net return on investment in U.S. Treasury bills = 2.02% * 3 = 6.06%

Now, let's calculate the return she actually earned by investing in British three-month Treasury bills and hedging her currency risk:

Per-annum interest rate on three-month Treasury bills in London = 12.00%

Effective interest rate for three months = (1 + 0.12/4)³ - 1 = 3.05%

Net return on investment in British three-month Treasury bills = 3.05% * 3 = 9.15%

However, the spot rate for the pound fell to $1.450 per pound at the time of conversion, which means Juanita would have received fewer U.S. dollars for her British pound proceeds than she expected.

To eliminate this uncertainty, Juanita should use the covered interest arbitrage strategy, which involves simultaneously investing in British three-month Treasury bills and selling pounds forward to lock in the exchange rate at the time of investment.

Assuming that the cost of obtaining the cover is zero, Juanita's net return on investment using covered interest arbitrage would be:

Net return on investment in British three-month Treasury bills = 3.05% * 3 = 9.15%

Forward rate for the pound = $1.508 per pound

Expected proceeds in U.S. dollars = (9.15% / 4) * $1,000,000 = $22,875

Amount of pounds to sell forward = $22,875 / $1.508 = £15,173.69

Net return on investment using covered interest arbitrage = (9.15% * 3) - (0.00% * 3) - [(£15,173.69 * $1.508) / $1,000,000] = 8.83%

Therefore, Juanita's net return on investment using covered interest arbitrage would be 8.83%, which is higher than the net return she would have earned by investing in U.S.

Treasury bills (6.06%) and the net return she actually earned by investing in British three-month Treasury bills without hedging her currency risk (4.97%).

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Binary stars A and B have masses of m and 2m, respectively. Compare the magnitude of the gravitational attraction that the larger star exerts on the smaller star (i.e., the force of B onto A) to the attraction that the smaller star exerts on the large star.A.The larger star exerts (1/2)x the force on the smaller star.b.They exert the same (1x) force on each other.C. The larger star exerts 2x the force on the smaller star.D. The larger star exerts 4x the force on the smaller star.

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According to Newton's third law, for every action, there is an equal and opposite reaction.

The force that star A exerts on star B is equal in magnitude but opposite in direction to the force that star B exerts on star A. So, the answer is B. They exert the same (1x) force on each other.

According to Newton's law of gravitation, the magnitude of the gravitational attraction between two objects is directly proportional to the product of their masses and inversely proportional to the square of the distance between them. Therefore, the magnitude of the gravitational force that star B exerts on star A is given by:

FBA = G(m)(2m)/d^2

where G is the gravitational constant and d is the distance between the stars. Similarly, the magnitude of the gravitational force that star A exerts on star B is given by:

FAB = G(2m)(m)/d^2

Comparing these two equations, we see that FBA is half of FAB:

FBA = (1/2)FAB

Therefore, the correct answer is A: The larger star exerts (1/2)x the force on the smaller star.

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The nation of Pecunia had a current account deficit of $1.1 billion and a nonreserve financial account surplus of $600 million in 2021. a. What was the balance of payments of Pecunia in that year? The balance of payments of Pecunia was $____ million. (Enter your response as an integer and make sure to insert the negative sign if necessary.) What happened to Pecunia's net foreign assets in 2021? Pecunia's net foreign assets ____ by $ ____ million. (Enter your response as the absolute value of a change in integer form.) b. Assume that foreign central banks neither buy nor sell Pecunian assets.How did the Pecunian central bank's foreign reserves change in 2021? Pecunian central bank reserves ____by $ ____ million. (Enter your response as the absolute value of a change in integer form.) How would this official intervention show up in the balance of payments accounts of Pecunia? It will appear as $____ million financial____ in Pecunia's balance of payment accounts. (Enter your response as the absolute value of a change in integer form.)

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The balance of payments of Pecunia was -$500 million. Pecunian central bank reserves decreased by $500 million.


a. To calculate the balance of payments of Pecunia in 2021, we'll subtract the current account deficit from the nonreserve financial account surplus:

$600 million (nonreserve financial account surplus) - $1,100 million (current account deficit) = -$500 million

The balance of payments of Pecunia was -$500 million.

In 2021, Pecunia's net foreign assets decreased by $500 million.

b. Since foreign central banks neither buy nor sell Pecunian assets, the change in the Pecunian central bank's foreign reserves must be equal to the balance of payments:

Pecunian central bank reserves decreased by $500 million.

This official intervention would appear as a $500 million financial outflow in Pecunia's balance of payment accounts.

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i am interested in buying into an annuity that will return me the following cashflows: at the end of the first year, i will receive $500. at the end of the second year, i will receive $600. at the end of the third year, i will receive $700. at the end of the fourth year, i will receive $800 it will cost me $2,250 today to buy into the annuity. assuming a discount rate of 6.5%, what is the npv of this potential investment?

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The negative net present value (NPV) of this possible investment shows that the cost of purchasing the annuity exceeds the present value of the anticipated future payments. As a result, it might not be a sensible investment choice.

To calculate the NPV of this potential investment, we first need to discount each of the cash flows back to their present value using the given discount rate of 6.5%.

PV of year 1 cash flow = $500 / (1 + 0.065)^1 = $469.48
PV of year 2 cash flow = $600 / (1 + 0.065)^2 = $529.20
PV of year 3 cash flow = $700 / (1 + 0.065)^3 = $583.45
PV of year 4 cash flow = $800 / (1 + 0.065)^4 = $629.97

The total present value of all the cash flows is then:

PV of all cash flows = $469.48 + $529.20 + $583.45 + $629.97 = $2,212.10

Since the cost to buy into the annuity is $2,250, the net present value (NPV) of the investment would be:

NPV = PV of all cash flows - Cost to buy into annuity
NPV = $2,212.10 - $2,250
NPV = -$37.90

Based on this calculation, the NPV of this potential investment is negative, indicating that the cost of buying into the annuity is greater than the present value of the expected cash flows. Therefore, it may not be a wise investment decision.

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A good measure of an investor's risk exposure if she only holds a single asset in her portfolio is:
a. the expected value of the asset's returns
b. the standard deviation of possible returns on the asset
c.the correlation coefficient with the market portfolio
c. the normal probability distribution

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A good measure of an investor's risk exposure if she only holds a single asset in her portfolio is the standard deviation of possible returns on the asset. The correct answer is B.

Standard deviation is a statistical measure of the amount of variation or dispersion in a set of data. In the context of investing, it is often used as a measure of risk.

A higher standard deviation indicates a greater degree of variability or uncertainty in the possible returns of an asset, which suggests higher risk.

Therefore, the standard deviation of possible returns on the single asset in the investor's portfolio would provide a good measure of her risk exposure.

The expected value of the asset's returns (option a) represents the average return, but it does not capture the variability or risk.

The correlation coefficient with the market portfolio (option c) is not relevant in the context of a single asset portfolio.

The normal probability distribution (option d) is a statistical concept, but it is not directly related to measuring risk exposure in a single asset portfolio.

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PLEASE SHOW ME THE WORK AND STEPS DONE FOR EACH QUESTIONThe Financial Advisor is a weekly column in the local newspaper. Assume you must answer the following question. "I need a new car that I will keep for 5 years. I have three options. I can (A) pay $25,999 now, (B) make monthly payments for a 9% 5-year loan with 0% down, or (C) make lease payments of $470 per month for the next 5 years. The lease option also requires a security deposit of $1500. What should I do?"Assume that the number of miles driven matches the assumptions for the lease, and the vehicle’s value after 5 years is $7000. Remember that lease payments are made at the beginning of the month, and the salvage value is received only if you own the vehicle.(a) Develop a choice table for nominal interest rates from 0% to 50%. (You do not know what the reader’s interest rate is.)(b) If i = 9%, use an incremental rate of return analysis to recommend which option should be chosen.

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a) The choice table for nominal interest rates from 0% to 50% is shown below:

Option Cash Outflow Cash Inflow

A $25,999 $7,999

B $0 $35,221

C $18,900 $18,900

b) Using an incremental rate of return analysis with i=9%, option B has the highest incremental rate of return of 20.37%, compared to option A with 15.38% and option C with 9.11%. Therefore, option B, making monthly payments for a 9% 5-year loan with 0% down, would be the recommended choice.

In part (a), a choice table was developed to compare the cash outflows and inflows for each option at various nominal interest rates. In part (b), the incremental rate of return analysis was used to compare the returns of each option at a specific nominal interest rate of 9%.

This analysis determines the additional cash inflow generated by each option over the other options, and option B had the highest incremental rate of return. Therefore, option B was recommended as the best choice.

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Question 6 1 pts Suppose that during a recession labour costs fall by 66.67% and are expected to stay at that level for a long time, while the rental cost of capital stays the same. Draw the firm's ou tput expansion path before and after the recession. Assume that the firm has downward sloping strictly convex isoquants. (Draw several isoquants and isocosts). Put labour on the horizontal axis. • New isocosts will have slope equal to four times the slope of the original isocosts. • The firm will hire more labour and less capital to produce the same amount of output. • Output expansion path will shift/tilt to the left

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Before the recession, the firm's output expansion path would be represented by a positively sloped curve, showing the different combinations of labor and capital that could be used to produce varying levels of output.

After the recession, the new isocosts would have a steeper slope, indicating a higher relative cost of capital compared to labor. The firm would then choose to hire more labor and less capital to produce the same amount of output, resulting in a shift or tilt of the output expansion path to the left. This shift would be due to the fact that labor has become relatively cheaper compared to capital.

The downward-sloping strictly convex isoquants would continue to represent the tradeoff between labor and capital, where the firm could choose to substitute one factor for another while maintaining the same level of output. The new isocosts would intersect these isoquants at different points, representing the different combinations of labor and capital that would be used after the recession. Overall, the firm would adjust its production process to take advantage of the lower labor costs and maintain its profitability in the new economic environment.

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write a memo as if you are the teacher and you are now informing students that they will be returning to the physical classroom at school for their courses. with this option you also can list some of the benefits.
(3 paragraphs)

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Subject:

Return to Physical Classroom and Benefits

Dear Students, I am pleased to announce that we will be returning to the physical classroom at school for our courses.

This transition will provide us with an opportunity to engage in face-to-face learning and further enhance our educational experience. Our school has implemented safety protocols to ensure a healthy and secure environment for all students and staff.

Returning to the classroom offers several benefits, including increased interaction with peers and teachers, improved focus and engagement in lessons, and access to school resources such as libraries and computer labs.

In-person learning fosters strong relationships and collaborative opportunities, which contribute to a well-rounded educational experience.

Additionally, being on campus allows for participation in extracurricular activities and sports, further enriching your school experience. As we make this transition, please be prepared to follow all safety guidelines and protocols established by the school.

Your cooperation and adherence to these measures will contribute to a smooth and successful return to the physical classroom. Should you have any concerns or questions, please do not hesitate to reach out to me.

We look forward to reconnecting in person and continuing our educational journey together.

Sincerely,

[Your Name]

[Your Title/Subject]

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People hold money as opposed to financial assets because money A. earns interest.B. is perfectly liquid.C. earns no interest.D. earns a higher return than other financial assets.

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People hold money as opposed to financial assets because money earns interest So the correct option is A.  

Unlike other financial assets, money can be used directly to pay for goods and services without the need for conversion or sale. Moreover, money is generally accepted by all parties in a transaction, making it a universal medium of exchange. Although money typically earns little to no interest compared to other financial assets, its convenience and ease of use make it a preferred store of value for many individuals and businesses alike.

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Question 1 10 pts Consider IC1 Good X 1 1 , В • D • E IC С Good Y Bundle A has the same amount of Good Y as Bundle B. Bundle D has more Good Y than Bundle A. Bundle D has more Good X than Bundle Question 1 10 pts Consider IC1 Good X 1 1 , В • D • E IC С Good Y Bundle A has the same amount of Good Y as Bundle B. Bundle D has more Good Y than Bundle A. Bundle D has more Good X than Bundle

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Based on the information given, we can conclude that Bundle D is preferred over Bundle A and Bundle B because it has more of both Good X and Good Y.

An indifference curve is a curve that represents all the combinations of goods that give the same satisfaction to the consumer. Since all the combinations give the same amount of satisfaction, the consumer prefers them equally. Hence the name indifference curve.

Additionally, we can infer that Bundle D is preferred over Bundle C because it is on a higher indifference curve (IC1) which represents a higher level of utility. Therefore, the ranking of the bundles from most preferred to least preferred is as follows: Bundle D, Bundle A/B (since they have the same amount of Good Y), Bundle C.

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13. How doses incorporating problems of coordination amongeconomic agents effect economic development in the MultipleEquilibria thesis.

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The Multiple Equilibria thesis argues that there can be multiple outcomes in an economy, depending on the actions and decisions of economic agents.

When there are problems of coordination among economic agents, such as a lack of trust or communication barriers, it can lead to a situation where multiple equilibria exist.

In such a scenario, economic development can be hindered as agents may not be able to effectively coordinate their actions to achieve the desired outcomes.

For example, if firms are hesitant to invest in a new market due to a lack of trust in the government's economic policies, it may lead to a situation where the market fails to develop. This can result in a self-fulfilling prophecy, where the lack of investment leads to poor economic growth, which reinforces the initial hesitancy of the firms.

Therefore, incorporating problems of coordination among economic agents in the Multiple Equilibria thesis highlights the importance of addressing coordination issues to promote economic development. Improving trust and communication among agents can help to break the cycle of multiple equilibria and lead to more positive economic outcomes.
Incorporating problems of coordination among economic agents affects economic development in the Multiple Equilibria thesis by potentially leading to different stable outcomes, or equilibria. These outcomes depend on the choices and interactions of economic agents, such as firms, households, and governments. In some cases, coordination problems can result in suboptimal equilibria that hinder economic development, while in other cases, effective coordination can lead to more favorable equilibria that promote growth and prosperity. The presence of multiple equilibria highlights the importance of institutions and policies that facilitate coordination and help guide the economy towards more desirable outcomes.

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Why did the federal government do so little to halt corruption and scandal in the western territories?

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The federal government did little to halt corruption and scandal in the western territories for a few reasons.

First, the territories were seen as temporary and not worth investing a lot of resources in. Second, the federal government was focused on other priorities, such as Reconstruction after the Civil War and industrialization in the East. Third, corruption and scandal were often tied to powerful political interests, making it difficult for the federal government to effectively intervene. Fourth, the government officials responsible for overseeing the territories were often corrupt themselves, making it difficult to root out corruption from within.

Additionally, the sheer size and complexity of the western territories made it difficult for the federal government to effectively govern them from a distance. Many of the territories were vast and sparsely populated, with limited infrastructure and communication systems. This made it easy for corrupt officials to operate with impunity and difficult for federal officials to detect and investigate corruption.

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If the Bank of Canada conducts open market purchases, this may end up hurting Canada's export industries. O FALSE O TRUE . Suppose real GDP grows by 2% and the money supply grows by 4%. If the economy enters a period of hyperinflation, the growth in the price level i.e., the inflation rate will be? O greater than 2% O less than 2% O 2% O We cannot determine this because the velocity of money could incrense or it could decrease during hyperinflation.

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True, if the Bank of Canada conducts open market purchases, it may end up hurting Canada's export industries. The inflation rate during hyperinflation is generally greater than the rate of real GDP growth and money supply growth. Therefore, in the given scenario, the inflation rate would likely be greater than 2%.

It is difficult to determine the exact inflation rate during hyperinflation because it is often associated with a breakdown in the economy's normal functioning, including changes in the velocity of money, making it difficult to make precise predictions.

When the central bank purchases government securities, it injects money into the economy, increasing the money supply. This can lead to an increase in inflation, which can cause the Canadian dollar to appreciate in value. This, in turn, makes Canadian exports more expensive for foreign buyers, which can hurt export industries.

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